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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 3/31/2011

Check here is Amendment [_]; Amendment Number:
                                               --------------
     This Amendment (Check only one.): [_] is a restatement.
                                       [_] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    M&T BANK CORPORATION
Address: One M&T Plaza
         Buffalo, NY 14240

Form 13-F File Number: 028-00267

This 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 part of this form.

Person Signing this Report on Behalf of Reporting Manager

Name:  Mark Czarnecki
Title: President
Phone: (716) 842-5291

Signature, Place & Date of Signing:


/s/ Mark Czarnecki, President       Buffalo, New York             5/5/2011
-----------------------------  ------------------------  -----------------------
         [Signature]                 [City, State]                 [Date]

Report Type (Check only one.):

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

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

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




                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                4
Form 13-F Information Table Entry Total:      2,298
Form 13-F Information Table Value Total:  2,763,854
                                         (thousands)

List of Other Included Managers:

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

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

No.   Form 13F File Number   Name
---   --------------------   -------------------------------------
 1    028-39800              Manufacturers & Traders Trust Company
 2    028-10910              MTB Asset Management Inc.
 3    028-10909              MTB Investment Advisors, Inc.
 4    028-11878              M&T Trust Company of Delaware, Inc.





                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
ABB LTD SPON ADR        COMMON   000375204       36        1500 Shares                 X               1         1500    0        0
ABB LTD SPON ADR        COMMON   000375204       18         760 Shares                         X       1          760    0        0
ACCO BRANDS CORP        COMMON   00081T108        6         598 Shares                 X               1          598    0        0
ACNB CORP               COMMON   000868109      494       30888 Shares                 X               1        21874    0     9014
ACNB CORP               COMMON   000868109        0           1 Shares                 X               3            1    0        0
AFLAC INC               COMMON   001055102      599       11346 Shares                 X               1        11346    0        0
AFLAC INC               COMMON   001055102      798       15120 Shares                         X       1        14720    0      400
AGIC INTL & PREMIUM
   STRATEGY FD          COMMON   00119Q100       14        1000 Shares                         X       1            0    0        0
AGL RESOURCES INC       COMMON   001204106       25         640 Shares                 X               1          640    0        0
AGL RESOURCES INC       COMMON   001204106       16         400 Shares                         X       1          400    0        0
AES CORP COM            COMMON   00130H105      116        8930 Shares                 X               1         8930    0        0
AES CORP COM            COMMON   00130H105       48        3725 Shares                         X       1         2325    0     1400
AES CORP COM            COMMON   00130H105      578       44700 Shares                 X               2         4000    0    40700
AES CORP COM            COMMON   00130H105       17        1325 Shares                 X               3         1325    0        0
AK STEEL HOLDING CORP
   COM                  COMMON   001547108        1          66 Shares                 X               1           66    0        0
AOL INC                 COMMON   00184X105        3         144 Shares                 X               1          144    0        0
AOL INC                 COMMON   00184X105        2          81 Shares                         X       1           81    0        0
AT&T INC                COMMON   00206R102    17404      568579 Shares                 X               1       565147    0     3432
AT&T INC                COMMON   00206R102    10795      352660 Shares                         X       1       308664    0    43996
AT&T INC                COMMON   00206R102     1322       43185 Shares                 X               2            0    0    43185
AT&T INC                COMMON   00206R102      856       27975 Shares                 X               3        23295    0     4680
ATP OIL & GAS CORP COM  COMMON   00208J108      109        6000 Shares                 X               2            0    0     6000
AVI BIOPHARMA INC       COMMON   002346104       17        9000 Shares                 X               1         9000    0        0
ABBOTT LABORATORIES     COMMON   002824100     8652      176382 Shares                 X               1       174856    0     1526
ABBOTT LABORATORIES     COMMON   002824100     3581       73002 Shares                         X       1        71582    0     1420
ABBOTT LABORATORIES     COMMON   002824100      703       14335 Shares                 X               2            0    0    14335
ABBOTT LABORATORIES     COMMON   002824100     1505       30687 Shares                 X               3        26619    0     4068
ABERCROMBIE & FITCH CO
   CL A                 COMMON   002896207       43         740 Shares                 X               1          740    0        0
ABERCROMBIE & FITCH CO
   CL A                 COMMON   002896207        9         150 Shares                         X       1          150    0        0
ABERCROMBIE & FITCH CO
   CL A                 COMMON   002896207       44         750 Shares                 X               3          750    0        0
ABERDEEN ASIA PACIFIC
   INC FD               COMMON   003009107       36        5133 Shares                 X               1            0    0        0
ABERDEEN AUSTRALIA
   EQUITY FUND          COMMON   003011103        6         500 Shares                         X       1            0    0        0
ABERDEEN EMERGING MKTS
   TELE                 COMMON   00301T102       12         640 Shares                 X               1            0    0        0
ABERDEEN CHILE FUND INC COMMON   00301W105       11         521 Shares                 X               1            0    0        0
ACME PACKET INC         COMMON   004764106       59         825 Shares                 X               1          825    0        0
ACME PACKET INC         COMMON   004764106     1419       20000 Shares                 X               3        20000    0        0
ACTIVISION BLIZZARD INC COMMON   00507V109     1439      131178 Shares                 X               1       129254    0     1924
ACTIVISION BLIZZARD INC COMMON   00507V109      125       11396 Shares                         X       1        11396    0        0
ADOBE SYS INC COM       COMMON   00724F101       56        1680 Shares                 X               1         1680    0        0
ADOBE SYS INC COM       COMMON   00724F101       22         665 Shares                         X       1          665    0        0
ADTRAN INC COM          COMMON   00738A106      249        5874 Shares                 X               1         5874    0        0
ADTRAN INC COM          COMMON   00738A106     3578       84275 Shares                 X               3        84275    0        0
ADVANCE AUTO PARTS      COMMON   00751Y106       91        1388 Shares                 X               1         1388    0        0
ADVANCE AUTO PARTS      COMMON   00751Y106        2          36 Shares                         X       1           36    0        0
ADVANCED MICRO DEVICES
   INC COM              COMMON   007903107     1206      140241 Shares                 X               1       140241    0        0
ADVANCED MICRO DEVICES
   INC COM              COMMON   007903107        4         500 Shares                         X       1          500    0        0
ADVANCED MICRO DEVICES
   INC COM              COMMON   007903107     2233      259684 Shares                 X               3       259684    0        0
AEGON NV ORD AMER REG
   SHS                  COMMON   007924103       18        2349 Shares                 X               1         2349    0        0
AES TRUST III PFD CONV
   6.75% 10/29          COMMON   00808N202       20         400 Shares                 X               1            0    0        0
AES TRUST III PFD CONV
   6.75% 10/29          COMMON   00808N202       16         325 Shares                         X       1            0    0        0
AES TRUST III PFD CONV
   6.75% 10/29          COMMON   00808N202      658       13400 Shares                 X               2            0    0        0
AETNA INC NEW COM       COMMON   00817Y108      503       13427 Shares                 X               1        13427    0        0
AFFILIATED MANAGERS
   GROUP                COMMON   008252108       16         145 Shares                         X       1          145    0        0
AGILENT TECHNOLOGIES
   INC COM              COMMON   00846U101       11         243 Shares                 X               1          243    0        0
AGILENT TECHNOLOGIES
   INC COM              COMMON   00846U101       27         610 Shares                         X       1            0    0      610
AGILENT TECHNOLOGIES
   INC COM              COMMON   00846U101       10         229 Shares                 X               3          229    0        0
AGRIUM INC              COMMON   008916108       14         150 Shares                 X               1          150    0        0
AIR PRODUCTS &
   CHEMICALS INC        COMMON   009158106     4759       52771 Shares                 X               1        52547    0      224
AIR PRODUCTS &
   CHEMICALS INC        COMMON   009158106     1502       16653 Shares                         X       1        16297    0      356
AIR PRODUCTS &
   CHEMICALS INC        COMMON   009158106     2634       29209 Shares                 X               3        27862    0     1347
AKAMAI TECHNOLOGIES
   INC COM              COMMON   00971T101      508       13368 Shares                 X               1        13368    0        0
AKAMAI TECHNOLOGIES
   INC COM              COMMON   00971T101      827       21767 Shares                 X               3        21767    0        0



                                     1 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
ALBEMARLE CORP COM      COMMON   012653101     1503       25150 Shares                 X               1        24842    0      308
ALBEMARLE CORP COM      COMMON   012653101     1379       23068 Shares                         X       1        23068    0        0
ALBERTO-CULVER COMPANY  COMMON   013078100        9         236 Shares                 X               1          236    0        0
ALCOA INC COM           COMMON   013817101      707       40049 Shares                 X               1        39749    0      300
ALCOA INC COM           COMMON   013817101      405       22905 Shares                         X       1        21045    0     1860
ALCATEL-LUCENT - SPON
   ADR                  COMMON   013904305        4         696 Shares                 X               1          696    0        0
ALCATEL-LUCENT - SPON
   ADR                  COMMON   013904305        2         285 Shares                         X       1          253    0       32
ALEX & BALDWIN INC      COMMON   014482103     1877       41109 Shares                 X               1        40505    0      604
ALEX & BALDWIN INC      COMMON   014482103      149        3258 Shares                         X       1         3258    0        0
ALERE INC               COMMON   01449J105      186        4751 Shares                 X               1         4751    0        0
ALERE INC               COMMON   01449J105     2465       62970 Shares                 X               3        62970    0        0
ALEXION
   PHARMACEUTICALS INC
   COM                  COMMON   015351109     1540       15610 Shares                 X               1        15344    0      266
ALEXION
   PHARMACEUTICALS INC
   COM                  COMMON   015351109      115        1168 Shares                         X       1         1018    0      150
ALKERMES INC COM        COMMON   01642T108       13        1000 Shares                 X               1         1000    0        0
ALLEGHENY TECHNOLOGIES
   INC COM              COMMON   01741R102       65         962 Shares                 X               1          962    0        0
ALLERGAN INC            COMMON   018490102     2119       29835 Shares                 X               1        29355    0      480
ALLERGAN INC            COMMON   018490102      153        2150 Shares                         X       1         2150    0        0
ALLETE INC              COMMON   018522300       51        1300 Shares                         X       1         1300    0        0
ALLIANCEBERNSTEIN NATL
   MUNI INC F           COMMON   01864U106       13        1000 Shares                         X       1            0    0        0
ALLIANT TECHSYSTEMS INC COMMON   018804104       29         405 Shares                         X       1          405    0        0
ALLIED IRISH BKS
   PLC-ADR              COMMON   019228808      272      113286 Shares                 X               1        98239    0    15047
ALLIED IRISH BKS
   PLC-ADR              COMMON   019228808       70       29178 Shares                         X       1        28328    0      850
ALLIED NEVADA GOLD CORP COMMON   019344100       37        1050 Shares                 X               1         1050    0        0
ALLIED NEVADA GOLD CORP COMMON   019344100      922       26000 Shares                 X               3        26000    0        0
ALLSCRIPTS-MISYS
   HEALTHCARE           COMMON   01988P108      334       15913 Shares                 X               1        15913    0        0
ALLSCRIPTS-MISYS
   HEALTHCARE           COMMON   01988P108       72        3450 Shares                         X       1         3450    0        0
ALLSCRIPTS-MISYS
   HEALTHCARE           COMMON   01988P108     2440      116240 Shares                 X               3       116240    0        0
ALLSTATE CORP           COMMON   020002101      409       12855 Shares                 X               1        12855    0        0
ALLSTATE CORP           COMMON   020002101      174        5474 Shares                         X       1         5474    0        0
ALLSTATE CORP           COMMON   020002101       32        1000 Shares                 X               2            0    0     1000
ALNYLAM
   PHARMACEUTICALS INC  COMMON   02043Q107        1         100 Shares                 X               1          100    0        0
ALON USA ENERGY INC     COMMON   020520102       21        1500 Shares                 X               1         1500    0        0
ALPINE GLOBAL PREMIER
   PPTYS                COMMON   02083A103    24543     3501097 Shares                 X               1            0    0        0
ALPINE GLOBAL PREMIER
   PPTYS                COMMON   02083A103     3063      436975 Shares                         X       1            0    0        0
ALPINE GLOBAL PREMIER
   PPTYS                COMMON   02083A103     4397      627145 Shares                 X               3        50748    0        0
ALPINE GLOBAL PREMIER
   PPTYS                COMMON   02083A103       23        3331 Shares                 X               4            0    0        0
ALPINE TOTAL DYNAMIC
   DVD FD               COMMON   021060108       42        6844 Shares                 X               1            0    0        0
ALTERA CORP COM         COMMON   021441100      494       11230 Shares                 X               1        11230    0        0
ALTERA CORP COM         COMMON   021441100     5379      122180 Shares                 X               3       122180    0        0
ALTRIA GROUP INC        COMMON   02209S103     8499      326514 Shares                 X               1       322734    0     3780
ALTRIA GROUP INC        COMMON   02209S103     3510      134838 Shares                         X       1       128713    0     6125
ALTRIA GROUP INC        COMMON   02209S103      636       24442 Shares                 X               3        24442    0        0
AMAZON.COM INC          COMMON   023135106     2896       16077 Shares                 X               1        15802    0      275
AMAZON.COM INC          COMMON   023135106      313        1735 Shares                         X       1          895    0      840
AMAZON.COM INC          COMMON   023135106     1304        7241 Shares                 X               3         7241    0        0
AMEREN CORP             COMMON   023608102        3         100 Shares                 X               1          100    0        0
AMERICA MOVIL SA -
   SPONS ADR SER        COMMON   02364W105       78        1350 Shares                 X               1         1350    0        0
AMERICA MOVIL SA -
   SPONS ADR SER        COMMON   02364W105      174        3000 Shares                         X       1            0    0     3000
AMERICA MOVIL SA -
   SPON ADR SER A       COMMON   02364W204        0           1 Shares                 X               3            1    0        0
AMERICAN CAPITAL
   AGENCY CORP          COMMON   02503X105       17         580 Shares                 X               1            0    0        0
AMERICAN CAPITAL
   AGENCY CORP          COMMON   02503X105        9         300 Shares                         X       1            0    0        0
AMERICAN CAPITAL LTD    COMMON   02503Y103        4         399 Shares                 X               1          399    0        0
AMERICAN CAPITAL LTD    COMMON   02503Y103       90        9048 Shares                 X               2            0    0     9048
AMERICAN ELECTRIC
   POWER CO INC         COMMON   025537101      167        4765 Shares                 X               1         4765    0        0
AMERICAN ELECTRIC
   POWER CO INC         COMMON   025537101       94        2684 Shares                         X       1         1854    0      830
AMERICAN EAGLE
   OUTFITTER INC        COMMON   02553E106        4         235 Shares                 X               1          235    0        0
AMERICAN ELECTRIC
   TECHNOLOGIES IN      COMMON   025576109        0         100 Shares                 X               1          100    0        0
AM EX CO                COMMON   025816109      658       14548 Shares                 X               1        13948    0      600
AM EX CO                COMMON   025816109      486       10753 Shares                         X       1         8475    0     2278
AM EX CO                COMMON   025816109      179        3950 Shares                 X               2            0    0     3950
AMERICAN FINANCIAL
   GROUP INC            COMMON   025932104       21         600 Shares                         X       1            0    0      600
AMERICAN INTL GROUP
   PFD CV 8.50%         COMMON   026874115        0          20 Shares                 X               1            0    0        0



                                     2 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
AMERICAN INTL
   CW21 1/19            COMMON   026874156        1         121 Shares                 X               1          121    0        0
AMERICAN INTL
   CW21 1/19            COMMON   026874156        1          91 Shares                         X       1           38    0       53
AMERICAN INTERNATIONAL
   GROUP                COMMON   026874784        8         227 Shares                 X               1          227    0        0
AMERICAN INTERNATIONAL
   GROUP                COMMON   026874784        6         164 Shares                         X       1           64    0      100
AMERICAN TOWER CORP CL
   A                    COMMON   029912201       10         200 Shares                 X               1          200    0        0
AMERICAN WATER WORKS
   CO INC               COMMON   030420103       20         701 Shares                 X               1          701    0        0
AMERICAN WATER WORKS
   CO INC               COMMON   030420103       56        2000 Shares                         X       1         2000    0        0
AMERISOURCE BERGEN
   CORP COM             COMMON   03073E105       78        1974 Shares                 X               1         1974    0        0
AMERISOURCE BERGEN
   CORP COM             COMMON   03073E105        3          66 Shares                         X       1           66    0        0
AMERIGROUP CORPORATION  COMMON   03073T102       31         475 Shares                 X               1          475    0        0
AMERIGROUP CORPORATION  COMMON   03073T102      771       12000 Shares                 X               3        12000    0        0
AMERIPRISE FINANCIAL
   INC                  COMMON   03076C106      101        1656 Shares                 X               1         1536    0      120
AMERIPRISE FINANCIAL
   INC                  COMMON   03076C106       81        1324 Shares                         X       1         1129    0      195
AMERIS BANCORP          COMMON   03076K108        1         123 Shares                 X               1          123    0        0
AMERIGAS PARTNERS LP    COMMON   030975106       14         300 Shares                         X       1          300    0        0
AMGEN INC COM           COMMON   031162100     3943       73769 Shares                 X               1        73769    0        0
AMGEN INC COM           COMMON   031162100     1228       22983 Shares                         X       1        18483    0     4500
AMGEN INC COM           COMMON   031162100      111        2075 Shares                 X               3         2075    0        0
AMGEN INC COM           COMMON   031162100       32         600 Shares                         X       4          600    0        0
AMYRIS INC              COMMON   03236M101      137        4800 Shares                 X               1         4800    0        0
AMYRIS INC              COMMON   03236M101     2477       86810 Shares                 X               3        86810    0        0
ANADARKO PETROLEUM CORP COMMON   032511107      743        9065 Shares                 X               1         9065    0        0
ANADARKO PETROLEUM CORP COMMON   032511107      212        2589 Shares                         X       1         2589    0        0
ANALOG DEVICES INC      COMMON   032654105       12         302 Shares                 X               1          302    0        0
ANALOG DEVICES INC      COMMON   032654105       14         360 Shares                         X       1          360    0        0
ANAREN INC              COMMON   032744104       73        3613 Shares                 X               1         3613    0        0
ANCHOR BANCORP
   WISCONSIN INC        COMMON   032839102        0         250 Shares                 X               1          250    0        0
ANNALY CAPITAL
   MANAGEMENT INC
   (REIT)               COMMON   035710409       55        3130 Shares                 X               1            0    0        0
ANNALY CAPITAL
   MANAGEMENT INC
   (REIT)               COMMON   035710409        5         300 Shares                         X       1            0    0        0
ANNALY CAPITAL
   MANAGEMENT INC
   (REIT)               COMMON   035710409      846       48500 Shares                 X               2            0    0        0
ANNAPOLIS BANCORP
   INCORPORATED         COMMON   035848100        6        1333 Shares                         X       1         1333    0        0
ANSYS INC               COMMON   03662Q105      349        6446 Shares                 X               1         6446    0        0
ANSYS INC               COMMON   03662Q105     4665       86102 Shares                 X               3        86102    0        0
AON CORP                COMMON   037389103      281        5300 Shares                 X               1         5300    0        0
AON CORP                COMMON   037389103      630       11900 Shares                 X               2            0    0    11900
APACHE CORP COM         COMMON   037411105     6756       51605 Shares                 X               1        51479    0      126
APACHE CORP COM         COMMON   037411105     2989       22831 Shares                         X       1        21916    0      915
APACHE CORP COM         COMMON   037411105      724        5530 Shares                 X               3         4855    0      675
APACHE CORP COM         COMMON   037411105       52         400 Shares                         X       4          400    0        0
APOLLO GROUP INC CL A   COMMON   037604105       28         675 Shares                 X               1          675    0        0
APOLLO INVESTMENT
   CORPORATION          COMMON   03761U106       42        3500 Shares                 X               1            0    0        0
APOLLO INVESTMENT
   CORPORATION          COMMON   03761U106       10         800 Shares                         X       1            0    0        0
APPLE INC               COMMON   037833100    28448       81627 Shares                 X               1        80736    0      891
APPLE INC               COMMON   037833100     4158       11930 Shares                         X       1        10861    0     1069
APPLE INC               COMMON   037833100     3354        9684 Shares                 X               2         1000    0     8684
APPLE INC               COMMON   037833100    10435       29943 Shares                 X               3        29206    0      737
APPLE INC               COMMON   037833100      453        1300 Shares                         X       4         1300    0        0
APPLIED MATERIALS INC
   COM                  COMMON   038222105      670       42898 Shares                 X               1        41898    0     1000
APPLIED MATERIALS INC
   COM                  COMMON   038222105       39        2500 Shares                         X       1         2100    0      400
APPLIED MATERIALS INC
   COM                  COMMON   038222105      966       61859 Shares                 X               3        61859    0        0
APPLIED MICRO CIRCUITS
   CORP                 COMMON   03822W406      110       10625 Shares                 X               1        10625    0        0
APPLIED MICRO CIRCUITS
   CORP                 COMMON   03822W406     2704      260500 Shares                 X               3       260500    0        0
AQUA AMERICA INC        COMMON   03836W103       53        2333 Shares                 X               1         2333    0        0
AQUA AMERICA INC        COMMON   03836W103       27        1200 Shares                         X       1         1200    0        0
AQUA AMERICA INC        COMMON   03836W103       23         988 Shares                 X               3          988    0        0
ARCH COAL INC           COMMON   039380100       34         946 Shares                 X               1          946    0        0
ARCELORMITTAL-NY
   REGISTERED           COMMON   03938L104       11         300 Shares                 X               1          300    0        0
ARCHER DANIELS MIDLAND
   CO COM               COMMON   039483102      176        4900 Shares                 X               1         4900    0        0
ARCHER DANIELS MIDLAND
   CO COM               COMMON   039483102      432       12000 Shares                         X       1         6500    0     5500
ARCHER DANIELS PFD CV
   6.25% 06/01          COMMON   039483201       32         700 Shares                 X               1            0    0        0
ARM HOLDINGS PLC        COMMON   042068106     1315       46677 Shares                 X               1        45931    0      746
ARM HOLDINGS PLC        COMMON   042068106      122        4328 Shares                         X       1         4328    0        0



                                     3 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
ARRIS GROUP             COMMON   04269Q100      251       19720 Shares                         X       1        19720    0        0
ARROW FINL CORP         COMMON   042744102       38        1543 Shares                 X               3         1543    0        0
ARTESIAN RESOURCES
   CORPORATION CL       COMMON   043113208       17         885 Shares                 X               1          885    0        0
ARUBA NETWORKS INC      COMMON   043176106     1063       31405 Shares                 X               1        31405    0        0
ARUBA NETWORKS INC      COMMON   043176106     5900      174337 Shares                 X               3       174337    0        0
ARVINMERITOR INC COM    COMMON   043353101       41        2410 Shares                 X               3         2410    0        0
ASHLAND INC             COMMON   044209104       72        1250 Shares                 X               1         1250    0        0
ASHLAND INC             COMMON   044209104       27         474 Shares                         X       1          474    0        0
THE ASIA PACIFIC FUND   COMMON   044901106       11         945 Shares                 X               1            0    0        0
ASPEN TECHNOLOGY INC    COMMON   045327103       64        4275 Shares                 X               1         4275    0        0
ASPEN TECHNOLOGY INC    COMMON   045327103     1619      108000 Shares                 X               3       108000    0        0
ASSURANT INC            COMMON   04621X108       41        1067 Shares                 X               1         1067    0        0
ASTEC INDUSTRIES INC    COMMON   046224101        4         100 Shares                 X               1          100    0        0
ASTRAZENECA GROUP PLC
   SPONSORED A          COMMON   046353108       71        1544 Shares                 X               1         1496    0       48
ASTRAZENECA GROUP PLC
   SPONSORED A          COMMON   046353108       31         680 Shares                         X       1          680    0        0
ATHENAHEALTH INC        COMMON   04685W103        3          58 Shares                 X               1           58    0        0
ATLAS PIPELINE
   PARTNERS LP          COMMON   049392103        2          60 Shares                         X       1           60    0        0
ATMEL CORP              COMMON   049513104      206       15133 Shares                 X               1        15133    0        0
ATMEL CORP              COMMON   049513104     2739      200950 Shares                 X               3       200950    0        0
ATMOS ENERGY CORP       COMMON   049560105       49        1450 Shares                 X               1         1450    0        0
AUTODESK COM            COMMON   052769106      342        7749 Shares                 X               1         7749    0        0
AUTODESK COM            COMMON   052769106       44        1000 Shares                         X       1         1000    0        0
AUTODESK COM            COMMON   052769106     3730       84577 Shares                 X               3        84577    0        0
AUTOMATIC DATA
   PROCESSING INC       COMMON   053015103     1892       36873 Shares                 X               1        36073    0      800
AUTOMATIC DATA
   PROCESSING INC       COMMON   053015103     2118       41287 Shares                         X       1        38537    0     2750
AUTOMATIC DATA
   PROCESSING INC       COMMON   053015103       64        1245 Shares                 X               2            0    0     1245
AUTOZONE INC COM        COMMON   053332102       71         258 Shares                 X               1          258    0        0
AUTOZONE INC COM        COMMON   053332102       58         212 Shares                         X       1          212    0        0
AUXILIUM
   PHARMACEUTICALS INC  COMMON   05334D107      721       33586 Shares                 X               1        33586    0        0
AUXILIUM
   PHARMACEUTICALS INC  COMMON   05334D107     2081       96924 Shares                 X               3        96924    0        0
AVALONBAY COMMUNITIES
   INC                  COMMON   053484101       31         257 Shares                 X               1            0    0        0
AVIAT NETWORKS INC      COMMON   05366Y102        1         186 Shares                 X               3          186    0        0
AVIS BUDGET GROUP INC   COMMON   053774105        3         158 Shares                 X               1          158    0        0
AVON PRODUCTS INC       COMMON   054303102      919       33973 Shares                 X               1        33973    0        0
AVON PRODUCTS INC       COMMON   054303102      138        5089 Shares                         X       1         4089    0     1000
AVON PRODUCTS INC       COMMON   054303102     1251       46273 Shares                 X               3        46273    0        0
BB&T CORP COM           COMMON   054937107      528       19250 Shares                 X               1        17850    0     1400
BB&T CORP COM           COMMON   054937107      525       19143 Shares                         X       1        19143    0        0
BB&T CORP COM           COMMON   054937107       82        3000 Shares                 X               2            0    0     3000
BCE INC                 COMMON   05534B760      101        2774 Shares                 X               1         2636    0      138
BCE INC                 COMMON   05534B760       14         376 Shares                         X       1          376    0        0
BGC PARTNERS INC - CL A COMMON   05541T101       65        7054 Shares                 X               1         7054    0        0
BGC PARTNERS INC - CL A COMMON   05541T101     1589      171000 Shares                 X               3       171000    0        0
BOK FINANCIAL
   CORPORATION          COMMON   05561Q201        1          11 Shares                 X               1           11    0        0
BP PLC SPONSORED ADR    COMMON   055622104      816       18481 Shares                 X               1        18481    0        0
BP PLC SPONSORED ADR    COMMON   055622104      522       11826 Shares                         X       1        11226    0      600
BP PLC SPONSORED ADR    COMMON   055622104        3          75 Shares                 X               2           75    0        0
BMC SOFTWARE INC COM    COMMON   055921100       30         600 Shares                 X               1          600    0        0
BABCOCK & WILCOX CO     COMMON   05615F102      191        5713 Shares                 X               1         5713    0        0
BABCOCK & WILCOX CO     COMMON   05615F102        9         275 Shares                         X       1          275    0        0
BABCOCK & WILCOX CO     COMMON   05615F102     1531       45853 Shares                 X               3        45853    0        0
BAIDU INC-SPON ADR      COMMON   056752108      599        4350 Shares                 X               1         4350    0        0
BAIDU INC-SPON ADR      COMMON   056752108        4          30 Shares                         X       1           30    0        0
BAIDU INC-SPON ADR      COMMON   056752108      952        6914 Shares                 X               3         6914    0        0
BAKER HUGHES INC COM    COMMON   057224107       68         930 Shares                 X               1          930    0        0
BAKER HUGHES INC COM    COMMON   057224107       48         650 Shares                         X       1          650    0        0
BAKER HUGHES INC COM    COMMON   057224107      151        2300 Shares                 X               2         1300    0     1000
BALL CORPORATION        COMMON   058498106     1721       48000 Shares                 X               1        48000    0        0
BANCO BRADESCO - SPONS
   ADR                  COMMON   059460303       10         482 Shares                 X               1          482    0        0
BANCO BILBAO VIZCAYA
   ARGENTARIA A         COMMON   05946K101        9         728 Shares                 X               1          728    0        0
BANCO SANTANDER SA -
   SPONS ADR            COMMON   05964H105       69        5901 Shares                 X               1         5901    0        0
BANCO SANTANDER SA -
   SPONS ADR            COMMON   05964H105        2         136 Shares                         X       1            1    0      135



                                     4 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
BANCOLOMBIA SA SPONS
   ADR                  COMMON   05968L102       11         168 Shares                 X               1          168    0        0
BANK AMER CORP          COMMON   060505104     6546      491061 Shares                 X               1       482702    0     8359
BANK AMER CORP          COMMON   060505104     1756      131769 Shares                         X       1       120748    0    11021
BANK AMER CORP          COMMON   060505104      132        9904 Shares                 X               2            0    0     9904
BANK AMER CORP          COMMON   060505104     2341      175624 Shares                 X               3       165047    0    10577
BANK AMER CORP
   WARRANTS 1/16/19     COMMON   060505146      397       51800 Shares                 X               2            0    0    51800
BANK AMER CORP
   WARRANTS 10/28/18    COMMON   060505153      324      128670 Shares                 X               2            0    0   128670
BANK NEW YORK MELLON
   CORP                 COMMON   064058100     2914       97552 Shares                 X               1        96552    0     1000
BANK NEW YORK MELLON
   CORP                 COMMON   064058100      482       16131 Shares                         X       1        11819    0     4312
BANK NEW YORK MELLON
   CORP                 COMMON   064058100       73        2443 Shares                 X               2            0    0     2443
BANK NEW YORK MELLON
   CORP                 COMMON   064058100       48        1603 Shares                 X               3         1603    0        0
BARD C R INC COM        COMMON   067383109       50         500 Shares                 X               1          500    0        0
BARD C R INC COM        COMMON   067383109      348        3500 Shares                         X       1         3500    0        0
BARD C R INC COM        COMMON   067383109      143        1441 Shares                 X               3         1441    0        0
BARCLAYS PLC - SPONS
   ADR                  COMMON   06738E204       18        1013 Shares                 X               1         1013    0        0
IPATH DJ-UBS ARG
   SUBINDX TOT          COMMON   06739H206       13         200 Shares                 X               1            0    0        0
BARRICK GOLD CORP       COMMON   067901108       26         494 Shares                 X               1          494    0        0
BARRICK GOLD CORP       COMMON   067901108      180        3470 Shares                         X       1         3470    0        0
BAXTER INTL INC         COMMON   071813109      624       11613 Shares                 X               1        11613    0        0
BAXTER INTL INC         COMMON   071813109      325        6050 Shares                         X       1         6050    0        0
BAXTER INTL INC         COMMON   071813109       54        1000 Shares                 X               2            0    0     1000
BAXTER INTL INC         COMMON   071813109       67        1237 Shares                 X               3         1237    0        0
BECKMAN COULTER INC     COMMON   075811109      173        2080 Shares                         X       1         1080    0     1000
BECTON DICKINSON & CO
   COM                  COMMON   075887109     1254       15755 Shares                 X               1        15755    0        0
BECTON DICKINSON & CO
   COM                  COMMON   075887109      358        4499 Shares                         X       1         4499    0        0
BED BATH & BEYOND INC
   COM                  COMMON   075896100       98        2020 Shares                 X               1         2020    0        0
BEMIS INC               COMMON   081437105       26         800 Shares                         X       1          800    0        0
BENIHANA INC            COMMON   082047101        1         101 Shares                 X               3          101    0        0
BENIHANA INCORPORATED
   CLASS A              COMMON   082047200        0          16 Shares                 X               3           16    0        0
BERKSHIRE HATHAWAY INC
   CLASS A              COMMON   084670108      501           4 Shares                         X       1            4    0        0
BERKSHIRE HATHAWAY INC
   DEL CL B             COMMON   084670702     3490       41736 Shares                 X               1        41103    0      633
BERKSHIRE HATHAWAY INC
   DEL CL B             COMMON   084670702     1088       13012 Shares                         X       1        10874    0     2138
BEST BUY COMPANY INC    COMMON   086516101     1821       63409 Shares                 X               1        62693    0      716
BEST BUY COMPANY INC    COMMON   086516101      311       10816 Shares                         X       1        10696    0      120
BEST BUY COMPANY INC    COMMON   086516101      556       19354 Shares                 X               3        16234    0     3120
BEST BUY COMPANY INC    COMMON   086516101       26         900 Shares                         X       4          900    0        0
BHP BILLITON LTD
   SPONSORED ADR        COMMON   088606108      600        6253 Shares                 X               1         6253    0        0
BHP BILLITON LTD
   SPONSORED ADR        COMMON   088606108      559        5827 Shares                         X       1         3995    0     1832
BIOMARIN
   PHARMACEUTICAL INC   COMMON   09061G101        5         200 Shares                 X               1          200    0        0
BIOGEN IDEC INC         COMMON   09062X103      499        6797 Shares                 X               1         6797    0        0
BIOGEN IDEC INC         COMMON   09062X103      138        1885 Shares                         X       1         1775    0      110
BLACK HILLS CORP        COMMON   092113109       54        1600 Shares                 X               1         1600    0        0
BLACKROCK INC           COMMON   09247X101     2531       12593 Shares                 X               1        12593    0        0
BLACKROCK INC           COMMON   09247X101      334        1660 Shares                         X       1         1660    0        0
BLACKROCK INC           COMMON   09247X101       60         300 Shares                 X               3          300    0        0
BLACKROCK ENERGY &
   RESOURCES TRUS       COMMON   09250U101        7         215 Shares                         X       1            0    0        0
BLACKROCK HEALTH
   SCIENCES TRUST       COMMON   09250W107      135        5000 Shares                         X       1            0    0        0
BLACKROCK INTL GROWTH
   & INCOME TR          COMMON   092524107       51        5000 Shares                 X               1            0    0        0
BLACKROCK KELSO
   CAPITAL CORP         COMMON   092533108        3         250 Shares                 X               1          250    0        0
BLACKROCK KELSO
   CAPITAL CORP         COMMON   092533108        4         420 Shares                         X       1          420    0        0
BLACKSTONE GROUP LP
   (THE)                COMMON   09253U108     1323       73995 Shares                 X               1        72845    0     1150
BLACKSTONE GROUP LP
   (THE)                COMMON   09253U108       65        3652 Shares                         X       1         2072    0     1580
BLACKSTONE GROUP LP
   (THE)                COMMON   09253U108      487       27204 Shares                 X               3        27204    0        0
BLACKROCK REAL ASSET
   EQUITY TRUST         COMMON   09254B109       31        2000 Shares                 X               1            0    0        0
BLACKROCK MUNIYLD
   QUALITY FUND II      COMMON   09254G108       77        6850 Shares                         X       1            0    0        0
BLACKROCK MUNIHLDGS NJ
   QUALITY FU           COMMON   09254X101       41        3050 Shares                         X       1            0    0        0
BLACKROCK MUNIHLDGS NY
   QUALITY FU           COMMON   09255C106       39        3050 Shares                         X       1            0    0        0
BLACKROCK MUNIYLD PA
   QUALITY FUND         COMMON   09255G107        7         490 Shares                         X       1            0    0        0
BLACKROCK CORP HI YLD
   FD V                 COMMON   09255N102      225       18980 Shares                 X               1            0    0        0
BLACKROCK CORP HI YLD
   FD VI                COMMON   09255P107      191       16260 Shares                 X               1            0    0        0
BLACKROCK DEFINED
   OPPORTUNITY          COMMON   09255Q105       16        1056 Shares                 X               1            0    0        0
BLOCK H & R INC         COMMON   093671105       10         570 Shares                 X               1          570    0        0



                                     5 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
BLONDER TONGUE LABS
   INC COM              COMMON   093698108      410      200001 Shares                 X               3       200001    0        0
BODY CENTRAL CORP       COMMON   09689U102       50        2150 Shares                 X               1         2150    0        0
BODY CENTRAL CORP       COMMON   09689U102     1220       52500 Shares                 X               3        52500    0        0
BOEING CO COM           COMMON   097023105     6050       81840 Shares                 X               1        81217    0      623
BOEING CO COM           COMMON   097023105     1316       17802 Shares                         X       1        16533    0     1269
BOEING CO COM           COMMON   097023105     2929       39617 Shares                 X               3        39617    0        0
BON-TON STORES
   INCORPORATED         COMMON   09776J101      124        8000 Shares                 X               1         8000    0        0
BORG WARNER INC COM     COMMON   099724106      324        4066 Shares                 X               1         4066    0        0
BORG WARNER INC COM     COMMON   099724106     4100       51440 Shares                 X               3        51440    0        0
BOSTON BEER
   INCORPORATED CLASS A COMMON   100557107        5          50 Shares                 X               1           50    0        0
BOSTON PROPERTIES INC
   (REIT)               COMMON   101121101       19         200 Shares                 X               1            0    0        0
BOSTON PROPERTIES INC
   (REIT)               COMMON   101121101       57         600 Shares                         X       1            0    0        0
BOSTON SCIENTIFIC CORP
   COM                  COMMON   101137107       34        4690 Shares                         X       1         4690    0        0
BRANDYWINE REALTY
   TRUST (REIT)         COMMON   105368203       18        1500 Shares                 X               1            0    0        0
BRASIL TELECOM SA - ADR COMMON   10553M101        3          94 Shares                 X               1           94    0        0
BRASIL TELECOM SA - ADR COMMON   10553M200        1          54 Shares                 X               1           54    0        0
BRIGGS & STRATTON CORP  COMMON   109043109       77        3401 Shares                 X               3         3401    0        0
BRIGHAM EXPLORATION CO  COMMON   109178103       69        1850 Shares                 X               1         1850    0        0
BRIGHAM EXPLORATION CO  COMMON   109178103     1673       45000 Shares                 X               3        45000    0        0
BRINKER INTL INC COM    COMMON   109641100       90        3573 Shares                 X               1         3573    0        0
BRINKER INTL INC COM    COMMON   109641100      144        5700 Shares                         X       1         5700    0        0
BRISTOL-MYERS SQUIBB CO COMMON   110122108     7411      280412 Shares                 X               1       278544    0     1868
BRISTOL-MYERS SQUIBB CO COMMON   110122108     5870      222088 Shares                         X       1       196193    0    25895
BRISTOL-MYERS SQUIBB CO COMMON   110122108      689       26050 Shares                 X               2            0    0    26050
BRISTOL-MYERS SQUIBB CO COMMON   110122108      102        3841 Shares                 X               3         3841    0        0
BRISTOL-MYERS SQUIBB CO COMMON   110122108       13         500 Shares                         X       4          500    0        0
BRITISH AMERICAN
   TOBACCO-SP ADR       COMMON   110448107        3          40 Shares                 X               1           40    0        0
BROADCOM CORP CL A      COMMON   111320107      253        6415 Shares                 X               1         6415    0        0
BROADCOM CORP CL A      COMMON   111320107        2          58 Shares                         X       1           58    0        0
BROADCOM CORP CL A      COMMON   111320107     1771       44990 Shares                 X               3        44990    0        0
BROADSOFT               COMMON   11133B409      382        8000 Shares                 X               3         8000    0        0
BROADSOFT               COMMON   11133B409      492       10333 Shares           X                              10333    0        0
BROADRIDGE FINANCIAL
   SOLUTIONS IN         COMMON   11133T103        3         150 Shares                         X       1          150    0        0
BROCADE COMMUNICATIONS
   SYSTEM               COMMON   111621306       54        8850 Shares                 X               1         8850    0        0
BROWN-FORMAN CORP CL B  COMMON   115637209      982       14382 Shares                 X               1        14174    0      208
BROWN-FORMAN CORP CL B  COMMON   115637209       94        1373 Shares                         X       1         1373    0        0
BRYN MAWR BANK
   CORPORATION          COMMON   117665109       19         900 Shares                 X               1          900    0        0
BUCKEYE PARTNERS LP
   UNIT LTD PART        COMMON   118230101        3          50 Shares                         X       1           50    0        0
BUCYRUS INTERNATIONAL
   INC                  COMMON   118759109       32         350 Shares                 X               1          350    0        0
CBS CORP CL B           COMMON   124857202     3557      142066 Shares                 X               1       142066    0        0
CBS CORP CL B           COMMON   124857202       65        2611 Shares                         X       1         2286    0      325
CBS CORP CL B           COMMON   124857202     8496      339296 Shares                 X               3       329165    0    10131
CB RICHARD ELLIS GROUP
   INC-A                COMMON   12497T101     4278      160229 Shares                 X               1       160229    0        0
CB RICHARD ELLIS GROUP
   INC-A                COMMON   12497T101       23         852 Shares                         X       1          852    0        0
CB RICHARD ELLIS GROUP
   INC-A                COMMON   12497T101     7853      294114 Shares                 X               3       287920    0     6194
CF INDUSTRIES HOLDINGS
   INC                  COMMON   125269100      110         804 Shares                 X               1          804    0        0
CF INDUSTRIES HOLDINGS
   INC                  COMMON   125269100     2531       18500 Shares                 X               3        18500    0        0
CH ENERGY GROUP INC COM COMMON   12541M102       15         300 Shares                 X               1          300    0        0
CH ENERGY GROUP INC COM COMMON   12541M102       99        1950 Shares                         X       1         1950    0        0
CH ROBINSON WORLDWIDE
   INC                  COMMON   12541W209      253        3418 Shares                 X               1         3418    0        0
CH ROBINSON WORLDWIDE
   INC                  COMMON   12541W209     3206       43252 Shares                 X               3        43252    0        0
CIGNA CORP              COMMON   125509109       22         500 Shares                 X               1          500    0        0
CIGNA CORP              COMMON   125509109      218        4934 Shares                         X       1         4934    0        0
CIGNA CORP              COMMON   125509109        3          68 Shares                 X               3           68    0        0
CME GROUP INC           COMMON   12572Q105       30         100 Shares                 X               1          100    0        0
CME GROUP INC           COMMON   12572Q105       11          35 Shares                         X       1           35    0        0
CNOOC LTD -ADR          COMMON   126132109       21          84 Shares                 X               1           84    0        0
CPFL ENERGIA SA - ADR   COMMON   126153105       44         500 Shares                 X               1          500    0        0
CSX CORP                COMMON   126408103     3878       49335 Shares                 X               1        49335    0        0
CSX CORP                COMMON   126408103     1689       21489 Shares                         X       1        21289    0      200
CSX CORP                COMMON   126408103     1135       14440 Shares                 X               3        14440    0        0
CVS/CAREMARK CORP       COMMON   126650100     2453       71485 Shares                 X               1        70485    0     1000



                                     6 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
CVS/CAREMARK CORP       COMMON   126650100      860       25072 Shares                         X       1        24488    0      584
CVS/CAREMARK CORP       COMMON   126650100       27         800 Shares                         X       4          800    0        0
CA INC                  COMMON   12673P105      121        5000 Shares                 X               1         5000    0        0
CABOT OIL & GAS CORP    COMMON   127097103      287        5417 Shares                 X               1         5417    0        0
CABOT OIL & GAS CORP    COMMON   127097103     3834       72390 Shares                 X               3        72390    0        0
CALAMOS STRATEGIC TOT
   RET FD               COMMON   128125101       49        5000 Shares                         X       1            0    0        0
CALLAWAY GOLF CO COM    COMMON   131193104        0          23 Shares                 X               1           23    0        0
CAMDEN PROPERTY TRUST
   (REIT)               COMMON   133131102       57        1000 Shares                 X               1            0    0        0
CAMECO CORPORATION      COMMON   13321L108        6         200 Shares                 X               1          200    0        0
CAMERON INTERNATIONAL
   CORP                 COMMON   13342B105     2248       39364 Shares                 X               1        38832    0      532
CAMERON INTERNATIONAL
   CORP                 COMMON   13342B105       70        1226 Shares                         X       1         1226    0        0
CAMERON INTERNATIONAL
   CORP                 COMMON   13342B105     3526       61750 Shares                 X               3        61750    0        0
CAMERON INTERNATIONAL
   CORP                 COMMON   13342B105       29         500 Shares                         X       4          500    0        0
CAMPBELL SOUP CO COM    COMMON   134429109       60        1800 Shares                 X               1         1800    0        0
CAMPBELL SOUP CO COM    COMMON   134429109      132        3987 Shares                         X       1         3987    0        0
CANADIAN NATIONAL
   RAILWAY COMPANY      COMMON   136375102      166        2201 Shares                 X               1         2201    0        0
CANADIAN NATURAL
   RESOURCES LTD        COMMON   136385101       31         632 Shares                 X               1          632    0        0
CANADIAN PACIFIC
   RAILWAY LTD          COMMON   13645T100       61         951 Shares                 X               3          951    0        0
CANON INC SPONS ADR     COMMON   138006309       24         555 Shares                 X               1          555    0        0
CAPITAL ONE FINANCIAL
   CORP                 COMMON   14040H105      558       10733 Shares                 X               1        10733    0        0
CAPITAL ONE FINANCIAL
   CORP                 COMMON   14040H105      271        5215 Shares                         X       1         3715    0     1500
CAPITAL ONE FINANCIAL
   CORP                 COMMON   14040H105       31         600 Shares                 X               3          600    0        0
WARRANTS - CAPITAL ONE
   FINL 11/14/18        COMMON   14040H139      968       44770 Shares                 X               2            0    0    44770
CAPITALSOURCE INC       COMMON   14055X102       12        1639 Shares                 X               1         1639    0        0
CAPITALSOURCE INC       COMMON   14055X102     1116      158500 Shares                 X               2            0    0   158500
CAPSTEAD MORTGAGE CV
   PFD $1.26 SE         COMMON   14067E308       34        2400 Shares                 X               1            0    0        0
CARDINAL HEALTH INC     COMMON   14149Y108      157        3818 Shares                 X               1         3818    0        0
CARDINAL HEALTH INC     COMMON   14149Y108      111        2687 Shares                         X       1         2687    0        0
CARDINAL HEALTH INC     COMMON   14149Y108       16         380 Shares                 X               3          380    0        0
CARDTRONICS INC         COMMON   14161H108       42        2050 Shares                 X               1         2050    0        0
CARDTRONICS INC         COMMON   14161H108     1058       52000 Shares                 X               3        52000    0        0
CAREFUSION CORP         COMMON   14170T101       10         355 Shares                 X               1          355    0        0
CAREFUSION CORP         COMMON   14170T101       29        1016 Shares                         X       1         1016    0        0
CARLISLE COMPANIES INC  COMMON   142339100      134        3000 Shares                         X       1         3000    0        0
CARNIVAL CORPORATION    COMMON   143658300     1597       41638 Shares                 X               1        41638    0        0
CARNIVAL CORPORATION    COMMON   143658300      235        6125 Shares                         X       1         5125    0     1000
CARNIVAL CORPORATION    COMMON   143658300      115        3015 Shares                 X               3         3015    0        0
CARPENTER TECHNOLOGY
   CORP COM             COMMON   144285103       33         776 Shares                         X       1          776    0        0
CATALYST HEALTH
   SOLUTIONS INC        COMMON   14888B103       22         400 Shares                 X               1          400    0        0
CATERPILLAR INC         COMMON   149123101    13040      117104 Shares                 X               1       115101    0     2003
CATERPILLAR INC         COMMON   149123101     2694       24192 Shares                         X       1        21014    0     3178
CATERPILLAR INC         COMMON   149123101      295        2682 Shares                 X               2          182    0     2500
CATERPILLAR INC         COMMON   149123101     3930       35299 Shares                 X               3        35299    0        0
CATERPILLAR INC         COMMON   149123101       95         850 Shares                         X       4          850    0        0
CAVIUM NETWORKS INC     COMMON   14965A101       35         775 Shares                 X               1          775    0        0
CAVIUM NETWORKS INC     COMMON   14965A101      899       20000 Shares                 X               3        20000    0        0
CEDAR FAIR LTD PTR      COMMON   150185106       14         750 Shares                 X               1          750    0        0
CELERA CORPORATION      COMMON   15100E106        5         600 Shares                 X               1          600    0        0
CELGENE CORP COM        COMMON   151020104     2534       44019 Shares                 X               1        43679    0      340
CELGENE CORP COM        COMMON   151020104      246        4272 Shares                         X       1         3372    0      900
CELGENE CORP COM        COMMON   151020104     2593       45061 Shares                 X               3        45061    0        0
CEMEX SAB SPONS ADR
   PART CER             COMMON   151290889       27        3039 Shares                         X       1         3039    0        0
CEMEX SAB SPONS ADR
   PART CER             COMMON   151290889        5         648 Shares                 X               2          648    0        0
CENOVUS ENERGY INC      COMMON   15135U109       35         900 Shares                 X               1          900    0        0
CENTERPOINT ENERGY INC  COMMON   15189T107       18        1000 Shares                 X               1         1000    0        0
CENTRAIS ELETRICAS
   BRAS-SP ADR CM       COMMON   15234Q207       24        1540 Shares                 X               1         1540    0        0
CENTRAL FUND OF CANADA
   LTD                  COMMON   153501101        4         175 Shares                         X       1            0    0        0
CENTRAL GOLDTRUST       COMMON   153546106        3          55 Shares                         X       1            0    0        0
CENTURYLINK INC         COMMON   156700106      149        3591 Shares                 X               1         3487    0      104
CENTURYLINK INC         COMMON   156700106       10         232 Shares                         X       1          232    0        0
CEPHALON INC COM        COMMON   156708109       15         200 Shares                 X               1          200    0        0
CERNER CORP             COMMON   156782104     5120       46046 Shares                 X               1        45681    0      365



                                     7 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
CERNER CORP             COMMON   156782104      879        7907 Shares                         X       1         6532    0     1375
CERNER CORP             COMMON   156782104     1123       10100 Shares                 X               2            0    0    10100
CERNER CORP             COMMON   156782104     2819       25351 Shares                 X               3        24348    0     1003
CHART INDUSTRIES INC    COMMON   16115Q308      116        2100 Shares                 X               1         2100    0        0
CHART INDUSTRIES INC    COMMON   16115Q308     2835       51500 Shares                 X               3        51500    0        0
CHEMED CORPORATION      COMMON   16359R103        7         100 Shares                 X               1          100    0        0
CHESAPEAKE ENERGY CORP
   COM                  COMMON   165167107       77        2300 Shares                 X               1         2300    0        0
CHESAPEAKE ENERGY CONV
   PFD 4.50% SER        COMMON   165167842     1072       11050 Shares                 X               2            0    0        0
CHESAPEAKE UTILITIES
CORPORATION             COMMON   165303108       21         500 Shares                         X       1          500    0        0
CHEVRON CORP            COMMON   166764100    30465      283418 Shares                 X               1       280454    0     2964
CHEVRON CORP            COMMON   166764100    20119      187171 Shares                         X       1       176847    0    10324
CHEVRON CORP            COMMON   166764100     1140       10620 Shares                 X               2          400    0    10220
CHEVRON CORP            COMMON   166764100      567        5274 Shares                 X               3         3726    0     1548
CHEVRON CORP            COMMON   166764100      204        1900 Shares                         X       4         1900    0        0
CHICAGO BRIDGE & IRON
   CO N V COM           COMMON   167250109        1          25 Shares                         X       1           25    0        0
CHICAGO BRIDGE & IRON
   CO N V COM           COMMON   167250109      142        3500 Shares                 X               2            0    0     3500
CHIMERA INVESTMENT CORP COMMON   16934Q109       57       14350 Shares                 X               1            0    0        0
CHIMERA INVESTMENT CORP COMMON   16934Q109       28        7100 Shares                         X       1            0    0        0
CHINA MOBILE LTD SPON
   ADR                  COMMON   16941M109       45         963 Shares                 X               1          963    0        0
CHINA UNICOM-(HONG
   KONG) ADR            COMMON   16945R104       40        2420 Shares                 X               1         2420    0        0
CHIPOTLE MEXICAN
   GRILL-CL A           COMMON   169656105      860        3159 Shares                 X               1         3101    0       58
CHIPOTLE MEXICAN
   GRILL-CL A           COMMON   169656105       28         104 Shares                         X       1          104    0        0
CHUBB CORP              COMMON   171232101      398        6486 Shares                 X               1         6486    0        0
CHUBB CORP              COMMON   171232101       43         700 Shares                         X       1          700    0        0
CHURCH & DWIGHT CO INC  COMMON   171340102      314        3954 Shares                 X               1         3954    0        0
CHURCH & DWIGHT CO INC  COMMON   171340102     3464       43670 Shares                 X               3        43670    0        0
CIENA CORP              COMMON   171779309      546       21045 Shares                 X               1        21045    0        0
CIENA CORP              COMMON   171779309     3911      150602 Shares                 X               3       150602    0        0
CIMAREX ENERGY CO       COMMON   171798101       35         300 Shares                 X               1          300    0        0
CIMAREX ENERGY CO       COMMON   171798101       23         200 Shares                         X       1          200    0        0
CINCINNATI FINL CORP
   COM                  COMMON   172062101       64        1959 Shares                 X               1         1907    0       52
CINCINNATI FINL CORP
   COM                  COMMON   172062101       37        1114 Shares                         X       1         1114    0        0
CINCINNATI FINL CORP
   COM                  COMMON   172062101       56        1700 Shares                 X               2            0    0     1700
CINCINNATI FINL CORP
   COM                  COMMON   172062101       23         700 Shares                 X               3          700    0        0
CINEMARK HOLDINGS INC   COMMON   17243V102       63        3250 Shares                 X               1         3250    0        0
CINEMARK HOLDINGS INC   COMMON   17243V102     1616       83500 Shares                 X               3        83500    0        0
CISCO SYSTEMS INC       COMMON   17275R102     9589      559152 Shares                 X               1       551301    0     7851
CISCO SYSTEMS INC       COMMON   17275R102     3071      179095 Shares                         X       1       164617    0    14478
CISCO SYSTEMS INC       COMMON   17275R102      324       18900 Shares                 X               2            0    0    18900
CISCO SYSTEMS INC       COMMON   17275R102     1825      106414 Shares                 X               3       100261    0     6153
CITIGROUP INC COM       COMMON   172967101      385       87176 Shares                 X               1        87176    0        0
CITIGROUP INC COM       COMMON   172967101      150       34014 Shares                         X       1        29354    0     4660
CITIGROUP INC COM       COMMON   172967101       18        4000 Shares                 X               2            0    0     4000
CITIGROUP INC COM       COMMON   172967101       29        6462 Shares                 X               3         6462    0        0
CITRIX SYSTEMS INC COM  COMMON   177376100     3078       41900 Shares                 X               1        41436    0      464
CITRIX SYSTEMS INC COM  COMMON   177376100      138        1877 Shares                         X       1         1877    0        0
CITRIX SYSTEMS INC COM  COMMON   177376100     3876       52758 Shares                 X               3        52758    0        0
CITY HOLDING COMPANY    COMMON   177835105     1096       31000 Shares                 X               1        31000    0        0
GUGGENHEIM S&P GLOBAL
   DIVIDEND             COMMON   18383M860        3         200 Shares                         X       1            0    0        0
GUGGENHEIM S&P GLOBAL
   WATER                COMMON   18383Q507        2         100 Shares                         X       1            0    0        0
CLIFFS NATURAL
   RESOURCES INC        COMMON   18683K101     5832       59340 Shares                 X               1        58740    0      600
CLIFFS NATURAL
   RESOURCES INC        COMMON   18683K101      299        3045 Shares                         X       1         1620    0     1425
CLIFFS NATURAL
   RESOURCES INC        COMMON   18683K101     3888       39556 Shares                 X               3        37836    0     1720
CLOROX COMPANY          COMMON   189054109      651        9293 Shares                 X               1         9293    0        0
CLOROX COMPANY          COMMON   189054109      439        6272 Shares                         X       1         4772    0     1500
CLOUGH GLOBAL
   OPPORTUNITIES        COMMON   18914E106      432       31225 Shares                 X               1            0    0        0
COACH INC               COMMON   189754104     1049       20151 Shares                 X               1        18151    0     2000
COACH INC               COMMON   189754104      247        4737 Shares                         X       1         4737    0        0
COACH INC               COMMON   189754104     4700       90310 Shares                 X               3        90310    0        0
COCA COLA BOTTLING CO
   CONSOLIDATE          COMMON   191098102        8         125 Shares                 X               1          125    0        0
COCA COLA CO COM        COMMON   191216100    17955      270648 Shares                 X               1       267509    0     3139
COCA COLA CO COM        COMMON   191216100     6742      101629 Shares                         X       1        98401    0     3228



                                     8 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
COCA COLA CO COM        COMMON   191216100       45         675 Shares                 X               2            0    0      675
COCA COLA CO COM        COMMON   191216100     4135       62328 Shares                 X               3        58898    0     3430
COCA-COLA ENTERPRISES
   INC                  COMMON   19122T109       27        1000 Shares                 X               1         1000    0        0
CODORUS VALLEY BANCORP
   INC                  COMMON   192025104      243       22408 Shares                 X               1        19800    0     2608
CODORUS VALLEY BANCORP
   INC                  COMMON   192025104      102        9398 Shares                         X       1         9398    0        0
COEUR D'ALENE MINES
   CORP                 COMMON   192108504       72        2075 Shares                 X               1         2075    0        0
COEUR D'ALENE MINES
   CORP                 COMMON   192108504      904       26000 Shares                 X               3        26000    0        0
COGNIZANT TECH SOL CORP COMMON   192446102     2982       36636 Shares                 X               1        36040    0      596
COGNIZANT TECH SOL CORP COMMON   192446102      488        6000 Shares                         X       1         6000    0        0
COHERENT INC            COMMON   192479103       38         650 Shares                 X               1          650    0        0
COHERENT INC            COMMON   192479103      930       16000 Shares                 X               3        16000    0        0
COHEN & STEERS REIT &
   PFD INC FD           COMMON   19247X100       30        2000 Shares                 X               1            0    0        0
COHEN & STEERS REIT &
   PFD INC FD           COMMON   19247X100       24        1600 Shares                         X       1            0    0        0
COHEN & STEERS
   INFRASTRUCTURE FD    COMMON   19248A109      203       11500 Shares                 X               1            0    0        0
COHU INCORPORATED       COMMON   192576106       12         800 Shares                 X               1          800    0        0
COINSTAR INCORPORATED   COMMON   19259P300      319        6952 Shares                 X               1         6952    0        0
COINSTAR INCORPORATED   COMMON   19259P300      544       11850 Shares                 X               3        11850    0        0
COLGATE PALMOLIVE CO
   COM                  COMMON   194162103     5682       70358 Shares                 X               1        70358    0        0
COLGATE PALMOLIVE CO
   COM                  COMMON   194162103     3920       48535 Shares                         X       1        44485    0     4050
COLGATE PALMOLIVE CO
   COM                  COMMON   194162103      926       11478 Shares                 X               2         1778    0     9700
COLGATE PALMOLIVE CO
   COM                  COMMON   194162103      444        5496 Shares                 X               3         5496    0        0
COMCAST CORP NEW A      COMMON   20030N101     1615       65312 Shares                 X               1        65312    0        0
COMCAST CORP NEW A      COMMON   20030N101      756       30594 Shares                         X       1        27400    0     3194
COMCAST CORP NEW A      COMMON   20030N101      111    4494.225 Shares                 X               3     4494.225    0        0
COMCAST CORP-SPECIAL
   CL A                 COMMON   20030N200       83        3582 Shares                 X               1         3582    0        0
COMCAST CORP-SPECIAL
   CL A                 COMMON   20030N200      100        4309 Shares                         X       1         4009    0      300
COMMERCIAL NATL
   FINANCIAL CORP       COMMON   202217105       17         920 Shares                 X               1          920    0        0
COMMERCIAL VEHICLE
   GROUP INC            COMMON   202608105       74        4175 Shares                 X               1         4175    0        0
COMMERCIAL VEHICLE
   GROUP INC            COMMON   202608105     1811      101500 Shares                 X               3       101500    0        0
COMMONWEALTH REIT       COMMON   203233101        8         300 Shares                         X       1            0    0        0
COMMONWEALTH REIT       COMMON   203233408      302       14000 Shares                 X               2            0    0        0
COMMUNITY BANK SYSTEM
   INC                  COMMON   203607106       63        2600 Shares                 X               1          100    0     2500
COMMVAULT SYSTEMS INC   COMMON   204166102       36         900 Shares                 X               1          900    0        0
COMMVAULT SYSTEMS INC   COMMON   204166102      945       23700 Shares                 X               3        23700    0        0
COMPANHIA PARANAENSE
   DE ENERGIA           COMMON   20441B407        5         190 Shares                 X               1          190    0        0
COMPUTER TASK GROUP     COMMON   205477102      781       58750 Shares                 X               1        58750    0        0
CONAGRA FOODS INC       COMMON   205887102       21         900 Shares                 X               1          900    0        0
CONAGRA FOODS INC       COMMON   205887102       32        1346 Shares                         X       1         1346    0        0
CON-WAY INC             COMMON   205944101       20         500 Shares                 X               1          500    0        0
CONCHO RESOURCES INC    COMMON   20605P101       37         342 Shares                 X               1          342    0        0
CONCHO RESOURCES INC    COMMON   20605P101        2          22 Shares                         X       1           22    0        0
CONOCOPHILLIPS          COMMON   20825C104    17113      214282 Shares                 X               1       211544    0     2738
CONOCOPHILLIPS          COMMON   20825C104     5103       63895 Shares                         X       1        57408    0     6487
CONOCOPHILLIPS          COMMON   20825C104      164        2058 Shares                 X               2            0    0     2058
CONOCOPHILLIPS          COMMON   20825C104     2324     29104.8 Shares                 X               3      26689.8    0     2415
CONSOL ENERGY INC       COMMON   20854P109      137        2550 Shares                 X               1         2550    0        0
CONSOL ENERGY INC       COMMON   20854P109       46         850 Shares                         X       1            0    0      850
CONSOLIDATED EDISON INC COMMON   209115104      143        2823 Shares                 X               1         2773    0       50
CONSOLIDATED EDISON INC COMMON   209115104       42         834 Shares                         X       1          834    0        0
CONSOLIDATED EDISON INC COMMON   209115104        5         101 Shares                 X               3          101    0        0
CONSTELLATION BRANDS
   INC CL A             COMMON   21036P108        5         270 Shares                         X       1          270    0        0
CONSTELLATION ENERGY
   GROUP INC CO         COMMON   210371100     1297       41670 Shares                 X               1        41670    0        0
CONSTELLATION ENERGY
   GROUP INC CO         COMMON   210371100     1234       39631 Shares                         X       1        39631    0        0
CORN PRODS INTL INC COM COMMON   219023108       21         400 Shares                         X       1          400    0        0
CORNING INC             COMMON   219350105     4010      194373 Shares                 X               1       192373    0     2000
CORNING INC             COMMON   219350105      703       34059 Shares                         X       1        28234    0     5825
CORNING INC             COMMON   219350105      110        5325 Shares                 X               2            0    0     5325
CORNING INC             COMMON   219350105     1622       78614 Shares                 X               3        73007    0     5607
COSTCO WHOLESALE CORP
   COM                  COMMON   22160K105      477        6511 Shares                 X               1         6511    0        0
COSTCO WHOLESALE CORP
   COM                  COMMON   22160K105      210        2865 Shares                         X       1         2865    0        0
COSTCO WHOLESALE CORP
   COM                  COMMON   22160K105       92        1250 Shares                         X       4         1250    0        0
COVANCE INC COM         COMMON   222816100       30         550 Shares                 X               1          550    0        0



                                     9 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
COVANCE INC COM         COMMON   222816100       55        1000 Shares                         X       1         1000    0        0
COVENTRY HEALTH CARE
   INC                  COMMON   222862104        6         188 Shares                 X               1          188    0        0
CRANE CO                COMMON   224399105      339        7000 Shares                 X               1         7000    0        0
CRAY INC                COMMON   225223304        0          75 Shares                 X               1           75    0        0
CREDIT SUISSE GROUP
   SPONSORED ADR        COMMON   225401108       59        1395 Shares                 X               1         1395    0        0
CREE RESEARCH INC COM   COMMON   225447101      187        4055 Shares                 X               1         3663    0      392
CREE RESEARCH INC COM   COMMON   225447101       78        1684 Shares                         X       1          934    0      750
CROCS INC               COMMON   227046109       64        3600 Shares                 X               1         3600    0        0
CROCS INC               COMMON   227046109     1579       88500 Shares                 X               3        88500    0        0
CROSS TIMBERS ROYALTY
   TRUST                COMMON   22757R109        0           1 Shares                 X               1            0    0        0
CROWN HOLDINGS INC      COMMON   228368106      370        9582 Shares                 X               1         9582    0        0
CROWN HOLDINGS INC      COMMON   228368106     3829       99240 Shares                 X               3        99240    0        0
CUMMINS INC COM         COMMON   231021106     3435       31336 Shares                 X               1        30936    0      400
CUMMINS INC COM         COMMON   231021106      247        2250 Shares                         X       1         1435    0      815
CUMMINS INC COM         COMMON   231021106     6551       59761 Shares                 X               3        58640    0     1121
CURRENCYSHARES
   CANADIAN $ TRUST     COMMON   23129X105       24         233 Shares                         X       1            0    0        0
CURTISS WRIGHT CORP     COMMON   231561101       45        1272 Shares                 X               1         1272    0        0
CUTERA INC              COMMON   232109108        3         400 Shares                 X               1          400    0        0
CYTEC INDUSTRIES INC
   COM                  COMMON   232820100        7         132 Shares                 X               1          132    0        0
DNB FINANCIAL
   CORPORATION          COMMON   233237106       18        1878 Shares                 X               1         1878    0        0
DNP SELECT INCOME FUND
   INC                  COMMON   23325P104       10        1000 Shares                         X       1            0    0        0
DPL INC                 COMMON   233293109       43        1583 Shares                 X               1         1583    0        0
DPL INC                 COMMON   233293109        5         200 Shares                         X       1          200    0        0
D R HORTON INC          COMMON   23331A109     1681      144292 Shares                 X               1       142506    0     1786
D R HORTON INC          COMMON   23331A109      127       10873 Shares                         X       1        10473    0      400
D R HORTON INC          COMMON   23331A109     1622      139297 Shares                 X               3       139297    0        0
DTE ENERGY CO           COMMON   233331107      140        2850 Shares                 X               1         2850    0        0
DTE ENERGY CO           COMMON   233331107       49        1001 Shares                         X       1         1001    0        0
DANA HOLDING
   CORPORATION          COMMON   235825205       31        1775 Shares                 X               1         1775    0        0
DANA HOLDING
   CORPORATION          COMMON   235825205      756       43500 Shares                 X               3        43500    0        0
DANAHER CORP COM        COMMON   235851102     3019       58171 Shares                 X               1        58171    0        0
DANAHER CORP COM        COMMON   235851102      222        4280 Shares                         X       1         3140    0     1140
DANAHER CORP COM        COMMON   235851102      710       13685 Shares                 X               2            0    0    13685
DANAHER CORP COM        COMMON   235851102     2722       52436 Shares                 X               3        49354    0     3082
DARDEN RESTAURANTS INC
   COM                  COMMON   237194105      762       15514 Shares                 X               1        15514    0        0
DARDEN RESTAURANTS INC
   COM                  COMMON   237194105      204        4150 Shares                         X       1         4150    0        0
DAVITA INC WITH
ATTACHED RIGHTS         COMMON   23918K108       13         150 Shares                         X       1            0    0      150
DECKERS OUTDOOR CORP    COMMON   243537107       80         925 Shares                 X               1          925    0        0
DECKERS OUTDOOR CORP    COMMON   243537107     1938       22500 Shares                 X               3        22500    0        0
DEERE & CO              COMMON   244199105     4587       47345 Shares                 X               1        46745    0      600
DEERE & CO              COMMON   244199105      532        5494 Shares                         X       1         4008    0     1486
DEERE & CO              COMMON   244199105     2306       23801 Shares                 X               3        23801    0        0
DELL INC                COMMON   24702R101     1235       85118 Shares                 X               1        84208    0      910
DELL INC                COMMON   24702R101      186       12834 Shares                         X       1        11034    0     1800
DELL INC                COMMON   24702R101       12         800 Shares                 X               3          800    0        0
DELTA AIR LINES INC     COMMON   247361702        1          55 Shares                 X               1           55    0        0
DELTA PETROLEUM CORP    COMMON   247907207       11       12100 Shares                         X       1        12100    0        0
DENTSPLY INTERNATIONAL
   INC COM              COMMON   249030107     1252       33860 Shares                 X               1        33660    0      200
DENTSPLY INTERNATIONAL
   INC COM              COMMON   249030107      211        5700 Shares                         X       1         5700    0        0
DESARROLLADORA HOMEX
   ADR                  COMMON   25030W100        2          82 Shares                 X               1           82    0        0
DEV DIVERSIFIED RLTY
   CORP                 COMMON   251591103        3         220 Shares                         X       1            0    0        0
DEVON ENERGY CORP       COMMON   25179M103      209        2274 Shares                 X               1         2274    0        0
DEVON ENERGY CORP       COMMON   25179M103      124        1352 Shares                         X       1         1352    0        0
DEVRY INC               COMMON   251893103       33         600 Shares                 X               1          600    0        0
DIAGEO PLC SPONSORED
   ADR                  COMMON   25243Q205      352        4623 Shares                 X               1         4623    0        0
DIAGEO PLC SPONSORED
   ADR                  COMMON   25243Q205       42         550 Shares                         X       1          550    0        0
DIAGEO PLC SPONSORED
   ADR                  COMMON   25243Q205       38         500 Shares                 X               3          500    0        0
DIAMOND OFFSHORE
   DRILLING COM         COMMON   25271C102       43         550 Shares                 X               1          550    0        0
DIEBOLD INC             COMMON   253651103        7         190 Shares                 X               1          190    0        0
DINEEQUITY INC          COMMON   254423106      280        5091 Shares                 X               1         5091    0        0
DINEEQUITY INC          COMMON   254423106     4293       78065 Shares                 X               3        78065    0        0
DIREXION DAILY 20-YEAR
   PLUS TREAS           COMMON   25459W532       11         250 Shares                         X       1            0    0        0



                                    10 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
DISNEY WALT CO          COMMON   254687106     6723      156025 Shares                 X               1       155725    0      300
DISNEY WALT CO          COMMON   254687106     2261       52465 Shares                         X       1        46615    0     5850
DISNEY WALT CO          COMMON   254687106      513       11904 Shares                 X               3         8932    0     2972
DISCOVER FINANCIAL
   SERVICES             COMMON   254709108       19         802 Shares                 X               1          802    0        0
DISCOVER FINANCIAL
   SERVICES             COMMON   254709108        8         321 Shares                         X       1          165    0      156
DISCOVERY
   COMMUNICATIONS INC   COMMON   25470F104       29         734 Shares                 X               1          734    0        0
DISCOVERY
   COMMUNICATIONS INC   COMMON   25470F104       28         696 Shares                         X       1          696    0        0
DISCOVERY
   COMMUNICATIONS INC
   - C                  COMMON   25470F302       26         734 Shares                 X               1          734    0        0
DISCOVERY
   COMMUNICATIONS INC
   - C                  COMMON   25470F302       44        1239 Shares                         X       1         1239    0        0
THE DIRECTV GROUP
   HLDGS CL A           COMMON   25490A101      295        6301 Shares                 X               1         6301    0        0
THE DIRECTV GROUP
   HLDGS CL A           COMMON   25490A101      281        6012 Shares                         X       1         6012    0        0
DOLBY LABORATORIES INC
   CL A                 COMMON   25659T107      191        3877 Shares                 X               1         3877    0        0
DOLBY LABORATORIES INC
   CL A                 COMMON   25659T107     2557       51960 Shares                 X               3        51960    0        0
DOLLAR TREE INC         COMMON   256746108      186        3342 Shares                 X               1         3342    0        0
DOLLAR TREE INC         COMMON   256746108       53         949 Shares                         X       1          949    0        0
DOMINION RESOURCES
   BLACK WARRIOR        COMMON   25746Q108       14        1000 Shares                 X               1         1000    0        0
DOMINION RESOURCES INC  COMMON   25746U109     4316       96554 Shares                 X               1        95584    0      970
DOMINION RESOURCES INC  COMMON   25746U109     2797       62570 Shares                         X       1        52984    0     9586
DOMINION RESOURCES INC  COMMON   25746U109       89        2000 Shares                         X       4         2000    0        0
DOMINO'S PIZZA INC      COMMON   25754A201        6         300 Shares                 X               1          300    0        0
DONALDSON INC COM       COMMON   257651109       18         300 Shares                         X       1          300    0        0
DONNELLEY R R & SONS CO COMMON   257867101       13         700 Shares                         X       1          700    0        0
DOVER CORP              COMMON   260003108      864       13140 Shares                 X               1        13140    0        0
DOVER CORP              COMMON   260003108      161        2456 Shares                         X       1         2456    0        0
DOW CHEMICAL CO         COMMON   260543103     4735      125429 Shares                 X               1       125429    0        0
DOW CHEMICAL CO         COMMON   260543103     1832       48531 Shares                         X       1        48531    0        0
DOW CHEMICAL CO         COMMON   260543103       28         750 Shares                 X               2            0    0      750
DOW CHEMICAL CO         COMMON   260543103     1936       51287 Shares                 X               3        51287    0        0
DR PEPPER SNAPPLE
   GROUP INC            COMMON   26138E109       49        1324 Shares                 X               1         1324    0        0
DR PEPPER SNAPPLE
   GROUP INC            COMMON   26138E109        3          70 Shares                         X       1           70    0        0
DREYFUS MUNICIPAL
   INCOME FUND          COMMON   26201R102       64        7200 Shares                         X       1            0    0        0
DREYFUS STRATEGIC MUN
   BD FD                COMMON   26202F107      213       27602 Shares                 X               1            0    0        0
DREYFUS STRATEGIC MUN
   BD FD                COMMON   26202F107       54        7000 Shares                         X       1            0    0        0
DRIL-QUIP INC           COMMON   262037104       36         450 Shares                 X               1          450    0        0
DRIL-QUIP INC           COMMON   262037104      869       11000 Shares                 X               3        11000    0        0
DUPONT EI DE NEMOURS &
   CO COM               COMMON   263534109     8748      159145 Shares                 X               1       158860    0      285
DUPONT EI DE NEMOURS &
   CO COM               COMMON   263534109     6793      123581 Shares                         X       1       117881    0     5700
DUPONT EI DE NEMOURS &
   CO COM               COMMON   263534109      900       16440 Shares                 X               2          800    0    15640
DUPONT EI DE NEMOURS &
   CO COM               COMMON   263534109      498        9057 Shares                 X               3         9057    0        0
DUKE ENERGY CORP        COMMON   26441C105     2443      134583 Shares                 X               1       132977    0     1606
DUKE ENERGY CORP        COMMON   26441C105      640       35288 Shares                         X       1        31988    0     3300
DUKE ENERGY CORP        COMMON   26441C105       41        2284 Shares                 X               3         2284    0        0
DUN & BRADSTREET CORP   COMMON   26483E100       37         458 Shares                 X               1          458    0        0
DUN & BRADSTREET CORP   COMMON   26483E100       32         399 Shares                         X       1          399    0        0
E-COMMERCE CHINA
   DANGDANG INC         COMMON   26833A105      171        8284 Shares                 X               1         8284    0        0
E-COMMERCE CHINA
   DANGDANG INC         COMMON   26833A105      319       15482 Shares                 X               3        15482    0        0
EMC CORP MASS COM       COMMON   268648102    10239      385493 Shares                 X               1       383990    0     1503
EMC CORP MASS COM       COMMON   268648102     1191       44853 Shares                         X       1        43890    0      963
EMC CORP MASS COM       COMMON   268648102      522       19665 Shares                 X               2            0    0    19665
EMC CORP MASS COM       COMMON   268648102     3629      136707 Shares                 X               3       131456    0     5251
ENI SPA-SPONS ADR       COMMON   26874R108       22         454 Shares                 X               1          454    0        0
EOG RESOURCES INC COM   COMMON   26875P101     3524       29733 Shares                 X               1        29333    0      400
EOG RESOURCES INC COM   COMMON   26875P101      412        3480 Shares                         X       1         1650    0     1830
EOG RESOURCES INC COM   COMMON   26875P101      625        5279 Shares                 X               3         3673    0     1606
EQT CORPORATION         COMMON   26884L109       20         400 Shares                 X               1          400    0        0
EQT CORPORATION         COMMON   26884L109      135        2700 Shares                         X       1         2700    0        0
EAGLE BANCORP INC MD    COMMON   268948106      839       59723 Shares                 X               2            0    0    59723
ETFS SILVER TRUST
   EQUITY               COMMON   26922X107       11         300 Shares                         X       1            0    0        0
E*TRADE FINANCIAL
   CORPORATION          COMMON   269246401        3         200 Shares                 X               1          200    0        0
EASTGROUP PROPERTIES
   INCORPORATED         COMMON   277276101      220        5000 Shares                 X               2            0    0        0
EASTMAN CHEMICAL
   COMPANY COM          COMMON   277432100       50         500 Shares                         X       1            0    0      500
EASTMAN CHEMICAL
   COMPANY COM          COMMON   277432100        1          15 Shares                 X               3           15    0        0



                                    11 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
EASTMAN KODAK CO COM    COMMON   277461109        2         500 Shares                 X               1          500    0        0
EASTMAN KODAK CO COM    COMMON   277461109        1         433 Shares                 X               3          433    0        0
EATON CORP COM          COMMON   278058102      617       11136 Shares                 X               1        11136    0        0
EATON CORP COM          COMMON   278058102       33         600 Shares                         X       1          600    0        0
EATON VANCE MUNICIPAL
   INCOME TRUS          COMMON   27826U108       59        5000 Shares                         X       1            0    0        0
EATON VANCE
FLOATING-RATE INC TR    COMMON   278279104        7         450 Shares                 X               1            0    0        0
EATON VANCE NY MUNI BD
   FD                   COMMON   27827Y109       17        1500 Shares                         X       1            0    0        0
EATON VANCE
   TAX-ADVANTAGED DVD
   IN                   COMMON   27828G107       10         550 Shares                         X       1            0    0        0
EATON VANCE SR
   FLOATING RATE FD     COMMON   27828Q105      641       38982 Shares                 X               1            0    0        0
EATON VANCE SR
   FLOATING RATE FD     COMMON   27828Q105       63        3802 Shares                         X       1            0    0        0
EATON VANCE TAX MAN
   GLBL BR              COMMON   27829C105       12        1000 Shares                 X               1            0    0        0
EBAY INC COM            COMMON   278642103      306        9866 Shares                 X               1         9866    0        0
EBAY INC COM            COMMON   278642103       25         800 Shares                         X       1          800    0        0
ECOLAB INC COM          COMMON   278865100     1020       20000 Shares                 X               1        20000    0        0
ECOLAB INC COM          COMMON   278865100      112        2200 Shares                         X       1         2200    0        0
EDISON INTERNATIONAL
   COM                  COMMON   281020107      143        3901 Shares                 X               1         3901    0        0
EDISON INTERNATIONAL
   COM                  COMMON   281020107       53        1450 Shares                         X       1         1450    0        0
EDWARDS LIFESCIENCES
   CORP COM             COMMON   28176E108       95        1096 Shares                 X               1         1096    0        0
EDWARDS LIFESCIENCES
   CORP COM             COMMON   28176E108        2          26 Shares                         X       1           26    0        0
EL PASO CORP COM        COMMON   28336L109       25        1400 Shares                 X               1         1400    0        0
ELDORADO GOLD
   CORPORATION          COMMON   284902103       12         750 Shares                 X               1          750    0        0
ELECTRONICS ARTS COM    COMMON   285512109       64        3260 Shares                 X               1         3260    0        0
ELECTRONICS ARTS COM    COMMON   285512109       32        1650 Shares                         X       1          450    0     1200
ELECTRONICS ARTS COM    COMMON   285512109       10         525 Shares                 X               3          525    0        0
EMERGENCY MEDICAL
   SERVICES-A           COMMON   29100P102      839       13170 Shares                 X               2         1500    0    11670
EMERSON ELECTRIC CO     COMMON   291011104     7772      133019 Shares                 X               1       131719    0     1300
EMERSON ELECTRIC CO     COMMON   291011104     5507       94248 Shares                         X       1        81498    0    12750
EMERSON ELECTRIC CO     COMMON   291011104      935       16005 Shares                 X               2            0    0    16005
EMERSON ELECTRIC CO     COMMON   291011104      755       12914 Shares                 X               3        10691    0     2223
EMPIRE DISTRICT
   ELECTRIC CO          COMMON   291641108       11         500 Shares                 X               1          500    0        0
ENCANA CORP             COMMON   292505104       35        1000 Shares                 X               1         1000    0        0
ENCANA CORP             COMMON   292505104      404       11700 Shares                         X       1        11700    0        0
ENDEAVOUR
   INTERNATIONAL CORP   COMMON   29259G200        2         143 Shares                         X       1          143    0        0
ENERGY TRANSFER
   PARTNERS LP          COMMON   29273R109       26         500 Shares                         X       1          500    0        0
ENERGY TRANSFER EQUITY
   LP                   COMMON   29273V100       68        1500 Shares                 X               2            0    0     1500
ENERSIS SA-SPONS ADR    COMMON   29274F104       12         600 Shares                 X               1          600    0        0
ENERPLUS CORP           COMMON   292766102       19         600 Shares                 X               1          600    0        0
ENERPLUS CORP           COMMON   292766102       62        1955 Shares                         X       1         1955    0        0
ENGLOBAL CORP           COMMON   293306106       63       13814 Shares                 X               1        13814    0        0
ENGLOBAL CORP           COMMON   293306106     1543      340550 Shares                 X               3       340550    0        0
ENSCO PLC               COMMON   29358Q109      176        3050 Shares                 X               1         3050    0        0
ENSCO PLC               COMMON   29358Q109      185        3200 Shares                         X       1         2400    0      800
ENSCO PLC               COMMON   29358Q109       45         775 Shares                 X               3          775    0        0
ENTERGY CORP COM NEW    COMMON   29364G103      138        2059 Shares                 X               1         2059    0        0
ENTERGY CORP COM NEW    COMMON   29364G103       90        1345 Shares                         X       1         1345    0        0
ENTERPRISE PRODUCTS
   PARTNERS LP          COMMON   293792107      218        5062 Shares                 X               1         5062    0        0
ENTERPRISE PRODUCTS
   PARTNERS LP          COMMON   293792107       26         600 Shares                         X       1          600    0        0
ENTERPRISE PRODUCTS
   PARTNERS LP          COMMON   293792107       86        2000 Shares                 X               2            0    0     2000
EQUIFAX INC COM         COMMON   294429105       47        1200 Shares                         X       1         1200    0        0
EQUITY ONE INCORPORATED COMMON   294752100        9         500 Shares                 X               1            0    0        0
EQUITY RESIDENTIAL
   (REIT)               COMMON   29476L107        3          50 Shares                 X               1            0    0        0
EQUITY RESIDENTIAL
   (REIT)               COMMON   29476L107      169        3000 Shares                         X       1            0    0        0
TELEFONAKTIEBOLAGET LM
   ERICSSON A           COMMON   294821608       65        5077 Shares                 X               1         5077    0        0
ERIE INDEMNITY CO CL A  COMMON   29530P102      470        6606 Shares                 X               1         6606    0        0
DELHAIZE GROUP
   SPONSORED ADR        COMMON   29759W101        8         100 Shares                 X               1          100    0        0
EVANS BANCORP INC       COMMON   29911Q208      193       13684 Shares                 X               3        13684    0        0
EVERCORE PARTNERS INC
   CL A                 COMMON   29977A105       72        2100 Shares                 X               1         2100    0        0
EVERCORE PARTNERS INC
   CL A                 COMMON   29977A105     1766       51500 Shares                 X               3        51500    0        0
EXELON CORP             COMMON   30161N101     2597       62962 Shares                 X               1        62587    0      375
EXELON CORP             COMMON   30161N101     1252       30358 Shares                         X       1        27268    0     3090
EXPEDITORS INTL WASH
   INC COM              COMMON   302130109     2090       41670 Shares                 X               1        41164    0      506
EXPEDITORS INTL WASH
   INC COM              COMMON   302130109      106        2110 Shares                         X       1         1910    0      200



                                    12 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
EXPEDITORS INTL WASH
   INC COM              COMMON   302130109     3090       61638 Shares                 X               3        61638    0        0
EXPRESS-1 EXPEDITED
   SOLUTIONS            COMMON   30217Q108        2         800 Shares                 X               1          800    0        0
EXPRESS SCRIPTS INC     COMMON   302182100    14715      264614 Shares                 X               1       262392    0     2222
EXPRESS SCRIPTS INC     COMMON   302182100     4043       72699 Shares                         X       1        68441    0     4258
EXPRESS SCRIPTS INC     COMMON   302182100     5215       93768 Shares                 X               3        91100    0     2668
EXXON MOBIL CORP        COMMON   30231G102    67997      808243 Shares                 X               1       797998    0    10245
EXXON MOBIL CORP        COMMON   30231G102    56795      675090 Shares                         X       1       598989    0    76101
EXXON MOBIL CORP        COMMON   30231G102      470        5584 Shares                 X               2            0    0     5584
EXXON MOBIL CORP        COMMON   30231G102    10229      121586 Shares                 X               3       117270    0     4316
EXXON MOBIL CORP        COMMON   30231G102      257        3050 Shares                         X       4         3050    0        0
FLIR SYSTEMS INC        COMMON   302445101      217        6274 Shares                 X               1         6274    0        0
FLIR SYSTEMS INC        COMMON   302445101       31         895 Shares                         X       1          895    0        0
FLIR SYSTEMS INC        COMMON   302445101     2900       83800 Shares                 X               3        83800    0        0
FMC TECHNOLOGIES INC
   COM                  COMMON   30249U101      318        3370 Shares                 X               1         3370    0        0
FMC TECHNOLOGIES INC
   COM                  COMMON   30249U101     2878       30460 Shares                 X               3        30460    0        0
FNB CORP PA             COMMON   302520101       68        6463 Shares                 X               1         6463    0        0
FNB CORP PA             COMMON   302520101       52        4907 Shares                         X       1            0    0     4907
FACTSET RESEARCH
   SYSTEMS INC          COMMON   303075105       52         500 Shares                         X       1          500    0        0
FAMILY DOLLAR STORES    COMMON   307000109       84        1628 Shares                 X               1         1628    0        0
FAMILY DOLLAR STORES    COMMON   307000109        7         139 Shares                         X       1          139    0        0
FASTENAL CO             COMMON   311900104      215        3310 Shares                 X               1         3310    0        0
FASTENAL CO             COMMON   311900104       65        1000 Shares                         X       1         1000    0        0
FASTENAL CO             COMMON   311900104     2369       36540 Shares                 X               3        36540    0        0
FEDEX CORP COM          COMMON   31428X106     1786       19094 Shares                 X               1        18236    0      858
FEDEX CORP COM          COMMON   31428X106      197        2107 Shares                         X       1         2107    0        0
FEDEX CORP COM          COMMON   31428X106       75         800 Shares                 X               2            0    0      800
F5 NETWORKS INC         COMMON   315616102     1008        9828 Shares                 X               1         9622    0      206
F5 NETWORKS INC         COMMON   315616102      251        2443 Shares                         X       1         2443    0        0
F5 NETWORKS INC         COMMON   315616102     3056       29795 Shares                 X               3        29795    0        0
FIFTH THIRD BANCORP COM COMMON   316773100      142       10219 Shares                 X               1        10219    0        0
FINANCIAL INSTITUTIONS
   INCORPORATED         COMMON   317585404        0           1 Shares                 X               3            1    0        0
FINISAR CORPORATION     COMMON   31787A507      472       19204 Shares                 X               1        19204    0        0
FINISAR CORPORATION     COMMON   31787A507     4562      185445 Shares                 X               3       185445    0        0
FIRST CASH FINANCIAL
   SERVICES INC         COMMON   31942D107       76        1975 Shares                 X               1         1975    0        0
FIRST CASH FINANCIAL
   SERVICES INC         COMMON   31942D107     1965       50900 Shares                 X               3        50900    0        0
FIRST NIAGARA
   FINANCIAL GROUP      COMMON   33582V108        4         292 Shares                 X               1          292    0        0
FIRST NIAGARA
   FINANCIAL GROUP      COMMON   33582V108        3         225 Shares                         X       1          225    0        0
FIRST NIAGARA
   FINANCIAL GROUP      COMMON   33582V108      731       53803 Shares                 X               3        53803    0        0
FIRST SOLAR INC         COMMON   336433107      460        2860 Shares                 X               1         2860    0        0
FIRST SOLAR INC         COMMON   336433107       84         525 Shares                         X       1          200    0      325
FIRST TRUST ISE -
   REVERE NATURAL       COMMON   33734J102      142        6100 Shares                 X               1            0    0        0
FIRST UNITED CORP COM   COMMON   33741H107       20        6489 Shares                 X               3         6489    0        0
FISERV INC              COMMON   337738108        6         100 Shares                 X               1          100    0        0
FISERV INC              COMMON   337738108       16         250 Shares                         X       1           50    0      200
FISERV INC              COMMON   337738108      125        2000 Shares                 X               2            0    0     2000
FIRSTENERGY CORP        COMMON   337932107      137        3693 Shares                 X               1         3693    0        0
FIRSTENERGY CORP        COMMON   337932107      158        4250 Shares                         X       1         4050    0      200
FIVE STAR QUALITY CARE
   INC                  COMMON   33832D106        0          10 Shares                         X       1            0    0       10
FLEXIBLE SOLUTIONS
   INTERNATIONAL        COMMON   33938T104        0         250 Shares                 X               1          250    0        0
FLUOR CORP              COMMON   343412102      171        2323 Shares                 X               1         2323    0        0
FLUOR CORP              COMMON   343412102      243        3300 Shares                         X       1         3300    0        0
FLOWERS FOODS INC COM   COMMON   343498101       14         500 Shares                 X               1          500    0        0
FLOWSERVE CORP COM      COMMON   34354P105       82         640 Shares                 X               1          640    0        0
FOMENTO ECONOMICO
   MEXICANA ADR         COMMON   344419106        5          82 Shares                 X               1           82    0        0
FOOT LOCKER INC         COMMON   344849104       45        2280 Shares                 X               1         2280    0        0
FOOT LOCKER INC         COMMON   344849104      952       48300 Shares                 X               3        48300    0        0
FORD MOTOR CO           COMMON   345370860     4068      272841 Shares                 X               1       270685    0     2156
FORD MOTOR CO           COMMON   345370860      198       13303 Shares                         X       1        12406    0      897
FORD MOTOR CO           COMMON   345370860     3532      236897 Shares                 X               3       225818    0    11079
FORD MOTOR CO           COMMON   345370860       67        4500 Shares                         X       4         4500    0        0
FOREST LABS INC COM     COMMON   345838106      103        3195 Shares                 X               1         3195    0        0
FOREST LABS INC COM     COMMON   345838106       55        1710 Shares                         X       1         1710    0        0



                                    13 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
FORESTAR GROUP INC      COMMON   346233109        1          42 Shares                 X               1           42    0        0
FORTINET INC            COMMON   34959E109       41         925 Shares                 X               1          925    0        0
FORTINET INC            COMMON   34959E109     1012       23000 Shares                 X               3        23000    0        0
FORTUNE BRANDS INC      COMMON   349631101      723       11686 Shares                 X               1        11686    0        0
FORTUNE BRANDS INC      COMMON   349631101      246        3978 Shares                         X       1         3871    0      107
FORTUNE BRANDS $2.67
   PFD                  COMMON   349631200       24          62 Shares                 X               3           62    0        0
FRANCE TELECOM
   SA-SPONS ADR         COMMON   35177Q105       18         816 Shares                 X               1          816    0        0
FRANKLIN RESOURCES INC  COMMON   354613101       58         460 Shares                 X               1          460    0        0
FREEPORT-MCMORAN CPR &
   GLD INC              COMMON   35671D857     2909       52362 Shares                 X               1        51248    0     1114
FREEPORT-MCMORAN CPR &
   GLD INC              COMMON   35671D857      722       12996 Shares                         X       1         9356    0     3640
FREIGHTCAR AMERICA INC  COMMON   357023100       48        1475 Shares                 X               1         1475    0        0
FREIGHTCAR AMERICA INC  COMMON   357023100     1203       37000 Shares                 X               3        37000    0        0
FRONTIER
   COMMUNICATIONS CORP  COMMON   35906A108      226       27540 Shares                 X               1        25462    0     2078
FRONTIER
   COMMUNICATIONS CORP  COMMON   35906A108      187       22810 Shares                         X       1        21890    0      920
FRONTIER
   COMMUNICATIONS CORP  COMMON   35906A108        6         786 Shares                 X               3          786    0        0
FRONTIER OIL
   CORPORATION          COMMON   35914P105       26         900 Shares                 X               1          900    0        0
FULL HOUSE RESORTS INC  COMMON   359678109        2         500 Shares                 X               1          500    0        0
FULTON FINANCIAL CORP   COMMON   360271100     1300      116981 Shares                 X               1       116981    0        0
FULTON FINANCIAL CORP   COMMON   360271100      351       31551 Shares                         X       1        29409 1800      342
FULTON FINANCIAL CORP   COMMON   360271100     4470      402361 Shares                 X               3       402361    0        0
FULTON FINANCIAL CORP   COMMON   360271100     4358      392282 Shares           X                             392282    0        0
GABELLI GLOBAL
   MULTIMEDIA TR        COMMON   36239Q109        8        1015 Shares                         X       1            0    0        0
GABELLI GLOBAL UTIL &
   INCOME               COMMON   36242L105       10         504 Shares                 X               1            0    0        0
GABELLI GLOBAL GOLD
   NATL RES & IN        COMMON   36244N109        6         310 Shares                         X       1            0    0        0
GALLAGHER ARTHUR J. &
   CO                   COMMON   363576109       30        1000 Shares                 X               1         1000    0        0
GAMESTOP CORP - CLASS A COMMON   36467W109      363       16124 Shares                 X               1        15329    0      795
GAMESTOP CORP - CLASS A COMMON   36467W109     2852      126614 Shares                 X               3       126614    0        0
GANNETT CO INC          COMMON   364730101       14         900 Shares                 X               1          900    0        0
GANNETT CO INC          COMMON   364730101       30        2000 Shares                         X       1         2000    0        0
GAP INC COM             COMMON   364760108       34        1500 Shares                 X               1         1500    0        0
GAP INC COM             COMMON   364760108       57        2500 Shares                         X       1         2500    0        0
GARDNER DENVER INC COM  COMMON   365558105       78        1000 Shares                 X               1         1000    0        0
GARDNER DENVER INC COM  COMMON   365558105     1935       24800 Shares                 X               3        24800    0        0
GENERAL DYNAMICS CORP
   COM                  COMMON   369550108     2360       30826 Shares                 X               1        30826    0        0
GENERAL DYNAMICS CORP
   COM                  COMMON   369550108      756        9875 Shares                         X       1         9875    0        0
GENERAL DYNAMICS CORP
   COM                  COMMON   369550108        0           1 Shares                 X               3            1    0        0
GENERAL ELECTRIC
   COMPANY              COMMON   369604103    29371     1464906 Shares                 X               1      1446567    0    18339
GENERAL ELECTRIC
   COMPANY              COMMON   369604103    26545     1323932 Shares                         X       1      1260995    0    62937
GENERAL ELECTRIC
   COMPANY              COMMON   369604103     1765       88055 Shares                 X               2         1000    0    87055
GENERAL ELECTRIC
   COMPANY              COMMON   369604103     4646      231758 Shares                 X               3       222983    0     8775
GENERAL ELECTRIC
   COMPANY              COMMON   369604103       40        2000 Shares                         X       4         2000    0        0
GENERAL GROWTH
   PROPERTIES           COMMON   370023103        0          10 Shares                         X       1            0    0        0
GENERAL MILLS INC       COMMON   370334104     3551       97161 Shares                 X               1        97161    0        0
GENERAL MILLS INC       COMMON   370334104     1677       45895 Shares                         X       1        44695    0     1200
GENERAL MILLS INC       COMMON   370334104       37        1000 Shares                 X               3         1000    0        0
GENUINE PARTS INC       COMMON   372460105      107        2000 Shares                 X               1         2000    0        0
GENUINE PARTS INC       COMMON   372460105      335        6250 Shares                         X       1         6250    0        0
GENZYME CORP COM        COMMON   372917104      474        6226 Shares                 X               1         6226    0        0
GENZYME CORP COM        COMMON   372917104       65         860 Shares                         X       1          860    0        0
GILEAD SCIENCES INC COM COMMON   375558103     4869      114637 Shares                 X               1       113746    0      891
GILEAD SCIENCES INC COM COMMON   375558103      573       13502 Shares                         X       1        12612    0      890
GILEAD SCIENCES INC COM COMMON   375558103      903       21265 Shares                 X               3        17383    0     3882
GLADSTONE CAPITAL CORP  COMMON   376535100      368       32500 Shares                 X               2            0    0    32500
GLADSTONE COMMERCIAL
   CORP                 COMMON   376536108      904       49417 Shares                 X               2         3817    0        0
GLATFELTER              COMMON   377316104      219       16425 Shares                 X               1        16425    0        0
GLATFELTER              COMMON   377316104       15        1150 Shares                         X       1         1150    0        0
GLAXOSMITHKLINE PLC ADR COMMON   37733W105      710       18478 Shares                 X               1        18334    0      144
GLAXOSMITHKLINE PLC ADR COMMON   37733W105      994       25887 Shares                         X       1        19387    0     6500
GLAXOSMITHKLINE PLC ADR COMMON   37733W105       15         401 Shares                 X               3          401    0        0
GLOBAL PAYMENTS INC     COMMON   37940X102      212        4335 Shares                 X               1         4335    0        0
GLOBAL PAYMENTS INC     COMMON   37940X102     2810       57435 Shares                 X               3        57435    0        0
GOLDCORP INC            COMMON   380956409       25         505 Shares                         X       1          505    0        0



                                    14 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
GOLDMAN SACHS GROUP
   INC COM              COMMON   38141G104     8676       54701 Shares                 X               1        53799    0      902
GOLDMAN SACHS GROUP
   INC COM              COMMON   38141G104     1489        9389 Shares                         X       1         8503    0      886
GOLDMAN SACHS GROUP
   INC COM              COMMON   38141G104      222        1400 Shares                 X               2            0    0     1400
GOLDMAN SACHS GROUP
   INC COM              COMMON   38141G104     1966       12405 Shares                 X               3        11164    0     1241
GOODRICH CORP           COMMON   382388106       84         985 Shares                 X               1          985    0        0
GOODRICH CORP           COMMON   382388106     1125       13150 Shares                 X               3        13150    0        0
GOOGLE INC CL A         COMMON   38259P508     9272       15802 Shares                 X               1        15657    0      145
GOOGLE INC CL A         COMMON   38259P508      864        1473 Shares                         X       1         1100    0      373
GOOGLE INC CL A         COMMON   38259P508     1890        3226 Shares                 X               2           60    0     3166
GOOGLE INC CL A         COMMON   38259P508     3136        5350 Shares                 X               3         5064    0      286
GORDMANS STORE INC      COMMON   38269P100       45        2525 Shares                 X               1         2525    0        0
GORDMANS STORE INC      COMMON   38269P100     1073       60500 Shares                 X               3        60500    0        0
GOVERNMENT PROPERTIES
   INCOME TRUST         COMMON   38376A103       73        2700 Shares                         X       1            0    0        0
GOVERNMENT PROPERTIES
   INCOME TRUST         COMMON   38376A103      175        6500 Shares                 X               2            0    0        0
GRACO INC COM           COMMON   384109104      187        4107 Shares                 X               1         4107    0        0
GRACO INC COM           COMMON   384109104        2          50 Shares                         X       1           50    0        0
GRACO INC COM           COMMON   384109104     1949       42831 Shares                 X               3        42831    0        0
GRAHAM PACKAGING CO INC COMMON   384701108       45        2600 Shares                 X               1         2600    0        0
W W GRAINGER INC COM    COMMON   384802104      702        5100 Shares                 X               1         5100    0        0
W W GRAINGER INC COM    COMMON   384802104      355        2575 Shares                         X       1         2575    0        0
GREAT PLAINS ENERGY INC COMMON   391164100       15         770 Shares                 X               1          770    0        0
GREATBATCH INC          COMMON   39153L106       41        1564 Shares                 X               3         1564    0        0
GREATER CHINA FUND INC  COMMON   39167B102       11         870 Shares                 X               1            0    0        0
GREEN DOT CORP CL A     COMMON   39304D102      168        3908 Shares                 X               1         3908    0        0
GREEN DOT CORP CL A     COMMON   39304D102     2251       52470 Shares                 X               3        52470    0        0
GREENBRIER COMPANIES
   INC                  COMMON   393657101      112        3950 Shares                 X               1         3950    0        0
GREENBRIER COMPANIES
   INC                  COMMON   393657101     2753       97000 Shares                 X               3        97000    0        0
GRUPO TELEVISA SA
   SPONS ADR            COMMON   40049J206        7         297 Shares                 X               1          297    0        0
GULF ISLAND
   FABRICATION INC COM  COMMON   402307102       66        2053 Shares                 X               1         2053    0        0
GULF ISLAND
   FABRICATION INC COM  COMMON   402307102     1633       50750 Shares                 X               3        50750    0        0
HCP INCORPORATED REITS  COMMON   40414L109       68        1800 Shares                 X               1            0    0        0
HCP INCORPORATED REITS  COMMON   40414L109        6         166 Shares                         X       1            0    0        0
HSBC HOLDINGS PLC SPON
   ADR                  COMMON   404280406       70        1354 Shares                 X               1         1354    0        0
HALLIBURTON HLDG CO COM COMMON   406216101     1797       36058 Shares                 X               1        36058    0        0
HALLIBURTON HLDG CO COM COMMON   406216101      219        4400 Shares                         X       1         4400    0        0
HALLIBURTON HLDG CO COM COMMON   406216101     2682       53799 Shares                 X               3        53799    0        0
JOHN HANCOCK PFD INC
   FD II                COMMON   41013X106       20        1050 Shares                 X               1            0    0        0
HANESBRANDS INC         COMMON   410345102       14         500 Shares                         X       1          100    0      400
HARLEY-DAVIDSON INC     COMMON   412822108      301        7077 Shares                 X               1         7077    0        0
HARLEY-DAVIDSON INC     COMMON   412822108      144        3400 Shares                         X       1          200    0     3200
HARRIS CORP             COMMON   413875105      642       12944 Shares                 X               1        12944    0        0
HARRIS CORP             COMMON   413875105      258        5205 Shares                         X       1         5205    0        0
HARRIS CORP             COMMON   413875105       64        1287 Shares                 X               3         1287    0        0
HARSCO CORP             COMMON   415864107     5004      141808 Shares                 X               1       141808    0        0
HARSCO CORP             COMMON   415864107     2429       68831 Shares                         X       1        68831    0        0
HARSCO CORP             COMMON   415864107       28         800 Shares                 X               3          800    0        0
HARTFORD FINANCIAL
   SVCS GRP INC         COMMON   416515104      105        3914 Shares                 X               1         3914    0        0
HARTFORD FINANCIAL
   SVCS GRP INC         COMMON   416515104       79        2920 Shares                         X       1         2030    0      890
HARTFORD FINANCIAL
   SVCS GRP  6/26/19    COMMON   416515120      275       15000 Shares                 X               2            0    0    15000
HARTFORD FINANCIAL
   SVCS GRP             COMMON   416515708       13         518 Shares                 X               1            0    0        0
HATTERAS FINANCIAL CORP COMMON   41902R103      918       32640 Shares                 X               1            0    0        0
HATTERAS FINANCIAL CORP COMMON   41902R103       55        1968 Shares                         X       1            0    0        0
HEALTH
   MANAGEMENT-CLASS A   COMMON   421933102        2         150 Shares                         X       1          150    0        0
HEALTH CARE REIT INC    COMMON   42217K106       28         534 Shares                 X               1            0    0        0
HEALTH CARE REIT INC    COMMON   42217K106        6         112 Shares                         X       1            0    0        0
HEINZ H J CO COM        COMMON   423074103     1140       23359 Shares                 X               1        23237    0      122
HEINZ H J CO COM        COMMON   423074103      454        9307 Shares                         X       1         9307    0        0
HELMERICH & PAYNE INC
   COM                  COMMON   423452101       10         150 Shares                 X               1          150    0        0
HERCULES TECHNOLOGY
   GROWTH               COMMON   427096508        9         812 Shares                 X               1          812    0        0
THE HERSHEY COMPANY     COMMON   427866108     3545       65226 Shares                 X               1        62924    0     2302
THE HERSHEY COMPANY     COMMON   427866108     1521       27982 Shares                         X       1        25082    0     2900
THE HERSHEY COMPANY     COMMON   427866108       69        1261 Shares                 X               3         1261    0        0



                                    15 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
HEWLETT-PACKARD CO      COMMON   428236103     7491      182832 Shares                 X               1       181832    0     1000
HEWLETT-PACKARD CO      COMMON   428236103     1730       42225 Shares                         X       1        37725    0     4500
HEWLETT-PACKARD CO      COMMON   428236103      377        9200 Shares                 X               2            0    0     9200
HEWLETT-PACKARD CO      COMMON   428236103     1998       48776 Shares                 X               3        45074    0     3702
HEWLETT-PACKARD CO      COMMON   428236103       78        1900 Shares                         X       4         1900    0        0
HITACHI LTD SPONS ADR   COMMON   433578507       12         229 Shares                 X               1          229    0        0
HOLOGIC INC COM         COMMON   436440101      113        5106 Shares                 X               1         5106    0        0
HOLOGIC INC COM         COMMON   436440101      183        8225 Shares                         X       1         4825    0     3400
HOLOGIC INC COM         COMMON   436440101       27        1220 Shares                 X               3         1220    0        0
HOME DEPOT INC COM      COMMON   437076102     9478      255735 Shares                 X               1       254249    0     1486
HOME DEPOT INC COM      COMMON   437076102     3567       96257 Shares                         X       1        91760    0     4497
HOME DEPOT INC COM      COMMON   437076102     2536       68441 Shares                 X               3        63261    0     5180
HOME PROPERTIES INC
   (REIT)               COMMON   437306103      147        2500 Shares                         X       1            0    0        0
HOME PROPERTIES INC
   (REIT)               COMMON   437306103      645       10950 Shares                 X               2         1500    0        0
HONDA MTR LTD AMERN SHS COMMON   438128308       34         915 Shares                 X               1          915    0        0
HONEYWELL INTL INC COM  COMMON   438516106     1015       16991 Shares                 X               1        16991    0        0
HONEYWELL INTL INC COM  COMMON   438516106     1866       31246 Shares                         X       1        31246    0        0
HONEYWELL INTL INC COM  COMMON   438516106      128        2150 Shares                 X               2            0    0     2150
HONEYWELL INTL INC COM  COMMON   438516106       12         200 Shares                         X       4          200    0        0
HOSPIRA INC             COMMON   441060100      161        2913 Shares                 X               1         2913    0        0
HOSPIRA INC             COMMON   441060100       63        1142 Shares                         X       1         1092    0       50
HOSPITALITY PROPERTIES
   TRUST (REI           COMMON   44106M102       15         636 Shares                 X               1            0    0        0
HOSPITALITY PROPERTIES
   TRUST (REI           COMMON   44106M102        3         122 Shares                         X       1            0    0        0
HUDSON TECHNOLOGIES INC COMMON   444144109        1         500 Shares                 X               1          500    0        0
HUGOTON ROYALTY TRUST   COMMON   444717102        4         150 Shares                         X       1          150    0        0
HUMAN GENOME SCIENCES
   INC                  COMMON   444903108      786       28636 Shares                 X               1        28636    0        0
HUMAN GENOME SCIENCES
   INC                  COMMON   444903108        8         300 Shares                         X       1          300    0        0
HUMAN GENOME SCIENCES
   INC                  COMMON   444903108     2700       98367 Shares                 X               3        98367    0        0
J B HUNT TRANSPORT
   SERVICES INC         COMMON   445658107        4          95 Shares                 X               1           95    0        0
HUNTINGTON BANCSHARES
   INC COM              COMMON   446150104       48        7275 Shares                 X               1         7275    0        0
HUNTINGTON BANCSHARES
   INC COM              COMMON   446150104     1193      179600 Shares                 X               3       179600    0        0
IPG PHOTONICS CORP      COMMON   44980X109      228        3945 Shares                 X               1         3945    0        0
IPG PHOTONICS CORP      COMMON   44980X109     4705       81570 Shares                 X               3        81570    0        0
ING RISK MANAGED
   NATURAL RES          COMMON   449810100       85        5200 Shares                         X       1            0    0        0
ING CLARION GLOBAL R/E
   INCOME FD            COMMON   44982G104    14635     1782580 Shares                 X               1            0    0        0
ING CLARION GLOBAL R/E
   INCOME FD            COMMON   44982G104     2346      285794 Shares                         X       1            0    0        0
ING CLARION GLOBAL R/E
   INCOME FD            COMMON   44982G104     2479      301877 Shares                 X               3        60220    0        0
ING CLARION GLOBAL R/E
   INCOME FD            COMMON   44982G104       16        1982 Shares                 X               4            0    0        0
ITT EDUCATIONAL
   SERVICES INC COM     COMMON   45068B109      164        2274 Shares                 X               1         2274    0        0
ITT EDUCATIONAL
   SERVICES INC COM     COMMON   45068B109     2169       30060 Shares                 X               3        30060    0        0
ITT CORP                COMMON   450911102       87        1442 Shares                 X               1         1442    0        0
ITT CORP                COMMON   450911102      157        2620 Shares                         X       1         2620    0        0
ICON PLC SPONSORED ADR  COMMON   45103T107        9         396 Shares                 X               1          396    0        0
ICICI BANK LIMITED
   SPONSORED ADR        COMMON   45104G104        7         134 Shares                 X               1          134    0        0
ICONIX BRAND GROUP INC  COMMON   451055107       46        2150 Shares                 X               1         2150    0        0
ICONIX BRAND GROUP INC  COMMON   451055107     1181       55000 Shares                 X               3        55000    0        0
ILLINOIS TOOL WKS INC
   COM                  COMMON   452308109      712       13247 Shares                 X               1        13247    0        0
ILLINOIS TOOL WKS INC
   COM                  COMMON   452308109      790       14700 Shares                         X       1        14700    0        0
ILLINOIS TOOL WKS INC
   COM                  COMMON   452308109      430        8000 Shares                 X               2            0    0     8000
ILLUMINA INC            COMMON   452327109     1179       16832 Shares                 X               1        16832    0        0
ILLUMINA INC            COMMON   452327109       16         232 Shares                         X       1          232    0        0
ILLUMINA INC            COMMON   452327109      718       10238 Shares                 X               3        10238    0        0
IMMUNOGEN INC           COMMON   45253H101        1         100 Shares                         X       1          100    0        0
IMPERIAL OIL LTD        COMMON   453038408      128        2500 Shares                         X       1         2500    0        0
INCYTE GENOMICS INC COM COMMON   45337C102       26        1656 Shares                 X               1         1656    0        0
INDIA FUND              COMMON   454089103      179        5433 Shares                 X               1            0    0        0
INERGY LP               COMMON   456615103      113        2830 Shares                 X               1         2830    0        0
INERGY LP               COMMON   456615103       52        1300 Shares                 X               2            0    0     1300
INFORMATICA CORP COM    COMMON   45666Q102      617       11831 Shares                 X               1        11831    0        0
INFORMATICA CORP COM    COMMON   45666Q102     1133       21699 Shares                 X               3        21699    0        0
INFOSYS TECHNOLOGIES
   LTDSPON ADR          COMMON   456788108       73        1014 Shares                 X               1         1014    0        0
INFOSYS TECHNOLOGIES
   LTDSPON ADR          COMMON   456788108        3          42 Shares                         X       1           42    0        0



                                    16 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
ING GROEP NV SPONSORED
   ADR                  COMMON   456837103       18        1450 Shares                 X               1         1450    0        0
ING GLOBAL EQUITY DIV
   & PREM OPPT          COMMON   45684E107       68        6150 Shares                         X       1            0    0        0
INTEL CORP COM          COMMON   458140100    12724      630510 Shares                 X               1       624324    0     6186
INTEL CORP COM          COMMON   458140100     4948      245180 Shares                         X       1       218399    0    26781
INTEL CORP COM          COMMON   458140100       83        4125 Shares                 X               2            0    0     4125
INTEL CORP COM          COMMON   458140100     2371      117508 Shares                 X               3       112578    0     4930
INTEL CORP COM          COMMON   458140100       61        3000 Shares                         X       4         3000    0        0
INTEGRYS ENERGY GROUP
   INC                  COMMON   45822P105       18         350 Shares                         X       1          350    0        0
INTERCONTINENTAL
   EXCHANGE INC         COMMON   45865V100      931        7534 Shares                 X               1         7404    0      130
INTERCONTINENTAL
   EXCHANGE INC         COMMON   45865V100     3883       31428 Shares                 X               3        31428    0        0
INTERDIGITAL INC        COMMON   45867G101       24         500 Shares                 X               1          500    0        0
IBM CORPORATION         COMMON   459200101    42961      263451 Shares                 X               1       260339    0     3112
IBM CORPORATION         COMMON   459200101    17349      106390 Shares                         X       1        98056    0     8334
IBM CORPORATION         COMMON   459200101     1686       10375 Shares                 X               2          400    0     9975
IBM CORPORATION         COMMON   459200101    54244      332646 Shares                 X               3       331065    0     1581
IBM CORPORATION         COMMON   459200101      102         625 Shares                         X       4          625    0        0
INTERNATIONAL COAL
   GROUP                COMMON   45928H106      115       10150 Shares                 X               1        10150    0        0
INTERNATIONAL COAL
   GROUP                COMMON   45928H106     2814      249000 Shares                 X               3       249000    0        0
INTL FLAVORS &
   FRAGRANCES INC COM   COMMON   459506101       44         700 Shares                 X               1          700    0        0
INTERNATIONAL PAPER CO
   COM                  COMMON   460146103      178        5896 Shares                 X               1         5896    0        0
INTERNATIONAL PAPER CO
   COM                  COMMON   460146103      126        4173 Shares                         X       1         1937    0     2236
INTERNATIONAL SPEEDWAY
   CORP CL A            COMMON   460335201        1          50 Shares                 X               1           50    0        0
INTUIT INC COM          COMMON   461202103       49         925 Shares                 X               1          925    0        0
INVACARE CORP COM       COMMON   461203101        6         200 Shares                 X               1          200    0        0
INTUITIVE SURGICAL INC  COMMON   46120E602     6786       20351 Shares                 X               1        20134    0      217
INTUITIVE SURGICAL INC  COMMON   46120E602      318         955 Shares                         X       1          910    0       45
INTUITIVE SURGICAL INC  COMMON   46120E602     3220        9657 Shares                 X               3         9309    0      348
INTUITIVE SURGICAL INC  COMMON   46120E602      233         700 Shares                         X       4          700    0        0
INTREPID POTASH INC     COMMON   46121Y102       37        1050 Shares                 X               1         1050    0        0
INTREPID POTASH INC     COMMON   46121Y102      923       26500 Shares                 X               3        26500    0        0
INVESCO VAN KAMPEN
   SENIOR INC TR        COMMON   46131H107       10        2000 Shares                         X       1            0    0        0
INVESCO VAN KAMPEN TR
   INVT MUNI            COMMON   46131M106       18        1333 Shares                 X               1            0    0        0
INVESCO VAN KAMPEN TR
   INVT MUNI            COMMON   46131M106       79        5851 Shares                         X       1            0    0        0
INVESCO VAN KAMPEN
   MUNI OPP TR          COMMON   46132C107       98        7385 Shares                         X       1            0    0        0
INVESCO VAN KAMPEN
   ADVANTAGE            COMMON   46132E103       14        1210 Shares                 X               1            0    0        0
INVESCO VAN KAMPEN PA
   VALUE                COMMON   46132K109      152       11794 Shares                 X               1            0    0        0
INVESCO VAN KAMPEN PA
   VALUE                COMMON   46132K109      178       13763 Shares                         X       1            0    0        0
INVESCO VAN KAMPEN
   BOND FUND            COMMON   46132L107       15         818 Shares                 X               1            0    0        0
INVESCO INSURED MUNI
   INC TR               COMMON   46132P108       39        2814 Shares                         X       1            0    0        0
INVESCO VAN KAMPEN
   QUALITY MUNI         COMMON   46133G107       17        1413 Shares                         X       1            0    0        0
INVESCO QUALITY MUNI
   INVT TR              COMMON   46133H105       21        1708 Shares                         X       1            0    0        0
INVESCO HIGH YIELD
   INVESTMENTS FU       COMMON   46133K108        2         300 Shares                 X               1            0    0        0
ION GEOPHYSICAL
   CORPORATION          COMMON   462044108       54        4255 Shares                 X               1         4255    0        0
ION GEOPHYSICAL
   CORPORATION          COMMON   462044108     1320      104000 Shares                 X               3       104000    0        0
IRON MTN INC PA COM     COMMON   462846106       10         329 Shares                 X               1          329    0        0
ISHARES GOLD TRUST      COMMON   464285105     1111       79256 Shares                 X               1            0    0        0
ISHARES GOLD TRUST      COMMON   464285105       18        1250 Shares                 X               2            0    0        0
ISHARES MSCI CANADA
   INDEX FD             COMMON   464286509       26         775 Shares                 X               1            0    0        0
ISHARES MSCI ISRAEL
   CAPPED IND FD        COMMON   464286632       23         393 Shares                 X               1            0    0        0
ISHARES MSCI BRIC
   INDEX FUND           COMMON   464286657       44         875 Shares                 X               2            0    0        0
ISHARES MSCI UNITED
   KINGDOM UNDEX        COMMON   464286699        8         443 Shares                 X               1            0    0        0
ISHARES MSCI JAPAN
   INDEX FD             COMMON   464286848       31        3000 Shares                 X               1            0    0        0
ISHARES MSCI JAPAN
   INDEX FD             COMMON   464286848       34        3300 Shares                         X       1            0    0        0
ISHARES DJ SELECT
   DIVIDEND INDEX       COMMON   464287168       36         700 Shares                 X               1            0    0        0
ISHARES BARCLAYS TIPS
   BOND FD              COMMON   464287176        9          83 Shares                 X               1            0    0        0
ISHARES DOW JONES US
   TRANS INDX F         COMMON   464287192       10         100 Shares                 X               1            0    0        0
ISHARES S&P 500 INDEX
   FD                   COMMON   464287200     3541       26622 Shares                 X               1            0    0        0
ISHARES S&P 500 INDEX
   FD                   COMMON   464287200     1077        8096 Shares                         X       1            0    0        0
ISHARES S&P 500 INDEX
   FD                   COMMON   464287200       13         100 Shares                 X               2            0    0        0
ISHARES BARCLAYS
   AGGREGATE BD FD      COMMON   464287226      397        3778 Shares                 X               1            0    0        0
ISHARES BARCLAYS
   AGGREGATE BD FD      COMMON   464287226       51         489 Shares                         X       1            0    0        0
ISHARES MSCI EMERGING
   MARKETS IND          COMMON   464287234      311        6389 Shares                 X               1            0    0        0



                                    17 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
ISHARES MSCI EMERGING
   MARKETS IND          COMMON   464287234       26         540 Shares                         X       1            0    0        0
ISHARES S&P GLOBAL
   TECH SEC INDEX       COMMON   464287291        6         100 Shares                         X       1          100    0        0
ISHARES S&P GLOBAL
   ENERGY SECT          COMMON   464287341       13         300 Shares                 X               2            0    0        0
ISHARES S&P NA NAT RES
   SIF                  COMMON   464287374       32         690 Shares                 X               2            0    0        0
ISHARES BARCLAYS 1-3
   YR TREAS BD          COMMON   464287457       61         724 Shares                         X       1            0    0        0
ISHARES MSCI EAFE
   INDEX FD             COMMON   464287465    14551      242187 Shares                 X               1            0    0        0
ISHARES MSCI EAFE
   INDEX FD             COMMON   464287465     7150      119007 Shares                         X       1            0    0        0
ISHARES MSCI EAFE
   INDEX FD             COMMON   464287465       90        1500 Shares                 X               2            0    0        0
ISHARES MSCI EAFE
   INDEX FD             COMMON   464287465     1680       27956 Shares                 X               3            0    0        0
ISHARES MSCI EAFE
   INDEX FD             COMMON   464287465       60        1002 Shares                 X               4            0    0        0
ISHARES RUSSELL MID
   CAP GROWTH INDEX     COMMON   464287481       61        1000 Shares                 X               2            0    0        0
ISHARES RUSSELL MIDCAP
   INDEX FD             COMMON   464287499       41         375 Shares                         X       1            0    0        0
ISHARES S&P MIDCAP 400
   INDEX FD             COMMON   464287507       62         633 Shares                 X               1            0    0        0
ISHARES S&P MIDCAP 400
   INDEX FD             COMMON   464287507       21         212 Shares                 X               2            0    0        0
ISHARES S&P MIDCAP 400
   INDEX FD             COMMON   464287507      894        9052 Shares                 X               3            0    0        0
ISHARES RUSSELL 1000
   VALUE INDEX          COMMON   464287598     8340      121447 Shares                 X               1            0    0        0
ISHARES RUSSELL 1000
   VALUE INDEX          COMMON   464287598     1511       21997 Shares                         X       1            0    0        0
ISHARES RUSSELL 1000
   VALUE INDEX          COMMON   464287598     4165       60664 Shares                 X               3        34504    0        0
ISHARES RUSSELL 1000
   VALUE INDEX          COMMON   464287598      110        1606 Shares                 X               4            0    0        0
ISHARES S&P MIDCAP 400
   BARRA GRWT           COMMON   464287606      753        6826 Shares                 X               1            0    0        0
ISHARES RUSSELL 1000
   GROWTH INDEX         COMMON   464287614    10244      169410 Shares                 X               1            0    0        0
ISHARES RUSSELL 1000
   GROWTH INDEX         COMMON   464287614     2089       34542 Shares                         X       1            0    0        0
ISHARES RUSSELL 1000
   GROWTH INDEX         COMMON   464287614      326        5390 Shares                 X               3         2307    0        0
ISHARES RUSSELL 1000
   GROWTH INDEX         COMMON   464287614      129        2128 Shares                 X               4            0    0        0
ISHARES RUSSELL 1000
   INDEX FD             COMMON   464287622     3453       46739 Shares                 X               1            0    0        0
ISHARES RUSSELL 1000
   INDEX FD             COMMON   464287622      551        7464 Shares                         X       1            0    0        0
ISHARES RUSSELL 2000
   GRWTH FD             COMMON   464287648      124        1304 Shares                 X               2            0    0        0
ISHARES RUSSELL 2000
   INDEX FD             COMMON   464287655      324        3850 Shares                 X               1            0    0        0
ISHARES RUSSELL 2000
   INDEX FD             COMMON   464287655       56         660 Shares                         X       1            0    0        0
ISHARES DOW JONES US
   UTIL SECT            COMMON   464287697       19         245 Shares                 X               1            0    0        0
ISHARES S&P MIDCAP
   400/BARRA VAL IND    COMMON   464287705      522        6052 Shares                 X               1            0    0        0
ISHARES S&P MIDCAP
   400/BARRA VAL IND    COMMON   464287705       43         500 Shares                 X               2            0    0        0
ISHARES DJ US TECH SEC
   INDEX FD             COMMON   464287721      399        5994 Shares                 X               2            0    0        0
ISHARES DJ US REAL
   ESTATE INDEX FD      COMMON   464287739        6         100 Shares                 X               2            0    0        0
ISHARES DJ US
   INDUSTRIAL SEC INDEX COMMON   464287754       14         200 Shares                 X               2            0    0        0
ISHARES DJ US
   HEALTHCARE SECTOR    COMMON   464287762        7         100 Shares                 X               2            0    0        0
ISHARES DOW JONES US
   FINL SECT            COMMON   464287788       20         340 Shares                 X               1            0    0        0
ISHARES DOW JONES US
   FINL SECT            COMMON   464287788       28         470 Shares                         X       1            0    0        0
ISHARES DOW JONES US
   FINL SECT            COMMON   464287788       12         200 Shares                 X               2            0    0        0
ISHARES DJ US ENERGY
   SECTOR IDX FD        COMMON   464287796       15         336 Shares                 X               2            0    0      336
ISHARES S&P SMALLCAP
   600 INDEX FD         COMMON   464287804     1375       18692 Shares                 X               1            0    0        0
ISHARES S&P SMALLCAP
   600 INDEX FD         COMMON   464287804       16         216 Shares                 X               2            0    0        0
ISHARES S&P SMALLCAP
   600 INDEX FD         COMMON   464287804      899       12215 Shares                 X               3            0    0        0
ISHARES DJ US BASIC
   MATERIALS SEC        COMMON   464287838       14         175 Shares                 X               1            0    0        0
ISHARES DJ US BASIC
   MATERIALS SEC        COMMON   464287838       61         750 Shares                         X       1            0    0        0
ISHARES DOW JONES US
   INDEX FD             COMMON   464287846      169        2519 Shares                 X               1            0    0        0
ISHARES S&P EUROPE 350
   INDEX FD             COMMON   464287861      125        3000 Shares                         X       1            0    0        0
ISHARES MSCI ALL
   COUNTRY ASIA EX      COMMON   464288182       63        1000 Shares                 X               2            0    0        0
ISHARES S&P NAT
   AMT-FREE MUN         COMMON   464288414       33         330 Shares                 X               1            0    0        0
ISHARES S&P ASIA 50
   INDEX FD             COMMON   464288430       48        1000 Shares                 X               2            0    0        0
ISHARES FTSE DEVELOPED  COMMON   464288497        6         147 Shares                         X       1            0    0        0
ISHARES IBOXX HI YLD
   CORP BD FD           COMMON   464288513       56         606 Shares                         X       1            0    0        0
ISHARES BARCLAYS INTER
   GOVT/CR BD           COMMON   464288612     2924       27150 Shares                 X               3            0    0        0
ISHARES BARCLAYS
   CREDIT BOND FUND     COMMON   464288620       81         780 Shares                 X               1            0    0        0
ISHARES BARCLAYS
   CREDIT BOND FUND     COMMON   464288620      188        1800 Shares                 X               3         1800    0        0
ISHARES S&P US PFD STK
   INDEX FD             COMMON   464288687      103        2600 Shares                 X               1            0    0        0
ISHARES S&P GLOBAL
   MATERIALS            COMMON   464288695       48         640 Shares                 X               2            0    0        0
ISHARES DJ US HOME
   CONSTRUCT FD         COMMON   464288752       57        4265 Shares                 X               2            0    0     4265
ISHARES MSCI USA ESG
   SELECT               COMMON   464288802       18         316 Shares                 X               1            0    0        0
ISHARES MSCI EAFE
   GRWTH INDEX FD       COMMON   464288885     1660       26666 Shares                 X               1            0    0        0
ISHARES MSCI EAFE
   GRWTH INDEX FD       COMMON   464288885      179        2878 Shares                         X       1            0    0        0
ISHARES SILVER TRUST    COMMON   46428Q109       47        1275 Shares                 X               1            0    0        0



                                    18 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
ISHARES SILVER TRUST    COMMON   46428Q109      233        6350 Shares                         X       1            0    0        0
ISHARES SILVER TRUST    COMMON   46428Q109       83        2250 Shares                 X               2            0    0        0
ISHARES S&P GSCI
   COMMODITY - I        COMMON   46428R107       41        1100 Shares                 X               1            0    0        0
ISIS PHARMACEUTICALS
   COM                  COMMON   464330109        3         350 Shares                 X               1          350    0        0
ITAU UNIBANCO HOLDING
   SA - PREF A          COMMON   465562106       10         400 Shares                 X               1          400    0        0
IVANHOE MINES LTD       COMMON   46579N103        3         115 Shares                 X               1          115    0        0
JDS UNIPHASE CORP       COMMON   46612J507     1321       63408 Shares                 X               1        63408    0        0
JDS UNIPHASE CORP       COMMON   46612J507     1000       47970 Shares                 X               3        43961    0     4009
JPMORGAN CHASE & CO     COMMON   46625H100    14370      311715 Shares                 X               1       309592    0     2123
JPMORGAN CHASE & CO     COMMON   46625H100     5798      125771 Shares                         X       1       112942    0    12829
JPMORGAN CHASE & CO     COMMON   46625H100      106        2305 Shares                 X               2            0    0     2305
JPMORGAN CHASE & CO     COMMON   46625H100     2953       64068 Shares                 X               3        58722    0     5346
JPMORGAN CHASE & CO     COMMON   46625H100       58        1250 Shares                         X       4         1250    0        0
JP MORGAN CHASE -
   WTS 10/28/18         COMMON   46634E114     1342       79975 Shares                 X               2            0    0    79975
JACOBS ENGINEERING
   GROUP INC COM        COMMON   469814107      144        2800 Shares                 X               1         2800    0        0
JACOBS ENGINEERING
   GROUP INC COM        COMMON   469814107       65        1260 Shares                         X       1         1260    0        0
JANUS CAPITAL GROUP INC COMMON   47102X105      846       67870 Shares                 X               1        67870    0        0
JANUS CAPITAL GROUP INC COMMON   47102X105     1608      128935 Shares                 X               3       128935    0        0
JETBLUE AIRWAYS
CORPORATION             COMMON   477143101        1         100 Shares                 X               1          100    0        0
JOHNSON & JOHNSON       COMMON   478160104    22777      384420 Shares                 X               1       379315    0     5105
JOHNSON & JOHNSON       COMMON   478160104    19716      332752 Shares                         X       1       319939    0    12813
JOHNSON & JOHNSON       COMMON   478160104      779       13140 Shares                 X               2            0    0    13140
JOHNSON & JOHNSON       COMMON   478160104      729       12302 Shares                 X               3        12302    0        0
JOHNSON & JOHNSON       COMMON   478160104       92        1550 Shares                         X       4         1550    0        0
JOHNSON CONTROLS INC
   COM                  COMMON   478366107     2984       71777 Shares                 X               1        71085    0      692
JOHNSON CONTROLS INC
   COM                  COMMON   478366107      402        9679 Shares                         X       1         9679    0        0
JOHNSON CONTROLS INC
   COM                  COMMON   478366107     1718       41312 Shares                 X               3        41312    0        0
JOY GLOBAL INCORPORATED COMMON   481165108     2926       29614 Shares                 X               1        29049    0      565
JOY GLOBAL INCORPORATED COMMON   481165108      358        3625 Shares                         X       1         3300    0      325
JOY GLOBAL INCORPORATED COMMON   481165108     6734       68150 Shares                 X               3        68150    0        0
JUNIPER NETWORKS INC    COMMON   48203R104     2152       51139 Shares                 X               1        50263    0      876
JUNIPER NETWORKS INC    COMMON   48203R104      164        3904 Shares                         X       1         3904    0        0
KBR INC                 COMMON   48242W106       98        2600 Shares                 X               1         2600    0        0
KBR INC                 COMMON   48242W106     2417       64000 Shares                 X               3        64000    0        0
KKR FINANCIAL HOLDINGS
   LLC                  COMMON   48248A306      571       58330 Shares                 X               2            0    0    58330
KT CORPORATION SP ADR   COMMON   48268K101        5         235 Shares                 X               1          235    0        0
KAYNE ANDERSON MLP
   INVESTMENT CO        COMMON   486606106       23         714 Shares                 X               1            0    0        0
KELLOGG CO COM          COMMON   487836108     1022       18924 Shares                 X               1        18924    0        0
KELLOGG CO COM          COMMON   487836108      765       14175 Shares                         X       1        14075    0      100
KENNAMETAL INC          COMMON   489170100       95        2425 Shares                 X               1         2425    0        0
KENNAMETAL INC          COMMON   489170100     2337       59900 Shares                 X               3        59900    0        0
KIMBERLY CLARK CORP     COMMON   494368103     4681       71721 Shares                 X               1        71629    0       92
KIMBERLY CLARK CORP     COMMON   494368103     2544       38979 Shares                         X       1        35829    0     3150
KINDER MORGAN ENERGY
   PARTNERS LP          COMMON   494550106      390        5267 Shares                 X               1         5267    0        0
KINDER MORGAN ENERGY
   PARTNERS LP          COMMON   494550106       64         860 Shares                         X       1          860    0        0
KINDER MORGAN ENERGY
   PARTNERS LP          COMMON   494550106      237        3200 Shares                 X               2            0    0     3200
KINDER MORGAN
   MANAGEMENT LLC       COMMON   49455U100     1466       22351 Shares                 X               1        22029    0      322
KINDER MORGAN
   MANAGEMENT LLC       COMMON   49455U100       47         721 Shares                         X       1          721    0        0
KINDER MORGAN
   MANAGEMENT LLC       COMMON   49455U100      105        1607 Shares                 X               2            0    0     1607
KINROSS GOLD
   CORPORATION          COMMON   496902404        3         169 Shares                 X               1          169    0        0
KOHLS CORP COM          COMMON   500255104       83        1563 Shares                 X               1         1563    0        0
KOHLS CORP COM          COMMON   500255104      118        2230 Shares                         X       1         2230    0        0
KONINKLIJKE PHILIPS
   ELEC N V NY S        COMMON   500472303       11         356 Shares                 X               1          356    0        0
KOREA ELECTRIC POWER
   CORP SP ADR          COMMON   500631106        8         655 Shares                 X               1          655    0        0
KRAFT FOODS INC CL A    COMMON   50075N104     5660      180489 Shares                 X               1       179989    0      500
KRAFT FOODS INC CL A    COMMON   50075N104     3040       96953 Shares                         X       1        91433    0     5520
KRAFT FOODS INC CL A    COMMON   50075N104     1072       34190 Shares                 X               2            0    0    34190
KRAFT FOODS INC CL A    COMMON   50075N104      295        9402 Shares                 X               3         6021    0     3381
KRAFT FOODS INC CL A    COMMON   50075N104       19         600 Shares                         X       4          600    0        0
KROGER CO               COMMON   501044101      119        4948 Shares                 X               1         4948    0        0
KROGER CO               COMMON   501044101       12         500 Shares                         X       1            0    0      500
KRONOS WORLDWIDE INC    COMMON   50105F105      100        1710 Shares                 X               1         1710    0        0



                                    19 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
KRONOS WORLDWIDE INC    COMMON   50105F105     2484       42500 Shares                 X               3        42500    0        0
KUBOTA CORP-SPONS ADR   COMMON   501173207        8         165 Shares                 X               1          165    0        0
LKQ CORPORATION         COMMON   501889208      196        8131 Shares                 X               1         8131    0        0
LKQ CORPORATION         COMMON   501889208     2608      108210 Shares                 X               3       108210    0        0
LPL INVESTMENT
   HOLDINGS INC         COMMON   50213H100       73        2025 Shares                 X               1         2025    0        0
LPL INVESTMENT
   HOLDINGS INC         COMMON   50213H100     1791       50000 Shares                 X               3        50000    0        0
LSI CORPORATION         COMMON   502161102        1         133 Shares                 X               1          133    0        0
LSI CORPORATION         COMMON   502161102        0          22 Shares                         X       1           14    0        8
L 3 COMMUNICATIONS
   CORP COM             COMMON   502424104       12         150 Shares                         X       1          150    0        0
L 3 COMMUNICATIONS
   CORP COM             COMMON   502424104      227        2900 Shares                 X               2            0    0     2900
LABORATORY CRP OF AMER
   HLDGS COM NEW        COMMON   50540R409       35         383 Shares                 X               1          383    0        0
LABORATORY CRP OF AMER
   HLDGS COM NEW        COMMON   50540R409     1306       14200 Shares                 X               2          700    0    13500
LAM RESH CORP           COMMON   512807108      199        3512 Shares                 X               1         3512    0        0
LAM RESH CORP           COMMON   512807108     2677       47250 Shares                 X               3        47250    0        0
LAS VEGAS SANDS CORP    COMMON   517834107      611       14476 Shares                 X               1        14476    0        0
LAS VEGAS SANDS CORP    COMMON   517834107     1303       30845 Shares                 X               3        30845    0        0
LATTICE SEMICONDUCTOR
   CORP                 COMMON   518415104       51        8675 Shares                 X               1         8675    0        0
LATTICE SEMICONDUCTOR
   CORP                 COMMON   518415104     1269      215000 Shares                 X               3       215000    0        0
LAUDER ESTEE CO CL A    COMMON   518439104     1320       13702 Shares                 X               1        13702    0        0
LAUDER ESTEE CO CL A    COMMON   518439104      225        2334 Shares                         X       1         1384    0      950
LAUDER ESTEE CO CL A    COMMON   518439104       48         500 Shares                 X               3          500    0        0
LEGGETT & PLATT INC     COMMON   524660107      196        8000 Shares                 X               1         8000    0        0
LEGACY RESERVES LP      COMMON   524707304        4         130 Shares                         X       1          130    0        0
LEGG MASON INC          COMMON   524901105      105        2920 Shares                 X               1         2920    0        0
LEGG MASON INC          COMMON   524901105       13         365 Shares                         X       1          365    0        0
LENNOX INTL INC COM     COMMON   526107107      318        6044 Shares                 X               3         6044    0        0
LEXINGTON REALTY TRUST  COMMON   529043101       20        2154 Shares                 X               1            0    0        0
LIBERTY GLOBAL INC -
   CL A                 COMMON   530555101        9         213 Shares                 X               1          213    0        0
LIBERTY GLOBAL INC -
   CL A                 COMMON   530555101       36         877 Shares                         X       1          877    0        0
LIBERTY GLOBAL INC-CL B COMMON   530555200       23         543 Shares                         X       1          543    0        0
LIBERTY GLOBAL INC CL C COMMON   530555309        9         216 Shares                 X               1          216    0        0
LIBERTY GLOBAL INC CL C COMMON   530555309       57        1420 Shares                         X       1         1420    0        0
LIBERTY MEDIA HLDG
   CORP - INTERAC       COMMON   53071M104       48        3000 Shares                 X               1         3000    0        0
LIBERTY MEDIA HLDG
   CORP - INTERAC       COMMON   53071M104       64        3967 Shares                         X       1         3967    0        0
LIBERTY MEDIA HLDG
   CORP - INTERAC       COMMON   53071M203       43        2714 Shares                         X       1         2714    0        0
LIBERTY MEDIA HLDG
   CORP - CAP SER       COMMON   53071M302       36         484 Shares                 X               1          484    0        0
LIBERTY MEDIA HLDG
   CORP - CAP SER       COMMON   53071M302       58         793 Shares                         X       1          793    0        0
LIBERTY MEDIA HLDG
   CORP - CAP SER       COMMON   53071M401       40         543 Shares                         X       1          543    0        0
LIBERTY MEDIA - STARZ
   SR A                 COMMON   53071M708       23         293 Shares                 X               1          293    0        0
LIBERTY MEDIA - STARZ
   SR A                 COMMON   53071M708       22         278 Shares                         X       1          278    0        0
LIFE TIME FITNESS INC   COMMON   53217R207       49        1325 Shares                 X               1         1325    0        0
LIFE TIME FITNESS INC   COMMON   53217R207     1205       32300 Shares                 X               3        32300    0        0
LIFE TECHNOLOGIES CORP  COMMON   53217V109      202        3861 Shares                 X               1         3861    0        0
LIFE TECHNOLOGIES CORP  COMMON   53217V109       42         800 Shares                         X       1            0    0      800
LIFE TECHNOLOGIES CORP  COMMON   53217V109     2303       43926 Shares                 X               3        43926    0        0
LIHUA INTERNATIONAL INC COMMON   532352101       18        2000 Shares                         X       1         2000    0        0
LILLY ELI & CO          COMMON   532457108     3725      105915 Shares                 X               1       104847    0     1068
LILLY ELI & CO          COMMON   532457108     2948       83816 Shares                         X       1        80935 1600     1281
LILLY ELI & CO          COMMON   532457108      863       24550 Shares                 X               3        19954    0     4596
LIMITED BRANDS, INC COM COMMON   532716107      572       17405 Shares                 X               1        17405    0        0
LIMITED BRANDS, INC COM COMMON   532716107     1056       32139 Shares                 X               3        32139    0        0
LINCOLN NATIONAL CORP   COMMON   534187109       11         350 Shares                 X               1          350    0        0
LINCOLN NATIONAL CORP   COMMON   534187109        1          42 Shares                         X       1           42    0        0
LINCOLN NATIONAL CORP   COMMON   534187109       16         525 Shares                 X               3          525    0        0
LINEAR TECHNOLOGY CORP
   COM                  COMMON   535678106      144        4290 Shares                 X               1         3540    0      750
LINEAR TECHNOLOGY CORP
   COM                  COMMON   535678106       50        1485 Shares                         X       1          525    0      960
LINN ENERGY LLC         COMMON   536020100       70        1800 Shares                 X               1         1800    0        0
LINN ENERGY LLC         COMMON   536020100       22         575 Shares                         X       1          575    0        0
LLOYDS BANKING GROUP
   PLC                  COMMON   539439109        4        1199 Shares                 X               1         1199    0        0
LOCKHEED MARTIN
   CORPORATION COM      COMMON   539830109     3555       44217 Shares                 X               1        44217    0        0
LOCKHEED MARTIN
   CORPORATION COM      COMMON   539830109      872       10850 Shares                         X       1        10850    0        0
LOCKHEED MARTIN
   CORPORATION COM      COMMON   539830109      297        3700 Shares                 X               2            0    0     3700



                                    20 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
LOCKHEED MARTIN
   CORPORATION COM      COMMON   539830109      137        1700 Shares                 X               3         1700    0        0
LOCKHEED MARTIN
   CORPORATION COM      COMMON   539830109       44         550 Shares                         X       4          550    0        0
LOEWS CORP              COMMON   540424108      198        4605 Shares                 X               1         4605    0        0
LOEWS CORP              COMMON   540424108      155        3600 Shares                 X               2            0    0     3600
LORILLARD INC           COMMON   544147101       64         677 Shares                 X               1          661    0       16
LORILLARD INC           COMMON   544147101        3          36 Shares                         X       1           36    0        0
LOWES COMPANIES INC     COMMON   548661107     4233      160177 Shares                 X               1       157599    0     2578
LOWES COMPANIES INC     COMMON   548661107      244        9233 Shares                         X       1         7533    0     1700
LOWES COMPANIES INC     COMMON   548661107       26        1000 Shares                 X               3         1000    0        0
LUBRIZOL CORP           COMMON   549271104       12          92 Shares                 X               1           92    0        0
LUBRIZOL CORP           COMMON   549271104      873        6516 Shares                         X       1         6516    0        0
LUFKIN INDUSTRIES INC   COMMON   549764108      252        2700 Shares                 X               1         2700    0        0
LUFKIN INDUSTRIES INC   COMMON   549764108     3636       38900 Shares                 X               3        38900    0        0
LULULEMON ATHLETICA
   INC-W/I              COMMON   550021109     1185       13307 Shares                 X               1        13307    0        0
LULULEMON ATHLETICA
   INC-W/I              COMMON   550021109     5525       62036 Shares                 X               3        62036    0        0
LUXOTTICA GROUP
   SPA-SPON ADR         COMMON   55068R202       10         290 Shares                 X               1          290    0        0
M & T BANK CORP         COMMON   55261F104   129209     1460482 Shares                 X               1      1431135    0    29347
M & T BANK CORP         COMMON   55261F104    11989      135520 Shares                         X       1         8613    0   126907
M & T BANK CORP         COMMON   55261F104     4306       48676 Shares                 X               3        48676    0        0
M & T BANK CORP         COMMON   55261F104       13         150 Shares                         X       4          150    0        0
MEMC ELECTRONIC
   MATERIALS INC        COMMON   552715104        5         385 Shares                 X               1          385    0        0
MEMC ELECTRONIC
   MATERIALS INC        COMMON   552715104        4         275 Shares                 X               3          275    0        0
MKS INSTRUMENTS INC     COMMON   55306N104      162        4873 Shares                 X               1         4873    0        0
MKS INSTRUMENTS INC     COMMON   55306N104     2145       64400 Shares                 X               3        64400    0        0
MSC INDUSTRIAL DIRECT
   CO, CL A             COMMON   553530106       82        1200 Shares                 X               1         1200    0        0
MSC INDUSTRIAL DIRECT
   CO, CL A             COMMON   553530106     1986       29000 Shares                 X               3        29000    0        0
MYR GROUP INC           COMMON   55405W104       57        2375 Shares                 X               1         2375    0        0
MYR GROUP INC           COMMON   55405W104     1457       60900 Shares                 X               3        60900    0        0
MACY'S INC              COMMON   55616P104       47        1956 Shares                 X               1         1956    0        0
MACY'S INC              COMMON   55616P104       20         842 Shares                         X       1          842    0        0
MACY'S INC              COMMON   55616P104       55        2275 Shares                 X               3         2275    0        0
MAGELLAN MIDSTREAM
   PARTNERS L.P.        COMMON   559080106       30         500 Shares                         X       1          500    0        0
MAGELLAN MIDSTREAM
   PARTNERS L.P.        COMMON   559080106       90        1500 Shares                 X               2            0    0     1500
MAGNA INTERNATIONAL     COMMON   559222401       19         400 Shares                 X               1          400    0        0
MANITOWOC CO INC COM    COMMON   563571108     1193       54536 Shares                 X               1        54536    0        0
MANITOWOC CO INC COM    COMMON   563571108     2126       97133 Shares                 X               3        97133    0        0
MANPOWER INC WIS        COMMON   56418H100       94        1500 Shares                 X               1         1500    0        0
MANULIFE FINANCIAL CORP COMMON   56501R106      577       32590 Shares                 X               1        32590    0        0
MANULIFE FINANCIAL CORP COMMON   56501R106       32        1832 Shares                         X       1         1832    0        0
MAP PHARMACEUTICALS INC COMMON   56509R108      136        9878 Shares                 X               1         9878    0        0
MAP PHARMACEUTICALS INC COMMON   56509R108     2380      172550 Shares                 X               3       172550    0        0
MARATHON OIL CORP       COMMON   565849106      678       12711 Shares                 X               1        12711    0        0
MARATHON OIL CORP       COMMON   565849106       81        1522 Shares                         X       1         1522    0        0
MARKEL CORP COM         COMMON   570535104        7          18 Shares                 X               1           18    0        0
MARKEL CORP COM         COMMON   570535104      607        1465 Shares                 X               2            0    0     1465
MARKET VECTORS GOLD
   MINERS               COMMON   57060U100       13         220 Shares                         X       1            0    0        0
MARKWEST ENERGY
   PARTNERS LP          COMMON   570759100       10         200 Shares                         X       1          200    0        0
MARSH & MCLENNAN COS
   INC COM              COMMON   571748102       58        1950 Shares                         X       1         1950    0        0
MARRIOTT INTL INC CL A  COMMON   571903202       32         900 Shares                 X               1          900    0        0
MASCO CORP              COMMON   574599106       27        1967 Shares                 X               1         1967    0        0
MASCO CORP              COMMON   574599106       43        3058 Shares                         X       1         3058    0        0
MASSEY ENERGY CO COM    COMMON   576206106      103        1500 Shares                         X       1         1500    0        0
MASTERCARD INC CL A     COMMON   57636Q104      787        3125 Shares                 X               1         3125    0        0
MASTERCARD INC CL A     COMMON   57636Q104       12          48 Shares                         X       1           48    0        0
MASTERCARD INC CL A     COMMON   57636Q104       28         100 Shares                 X               2          100    0        0
MASTERCARD INC CL A     COMMON   57636Q104      753        2993 Shares                 X               3         2993    0        0
MATTEL INC              COMMON   577081102       20         796 Shares                 X               1          796    0        0
MATTSON TECHNOLOGY
   INCORPORATED         COMMON   577223100       16        6752 Shares                 X               1         6752    0        0
MATTSON TECHNOLOGY
   INCORPORATED         COMMON   577223100      403      165000 Shares                 X               3       165000    0        0
MAXIM INTEGRATED PRODS
   INC COM              COMMON   57772K101        5         200 Shares                         X       1          200    0        0
MCCORMICK & CO INC      COMMON   579780107        2          50 Shares                 X               3           50    0        0
MCCORMICK & CO-NON VTG
   SHS                  COMMON   579780206     2412       50425 Shares                 X               1        50425    0        0



                                    21 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
MCCORMICK & CO-NON VTG
   SHS                  COMMON   579780206      267        5575 Shares                         X       1         5575    0        0
MCDERMOTT INTL INC      COMMON   580037109      533       21002 Shares                 X               1        21002    0        0
MCDERMOTT INTL INC      COMMON   580037109       14         550 Shares                         X       1          550    0        0
MCDERMOTT INTL INC      COMMON   580037109     5078      200006 Shares                 X               3       200006    0        0
MCDONALD'S CORPORATION  COMMON   580135101    10218      134285 Shares                 X               1       133720    0      565
MCDONALD'S CORPORATION  COMMON   580135101     3797       49899 Shares                         X       1        46959    0     2940
MCDONALD'S CORPORATION  COMMON   580135101      373        4905 Shares                 X               2            0    0     4905
MCDONALD'S CORPORATION  COMMON   580135101     1826       23990 Shares                 X               3        22646    0     1344
MCDONALD'S CORPORATION  COMMON   580135101      137        1800 Shares                         X       4         1800    0        0
MC GRAW HILL COMPANIES
   INC                  COMMON   580645109      360        9130 Shares                 X               1         9130    0        0
MC GRAW HILL COMPANIES
   INC                  COMMON   580645109      705       17895 Shares                         X       1        14895    0     3000
MCKESSON CORPORATION
   COM                  COMMON   58155Q103       32         400 Shares                         X       1          400    0        0
MCMORAN EXPLORATION CO  COMMON   582411104       35        2000 Shares                         X       1         2000    0        0
MEAD JOHNSON NUTRITION
   CO                   COMMON   582839106       54         932 Shares                 X               1          932    0        0
MEAD JOHNSON NUTRITION
   CO                   COMMON   582839106        3          50 Shares                         X       1           50    0        0
MEAD JOHNSON NUTRITION
   CO                   COMMON   582839106       68        1100 Shares                 X               2         1100    0        0
MEDCO HEALTH SOLUTIONS
   INC                  COMMON   58405U102     1266       22551 Shares                 X               1        22551    0        0
MEDCO HEALTH SOLUTIONS
   INC                  COMMON   58405U102     1756       31265 Shares                         X       1        26553    0     4712
MEDIA GEN INC CL A      COMMON   584404107        9        1340 Shares                 X               3         1340    0        0
MEDIDATA SOLUTIONS INC  COMMON   58471A105        5         200 Shares                 X               1          200    0        0
MEDTRONIC INC           COMMON   585055106     1778       45191 Shares                 X               1        44991    0      200
MEDTRONIC INC           COMMON   585055106      916       23275 Shares                         X       1        20300    0     2975
MEDTRONIC INC           COMMON   585055106      173        4400 Shares                 X               2            0    0     4400
MEDTRONIC INC           COMMON   585055106       45        1150 Shares                 X               3         1150    0        0
MERCK & CO INC          COMMON   58933Y105    10908      330434 Shares                 X               1       327277    0     3157
MERCK & CO INC          COMMON   58933Y105     5712      173026 Shares                         X       1       158950    0    14076
MERCK & CO INC          COMMON   58933Y105      871       26394 Shares                 X               2            0    0    26394
MERCK & CO INC          COMMON   58933Y105      825       25009 Shares                 X               3        25009    0        0
METALICO INC            COMMON   591176102       73       11700 Shares                 X               1        11700    0        0
METALICO INC            COMMON   591176102     1861      299200 Shares                 X               3       299200    0        0
METLIFE INC             COMMON   59156R108     4537      101437 Shares                 X               1        99881    0     1556
METLIFE INC             COMMON   59156R108      605       13526 Shares                         X       1        10342    0     3184
METLIFE INC             COMMON   59156R108     2631       58820 Shares                 X               3        55334    0     3486
METRO BANCORP INC       COMMON   59161R101      346       28015 Shares                 X               3        28015    0        0
METROPOLITAN HEALTH
   NETWORKS INC         COMMON   592142103        2         500 Shares                 X               1          500    0        0
MICROSOFT CORP          COMMON   594918104    17655      695369 Shares                 X               1       686446    0     8923
MICROSOFT CORP          COMMON   594918104     6410      252470 Shares                         X       1       225721    0    26749
MICROSOFT CORP          COMMON   594918104     3078      121302 Shares                 X               3       114013    0     7289
MICROSOFT CORP          COMMON   594918104       63        2500 Shares                         X       4         2500    0        0
MICROCHIP TECHNOLOGY
   INC COM              COMMON   595017104      222        5850 Shares                 X               1         5850    0        0
MICROCHIP TECHNOLOGY
   INC COM              COMMON   595017104       19         500 Shares                         X       1          500    0        0
MICRON TECHNOLOGY INC
   COM                  COMMON   595112103        6         500 Shares                         X       1          500    0        0
MIDDLESEX WATER CO      COMMON   596680108        7         400 Shares                 X               1          400    0        0
MINDRAY MEDICAL INTL
   LTD-ADR              COMMON   602675100        8         319 Shares                 X               1          319    0        0
MINDSPEED TECHNOLOGIES
   INC                  COMMON   602682205       59        6925 Shares                 X               1         6925    0        0
MINDSPEED TECHNOLOGIES
   INC                  COMMON   602682205     1438      170000 Shares                 X               3       170000    0        0
MITSUBISHI UFJ
   FINANCIAL GRP-ADR    COMMON   606822104       15        3180 Shares                 X               1         3180    0        0
MITSUI & CO LTD-SPONS
   ADR                  COMMON   606827202       11          30 Shares                 X               1           30    0        0
MIZUHO FINANCIAL GROUP
   INC                  COMMON   60687Y109        5        1415 Shares                 X               1         1415    0        0
MODINE MFG CO COM       COMMON   607828100       21        1325 Shares                 X               1         1325    0        0
MODINE MFG CO COM       COMMON   607828100      525       32500 Shares                 X               3        32500    0        0
MOLSON COORS BREWING
   COMPANY              COMMON   60871R209       22         465 Shares                 X               1          465    0        0
MOLSON COORS BREWING
   COMPANY              COMMON   60871R209       28         600 Shares                         X       1          600    0        0
MOLYCORP INC            COMMON   608753109       72        1200 Shares                 X               1         1200    0        0
MOLYCORP INC            COMMON   608753109     1771       29500 Shares                 X               3        29500    0        0
MONSANTO COMPANY        COMMON   61166W101     1681       23261 Shares                 X               1        22951    0      310
MONSANTO COMPANY        COMMON   61166W101      818       11324 Shares                         X       1        11124    0      200
MONSANTO COMPANY        COMMON   61166W101      330        4565 Shares                 X               2            0    0     4565
MONSANTO COMPANY        COMMON   61166W101       61         850 Shares                 X               3          850    0        0
MOODYS CORP             COMMON   615369105       56        1662 Shares                 X               1         1662    0        0
MOOG INC CL A           COMMON   615394202       14         300 Shares                 X               1          300    0        0
MOOG INC CL A           COMMON   615394202      964       20992 Shares                 X               3        20992    0        0



                                    22 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
MOOG INC CL B           COMMON   615394301      753       16543 Shares                 X               3        16543    0        0
MORGAN STANLEY GROUP
   INC                  COMMON   617446448     1252       45829 Shares                 X               1        45829    0        0
MORGAN STANLEY GROUP
   INC                  COMMON   617446448      173        6320 Shares                         X       1         4025    0     2295
MORGAN STANLEY GROUP
   INC                  COMMON   617446448      175        6403 Shares                 X               3         3747    0     2656
MORGAN STANLEY
   EMERGING MKTS FD     COMMON   61744G107        8         504 Shares                 X               1            0    0        0
THE MOSAIC COMPANY      COMMON   61945A107     2170       27552 Shares                 X               1        27552    0        0
THE MOSAIC COMPANY      COMMON   61945A107      180        2280 Shares                         X       1         1780    0      500
THE MOSAIC COMPANY      COMMON   61945A107      139        1800 Shares                 X               2         1000    0      800
THE MOSAIC COMPANY      COMMON   61945A107     3028       38457 Shares                 X               3        37573    0      884
THE MOSAIC COMPANY      COMMON   61945A107       59         750 Shares                         X       4          750    0        0
MOTOROLA INC            COMMON   620076307       80        1792 Shares                 X               1         1792    0        0
MOTOROLA INC            COMMON   620076307      216        4844 Shares                         X       1         4844    0        0
MOTOROLA MOBILITY
   HOLDINGS W           COMMON   620097105       28        1155 Shares                 X               1         1155    0        0
MOTOROLA MOBILITY
   HOLDINGS W           COMMON   620097105       87        3570 Shares                         X       1         3570    0        0
MURPHY OIL CORP         COMMON   626717102       55         750 Shares                 X               1          750    0        0
MURPHY OIL CORP         COMMON   626717102      110        1500 Shares                         X       1         1500    0        0
MYLAN INC               COMMON   628530107       12         533 Shares                 X               1          533    0        0
MYRIAD GENETICS INC     COMMON   62855J104        6         300 Shares                 X               1          300    0        0
MYREXIS INCORPORATED    COMMON   62856H107        0          75 Shares                 X               1           75    0        0
NBT BANCORP INC.  COM   COMMON   628778102      115        5052 Shares                 X               1         5052    0        0
NBT BANCORP INC.  COM   COMMON   628778102     4810      211059 Shares                 X               3       211059    0        0
NCR CORP                COMMON   62886E108       38        2025 Shares                 X               1         2025    0        0
NCR CORP                COMMON   62886E108        0          16 Shares                         X       1            0    0       16
NCR CORP                COMMON   62886E108      933       49500 Shares                 X               3        49500    0        0
NIC INCORPORATED        COMMON   62914B100       68        5425 Shares                 X               1         5425    0        0
NIC INCORPORATED        COMMON   62914B100     1657      133000 Shares                 X               3       133000    0        0
NANOMETRICS INC         COMMON   630077105       57        3161 Shares                 X               1         3161    0        0
NANOMETRICS INC         COMMON   630077105     1402       77500 Shares                 X               3        77500    0        0
NATL FUEL GAS CO        COMMON   636180101       37         500 Shares                 X               1          500    0        0
NATL FUEL GAS CO        COMMON   636180101       67         900 Shares                         X       1          900    0        0
NATIONAL GRID GROUP
   PLC-ADR              COMMON   636274300       26         531 Shares                 X               1          479    0       52
NATIONAL GRID GROUP
   PLC-ADR              COMMON   636274300       59        1232 Shares                         X       1         1232    0        0
NATIONAL-OILWELL VARCO
   INC                  COMMON   637071101     4993       62984 Shares                 X               1        61907    0     1077
NATIONAL-OILWELL VARCO
   INC                  COMMON   637071101      594        7491 Shares                         X       1         4425    0     3066
NATIONAL-OILWELL VARCO
   INC                  COMMON   637071101     2306       29090 Shares                 X               3        29090    0        0
NATIONAL-OILWELL VARCO
   INC                  COMMON   637071101       40         500 Shares                         X       4          500    0        0
NATIONAL PENN
   BANCSHARES INC       COMMON   637138108       12        1500 Shares                 X               1         1500    0        0
NATIONAL PENN
   BANCSHARES INC       COMMON   637138108        8        1000 Shares                         X       1         1000    0        0
NATIONAL RETAIL
   PROPERTIES INC       COMMON   637417106      145        5541 Shares                 X               1            0    0        0
NATIONAL SEMICONDUCTOR
   CORP COM             COMMON   637640103       12         850 Shares                 X               1          850    0        0
NATIONAL SEMICONDUCTOR
   CORP COM             COMMON   637640103       34        2390 Shares                         X       1         2390    0        0
NATIONWIDE HEALTH
   PROPERTIES (REI      COMMON   638620104       14         338 Shares                 X               1            0    0        0
NATURAL RESOURCE
   PARTNERS L P         COMMON   63900P103        7         200 Shares                         X       1          200    0        0
NAVISTAR INTERNATIONAL
   CORP                 COMMON   63934E108        7         100 Shares                 X               1          100    0        0
NEENAH PAPER INC        COMMON   640079109       21         964 Shares                 X               1          964    0        0
NETAPP INC              COMMON   64110D104      107        2214 Shares                 X               1         2214    0        0
NETAPP INC              COMMON   64110D104        2          48 Shares                         X       1           48    0        0
NETFLIX.COM INC         COMMON   64110L106      288        1213 Shares                 X               1         1213    0        0
NETFLIX.COM INC         COMMON   64110L106        3          14 Shares                         X       1           14    0        0
NETFLIX.COM INC         COMMON   64110L106       59         250 Shares                         X       4          250    0        0
NETEASE.COM INC-ADR     COMMON   64110W102        6         130 Shares                 X               1          130    0        0
NETLOGIC MICROSYSTEMS
   INC                  COMMON   64118B100       75        1775 Shares                 X               1         1775    0        0
NETLOGIC MICROSYSTEMS
   INC                  COMMON   64118B100     1828       43500 Shares                 X               3        43500    0        0
NEUROCRINE BIOSCIENCES
   INC                  COMMON   64125C109        4         500 Shares                         X       1            0    0      500
NEW GOLD INC            COMMON   644535106       38        3275 Shares                 X               1         3275    0        0
NEW GOLD INC            COMMON   644535106      939       80200 Shares                 X               3        80200    0        0
NEW YORK COMMUNITY
   BANCORP INC          COMMON   649445103       25        1425 Shares                 X               1         1285    0      140
NEW YORK COMMUNITY
   BANCORP INC          COMMON   649445103        5         312 Shares                         X       1          312    0        0
NEWELL RUBBERMAID INC
   COM                  COMMON   651229106       77        4008 Shares                         X       1         4008    0        0
NEWFIELD EXPLORATION CO COMMON   651290108       47         620 Shares                 X               1          620    0        0
NEWFIELD EXPLORATION CO COMMON   651290108       10         125 Shares                         X       1          125    0        0
NEWMARKET CORPORATION   COMMON   651587107     2318       14653 Shares                 X               1        14437    0      216



                                    23 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
NEWMARKET CORPORATION   COMMON   651587107     1384        8748 Shares                         X       1         8748    0        0
NEWMONT MINING          COMMON   651639106       30         556 Shares                 X               1          556    0        0
NEWMONT MINING          COMMON   651639106       49         900 Shares                         X       1            0    0      900
NEWPORT CORPORATION     COMMON   651824104       72        4050 Shares                 X               1         4050    0        0
NEWPORT CORPORATION     COMMON   651824104     1819      102000 Shares                 X               3       102000    0        0
NEWS CORP INC-A         COMMON   65248E104       48        2752 Shares                 X               1         2752    0        0
NEWS CORP INC-A         COMMON   65248E104       15         872 Shares                         X       1          872    0        0
NEWS CORP INC-A         COMMON   65248E104       26        1500 Shares                 X               3         1500    0        0
NEXTERA ENERGY INC      COMMON   65339F101     3987       72332 Shares                 X               1        72257    0       75
NEXTERA ENERGY INC      COMMON   65339F101     2913       52850 Shares                         X       1        46300    0     6550
NICOR INC               COMMON   654086107       27         500 Shares                 X               1          500    0        0
NICOR INC               COMMON   654086107       11         200 Shares                         X       1          200    0        0
NIKE INC CL B           COMMON   654106103     2168       28638 Shares                 X               1        28138    0      500
NIKE INC CL B           COMMON   654106103      303        4005 Shares                         X       1         2835    0     1170
NIPPON TELEGRAPH &
   TELE ADR             COMMON   654624105       17         745 Shares                 X               1          745    0        0
NISOURCE INC            COMMON   65473P105       59        3051 Shares                 X               1         3051    0        0
NISOURCE INC            COMMON   65473P105      115        5971 Shares                         X       1         5971    0        0
NOKIA CORP SPONSORED
   ADR                  COMMON   654902204      141       16584 Shares                 X               1        16584    0        0
NOKIA CORP SPONSORED
   ADR                  COMMON   654902204       17        2048 Shares                         X       1         2048    0        0
NOBLE ENERGY INC        COMMON   655044105      456        4719 Shares                 X               1         4719    0        0
NOBLE ENERGY INC        COMMON   655044105     3604       37285 Shares                 X               3        37285    0        0
NOMURA HLDGS INC        COMMON   65535H208        5         875 Shares                 X               1          875    0        0
NORDSTROM INC COM       COMMON   655664100      815       18164 Shares                 X               1        18164    0        0
NORDSTROM INC COM       COMMON   655664100      239        5327 Shares                 X               3         3071    0     2256
NORFOLK SOUTHERN CORP   COMMON   655844108     1821       26292 Shares                 X               1        26092    0      200
NORFOLK SOUTHERN CORP   COMMON   655844108      553        7990 Shares                         X       1         5290    0     2700
NORFOLK SOUTHERN CORP   COMMON   655844108       26         370 Shares                 X               3          370    0        0
NORTH AMERICAN ENERGY   COMMON   656844107       77        6225 Shares                 X               1         6225    0        0
NORTH AMERICAN ENERGY   COMMON   656844107     1856      150500 Shares                 X               3       150500    0        0
NORTHERN OIL AND GAS
   INC                  COMMON   665531109      322       12053 Shares                 X               1        12053    0        0
NORTHERN OIL AND GAS
   INC                  COMMON   665531109     5768      216040 Shares                 X               3       216040    0        0
NORTHERN TRUST CORP COM COMMON   665859104       33         646 Shares                 X               1          646    0        0
NORTHROP GRUMMAN CORP   COMMON   666807102      221        3532 Shares                 X               1         3532    0        0
NORTHROP GRUMMAN CORP   COMMON   666807102      132        2098 Shares                         X       1         2098    0        0
NORTHROP GRUMMAN CORP   COMMON   666807102       28         428 Shares                 X               2          428    0        0
NORTHWEST BANCSHARES
   INC                  COMMON   667340103       55        4417 Shares                 X               1         4417    0        0
NOVARTIS AG ADR         COMMON   66987V109     1815       33400 Shares                 X               1        33263    0      137
NOVARTIS AG ADR         COMMON   66987V109      588       10827 Shares                         X       1        10742    0       85
NOVARTIS AG ADR         COMMON   66987V109       45         825 Shares                 X               3          825    0        0
NOVAVAX INC             COMMON   670002104       26       10000 Shares                 X               1        10000    0        0
NSTAR COM               COMMON   67019E107        9         205 Shares                 X               1          205    0        0
NUCOR CORP              COMMON   670346105      917       19928 Shares                 X               1        19228    0      700
NUCOR CORP              COMMON   670346105      470       10220 Shares                         X       1         9050    0     1170
NUCOR CORP              COMMON   670346105      336        7300 Shares                 X               2            0    0     7300
NUSTAR ENERGY LP        COMMON   67058H102       14         200 Shares                         X       1          200    0        0
NUVEEN PA PREM INCOME
   MUN FD 2             COMMON   67061F101       76        6237 Shares                 X               1            0    0        0
NUVEEN PA PREM INCOME
   MUN FD 2             COMMON   67061F101        0           1 Shares                         X       1            0    0        0
NUVEEN SELECT
   MATURITIES           COMMON   67061T101       25        2550 Shares                 X               1            0    0        0
NUVEEN INVT QUALITY
   MUNI FD              COMMON   67062E103        4         333 Shares                         X       1            0    0        0
NUVEEN MUNICIPAL
   INCOME FD            COMMON   67062J102       23        2330 Shares                 X               1            0    0        0
NUVEEN INSD QUALITY
   MUN FD               COMMON   67062N103       15        1200 Shares                 X               1            0    0        0
NUVEEN PERFORMANCE
   PLUS MUNI FD         COMMON   67062P108        5         390 Shares                         X       1            0    0        0
NUVEEN NY PERF PLUS
   MUNI FD              COMMON   67062R104       28        2000 Shares                         X       1            0    0        0
NUVEEN NY INVT QUALITY
   MUN FD               COMMON   67062X101       20        1500 Shares                         X       1            0    0        0
NVIDIA CORP COM         COMMON   67066G104      405       21955 Shares                 X               1        21955    0        0
NVIDIA CORP COM         COMMON   67066G104      800       43335 Shares                 X               3        43335    0        0
NUTRISYSTEM INC         COMMON   67069D108        2         125 Shares                 X               1          125    0        0
NUVEEN MARYLAND
   DIVIDEND ADV MUN     COMMON   67069R107       12         923 Shares                 X               1            0    0        0
NUVEEN CA DVD ADV MUNI
   FD 2                 COMMON   67069X104       72        5650 Shares                 X               1            0    0        0
NUVEEN PA DIVIDEND ADV
   MUNI FD              COMMON   67070E103       13        1000 Shares                         X       1            0    0        0
NUVEEN MD DIV
   ADVANTAGE MUN FD 2   COMMON   67070V105       53        4059 Shares                 X               1            0    0        0
NUVEEN QUALITY PFD
   INCOME FD 2          COMMON   67072C105       14        1735 Shares                 X               1            0    0        0



                                    24 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
NUVEEN QUALITY PFD
   INCOME FD 3          COMMON   67072W101        6         700 Shares                         X       1            0    0        0
NUVEEN MULTI STRATEGY
   INC & GRWTH          COMMON   67073D102       17        1860 Shares                 X               1            0    0        0
NV ENERGY INC           COMMON   67073Y106        3         200 Shares                         X       1          200    0        0
OGE ENERGY CORP COM     COMMON   670837103       15         300 Shares                 X               1          300    0        0
OGE ENERGY CORP COM     COMMON   670837103       20         400 Shares                         X       1          400    0        0
NUVEEN MUNICIPAL VALUE
   FUND                 COMMON   670928100       27        2975 Shares                 X               1            0    0        0
NUVEEN MUNICIPAL VALUE
   FUND                 COMMON   670928100       48        5333 Shares                         X       1            0    0        0
NUVEEN PA INVT QUALITY
   MUN FD               COMMON   670972108       60        4584 Shares                 X               1            0    0        0
NUVEEN PA INVT QUALITY
   MUN FD               COMMON   670972108       47        3600 Shares                         X       1            0    0        0
NUVEEN SELECT QUALITY
   MUN FD               COMMON   670973106        5         406 Shares                         X       1            0    0        0
NUVEEN QUALITY INCOME
   MUNI FD              COMMON   670977107        7         500 Shares                 X               1            0    0        0
NUVEEN QUALITY INCOME
   MUNI FD              COMMON   670977107        3         210 Shares                         X       1            0    0        0
NUVEEN INSD MUNI
   OPPORTUNITY          COMMON   670984103        5         396 Shares                         X       1            0    0        0
NUVEEN PREMIER INSD
MUNI INC FD             COMMON   670987106       20        1410 Shares                 X               1            0    0        0
OCCIDENTAL PETE CORP
   COM                  COMMON   674599105     2224       21282 Shares                 X               1        20958    0      324
OCCIDENTAL PETE CORP
   COM                  COMMON   674599105      378        3620 Shares                         X       1         3620    0        0
OCCIDENTAL PETE CORP
   COM                  COMMON   674599105      703        6765 Shares                 X               2          600    0     6165
OCLARO INC              COMMON   67555N206       39        3425 Shares                 X               1         3425    0        0
OCLARO INC              COMMON   67555N206      990       86000 Shares                 X               3        86000    0        0
OIL STATES INTL INC     COMMON   678026105       67         875 Shares                 X               1          875    0        0
OIL STATES INTL INC     COMMON   678026105     1637       21500 Shares                 X               3        21500    0        0
OLD LINE BANCSHARES INC COMMON   67984M100       17        1800 Shares                 X               1         1800    0        0
OLD NATIONAL BANCORP
   COM                  COMMON   680033107       43        4000 Shares                 X               1         4000    0        0
OLD REPUBLIC INTL CORP
   COM                  COMMON   680223104       25        2000 Shares                 X               1         2000    0        0
OLIN CORP COM           COMMON   680665205       17         750 Shares                 X               1          750    0        0
OMNICOM GROUP INC COM   COMMON   681919106       76        1550 Shares                 X               1         1550    0        0
OMNICOM GROUP INC COM   COMMON   681919106       47         950 Shares                         X       1          950    0        0
ONCOTHYREON INC         COMMON   682324108        3         833 Shares                 X               1          150    0      683
ONEOK INC               COMMON   682680103       47         700 Shares                 X               1          700    0        0
ONEOK PARTNERS LP       COMMON   68268N103       49         600 Shares                 X               1          600    0        0
ONEOK PARTNERS LP       COMMON   68268N103       74         900 Shares                         X       1          900    0        0
OPENTABLE INC           COMMON   68372A104       72         675 Shares                 X               1          675    0        0
OPENTABLE INC           COMMON   68372A104     1489       14000 Shares                 X               3        14000    0        0
OPNET TECHNOLOGIES
   INCORPORATED         COMMON   683757108       92        2350 Shares                 X               1         2350    0        0
OPNET TECHNOLOGIES
   INCORPORATED         COMMON   683757108     2242       57500 Shares                 X               3        57500    0        0
ORACLE CORPORATION COM  COMMON   68389X105     5237      156631 Shares                 X               1       156431    0      200
ORACLE CORPORATION COM  COMMON   68389X105      765       22895 Shares                         X       1        20095    0     2800
ORACLE CORPORATION COM  COMMON   68389X105     3606      108019 Shares                 X               3       103722    0     4297
ORRSTOWN FINL SVCS INC
   COM                  COMMON   687380105      170        6075 Shares                 X               1         6075    0        0
OSHKOSH CORPORATION     COMMON   688239201        7         200 Shares                 X               1          200    0        0
OXIGENE INC             COMMON   691828305        0         250 Shares                 X               1          250    0        0
P G & E CORP            COMMON   69331C108      143        3239 Shares                 X               1         3239    0        0
P G & E CORP            COMMON   69331C108      115        2600 Shares                         X       1         1100    0     1500
PNC FINANCIAL SERVICES
   GROUP INC            COMMON   693475105     8524      135324 Shares                 X               1       131724    0     3600
PNC FINANCIAL SERVICES
   GROUP INC            COMMON   693475105     3208       50936 Shares                         X       1        40753 3450     6733
PNC FINANCIAL SERVICES
   GROUP INC            COMMON   693475105     2401       38115 Shares                 X               3        38115    0        0
PNC FINANCIAL SER
   WARRANTS  12/31/18   COMMON   693475121       91        6100 Shares                 X               2            0    0     6100
POSCO - ADR             COMMON   693483109       10          86 Shares                 X               1           86    0        0
PPG INDS INC            COMMON   693506107      959       10068 Shares                 X               1         9268    0      800
PPG INDS INC            COMMON   693506107      716        7521 Shares                         X       1         6621    0      900
PPL CORP COM            COMMON   69351T106     2926      115646 Shares                 X               1       114846    0      800
PPL CORP COM            COMMON   69351T106      706       27894 Shares                         X       1        22989 2130     2775
PPL CORP COM            COMMON   69351T106      188        7436 Shares                 X               3         7436    0        0
PACCAR INC              COMMON   693718108       13         250 Shares                 X               1          250    0        0
PACCAR INC              COMMON   693718108      212        4050 Shares                 X               2            0    0     4050
PAETEC HOLDING CORP     COMMON   695459107       33       10000 Shares                 X               1         5000    0     5000
PALL CORP COM           COMMON   696429307       12         200 Shares                 X               1          200    0        0
PALL CORP COM           COMMON   696429307       58        1000 Shares                         X       1         1000    0        0
PANASONIC CORP SPONS
   ADR                  COMMON   69832A205       11         875 Shares                 X               1          875    0        0
PANERA BREAD CO CL-A    COMMON   69840W108      323        2547 Shares                 X               1         2547    0        0
PANERA BREAD CO CL-A    COMMON   69840W108     5078       39990 Shares                 X               3        39990    0        0
PAPA JOHNS
   INTERNATIONAL INC    COMMON   698813102        6         200 Shares                 X               1          200    0        0



                                    25 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
PARAMETRIC TECHNOLOGY
   CORP                 COMMON   699173209       39        1750 Shares                 X               1         1750    0        0
PARAMETRIC TECHNOLOGY
   CORP                 COMMON   699173209      967       43000 Shares                 X               3        43000    0        0
PARKER HANNIFIN CORP    COMMON   701094104     1308       13816 Shares                 X               1        13816    0        0
PARKER HANNIFIN CORP    COMMON   701094104      115        1216 Shares                         X       1         1216    0        0
PARKER HANNIFIN CORP    COMMON   701094104     1759       18578 Shares                 X               3        18578    0        0
PATRIOT COAL CORP       COMMON   70336T104       78        3025 Shares                 X               1         3025    0        0
PATRIOT COAL CORP       COMMON   70336T104     1911       74000 Shares                 X               3        74000    0        0
PATTERSON COMPANIES INC COMMON   703395103       64        2000 Shares                 X               2            0    0     2000
PAYCHEX INC COM         COMMON   704326107     1125       35857 Shares                 X               1        35857    0        0
PAYCHEX INC COM         COMMON   704326107       29         925 Shares                         X       1          925    0        0
PAYCHEX INC COM         COMMON   704326107    54977     1751693 Shares                 X               3      1751693    0        0
PEABODY ENERGY CORP     COMMON   704549104     1640       22795 Shares                 X               1        22795    0        0
PEABODY ENERGY CORP     COMMON   704549104      385        5350 Shares                         X       1         5350    0        0
PEABODY ENERGY CORP     COMMON   704549104     3963       55060 Shares                 X               3        55060    0        0
PEETS COFFEE & TEA INC
   COM                  COMMON   705560100       10         200 Shares                 X               1          200    0        0
PENN MILLERS HOLDING
   CORP                 COMMON   707561106       51        3600 Shares                 X               1         3600    0        0
PENN NATL GAMING INC    COMMON   707569109       82        2225 Shares                 X               1         2225    0        0
PENN NATL GAMING INC    COMMON   707569109     1112       30000 Shares                 X               3        30000    0        0
PENN VA RESOURCE
   PARTNERS LP          COMMON   707884102       28        1000 Shares                         X       1         1000    0        0
PENN WEST ENERGY
   PETROLEUM LTD        COMMON   707887105      137        4960 Shares                         X       1         4960    0        0
PENNEY JC CO INC        COMMON   708160106      103        2875 Shares                 X               1         2875    0        0
PENNEY JC CO INC        COMMON   708160106       14         400 Shares                         X       1          400    0        0
PENNICHUCK CORPORATION
   NEW                  COMMON   708254206        9         300 Shares                 X               1          300    0        0
PENNS WOODS BANCORP
   INC.                 COMMON   708430103       39        1000 Shares                 X               1         1000    0        0
PENNS WOODS BANCORP
   INC.                 COMMON   708430103      378        9710 Shares                 X               3         9710    0        0
PENN ESTATE INV TR
   (REIT)               COMMON   709102107       14        1000 Shares                 X               1            0    0        0
PENTAIR INC COM         COMMON   709631105      181        4800 Shares                         X       1         4800    0        0
PEOPLES UNITED
   FINANCIAL INC        COMMON   712704105        5         400 Shares                 X               1          400    0        0
PEPCO HOLDINGS INC      COMMON   713291102      400       21473 Shares                 X               1        19947    0     1526
PEPCO HOLDINGS INC      COMMON   713291102      220       11795 Shares                         X       1         7995    0     3800
PEPCO HOLDINGS INC      COMMON   713291102        6         348 Shares                 X               2            0    0      348
PEPCO HOLDINGS INC      COMMON   713291102       45        2400 Shares                 X               3         2400    0        0
PEPSICO INC COM         COMMON   713448108    18581      288474 Shares                 X               1       286349    0     2125
PEPSICO INC COM         COMMON   713448108    10964      170219 Shares                         X       1       157046    0    13173
PEPSICO INC COM         COMMON   713448108      962       14900 Shares                 X               2         2500    0    12400
PEPSICO INC COM         COMMON   713448108     1491       23145 Shares                 X               3        21171    0     1974
PEPSICO INC COM         COMMON   713448108      109        1700 Shares                         X       4         1700    0        0
PERKINELMER INC COM     COMMON   714046109      105        4000 Shares                         X       1         4000    0        0
PERRIGO COMPANY         COMMON   714290103     2197       27622 Shares                 X               1        27196    0      426
PERRIGO COMPANY         COMMON   714290103      126        1580 Shares                         X       1         1580    0        0
PERRIGO COMPANY         COMMON   714290103     3670       46154 Shares                 X               3        46154    0        0
PETMED EXPRESS INC      COMMON   716382106       13         800 Shares                 X               1          800    0        0
PETROCHINA CO LTD ADR   COMMON   71646E100       19         125 Shares                         X       1          125    0        0
PETROLEO BRASILEIRO SA
   SPNS ADR             COMMON   71654V408      118        2910 Shares                 X               1         2910    0        0
PETROLEO BRASILEIRO SA
   SPNS ADR             COMMON   71654V408        7         170 Shares                         X       1          170    0        0
PETSMART INC            COMMON   716768106      164        4006 Shares                 X               1         4006    0        0
PETSMART INC            COMMON   716768106       23         550 Shares                         X       1          550    0        0
PFIZER INC              COMMON   717081103    12985      639316 Shares                 X               1       637198  600     2118
PFIZER INC              COMMON   717081103     9535      469491 Shares                         X       1       426359    0    42532
PFIZER INC              COMMON   717081103      376       18500 Shares                 X               2            0    0    18500
PFIZER INC              COMMON   717081103      193        9537 Shares                 X               3         9537    0        0
PHILIP MORRIS INTL INC  COMMON   718172109    16507      251515 Shares                 X               1       249201    0     2314
PHILIP MORRIS INTL INC  COMMON   718172109     7509      114415 Shares                         X       1       108320    0     6095
PHILIP MORRIS INTL INC  COMMON   718172109      361        5450 Shares                 X               2         1050    0     4400
PHILIP MORRIS INTL INC  COMMON   718172109     2343       35699 Shares                 X               3        35699    0        0
PHILIP MORRIS INTL INC  COMMON   718172109       82        1250 Shares                         X       4         1250    0        0
PHILLIPS VAN HEUSEN
   CORP COM             COMMON   718592108     1108       17033 Shares                 X               1        17033    0        0
PHILLIPS VAN HEUSEN
   CORP COM             COMMON   718592108     5756       88514 Shares                 X               3        88514    0        0
PHOENIX COS INC COM     COMMON   71902E109        3        1086 Shares                 X               1         1086    0        0
PHOENIX COS INC COM     COMMON   71902E109        3        1256 Shares                         X       1         1256    0        0
PIEDMONT NAT GAS INC    COMMON   720186105       66        2180 Shares                 X               1         2180    0        0
PIEDMONT NAT GAS INC    COMMON   720186105       12         400 Shares                         X       1          400    0        0



                                    26 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
PIEDMONT OFFICE REALTY
   TRUST-A              COMMON   720190206        6         288 Shares                 X               1            0    0        0
PINNACLE DATA SYSTEMS
   INC                  COMMON   723454104        0         300 Shares                 X               1          300    0        0
PINNACLE ENTERTAINMENT
   INC COM              COMMON   723456109       27        2000 Shares                 X               1         2000    0        0
PINNACLE ENTERTAINMENT
   INC COM              COMMON   723456109      661       48500 Shares                 X               3        48500    0        0
PINNACLE WEST CAPITAL
   CORP                 COMMON   723484101        4         100 Shares                         X       1          100    0        0
PIONEER MUNICIPAL HI
   INC ADV TR           COMMON   723762100       19        1500 Shares                 X               1            0    0        0
PIONEER NATURAL
   RESOURCES CO         COMMON   723787107       39         378 Shares                 X               1          378    0        0
PIONEER NATURAL
   RESOURCES CO         COMMON   723787107        2          22 Shares                         X       1           22    0        0
PITNEY BOWES INC COM    COMMON   724479100      103        4016 Shares                 X               1         4016    0        0
   PIZZA INN INC        COMMON   725848105        1         325 Shares                 X               1          325    0        0
PLAINS ALL AMERICAN
   PIPELINE L P         COMMON   726503105       32         500 Shares                 X               1          500    0        0
PLAINS ALL AMERICAN
   PIPELINE L P         COMMON   726503105       16         250 Shares                         X       1          250    0        0
PLAINS ALL AMERICAN
   PIPELINE L P         COMMON   726503105      351        5500 Shares                 X               2            0    0     5500
PLANTRONICS INC COM NEW COMMON   727493108      155        4223 Shares                 X               1         4223    0        0
PLANTRONICS INC COM NEW COMMON   727493108     2073       56630 Shares                 X               3        56630    0        0
PLUM CREEK TIMBER CO
   INC                  COMMON   729251108      143        3280 Shares                 X               1            0    0        0
POLARIS INDUSTRIES INC  COMMON   731068102       83         950 Shares                 X               1          950    0        0
POLARIS INDUSTRIES INC  COMMON   731068102     2045       23500 Shares                 X               3        23500    0        0
POLO RALPH LAUREN
   CORPORATION          COMMON   731572103        6          45 Shares                 X               1           45    0        0
PORTUGAL TELECOM SGPS
   S A SPONS A          COMMON   737273102      170       14614 Shares                 X               1        14614    0        0
POST PROPERTIES INC     COMMON   737464107       59        1500 Shares                 X               2            0    0        0
POTASH CORP OF
   SASKATCHEWAN INC     COMMON   73755L107     2817       47800 Shares                 X               1        47260    0      540
POTASH CORP OF
   SASKATCHEWAN INC     COMMON   73755L107      221        3755 Shares                         X       1         3755    0        0
POTASH CORP OF
   SASKATCHEWAN INC     COMMON   73755L107     1300       22053 Shares                 X               3        22053    0        0
POWERSHARES QQQ         COMMON   73935A104      146        2550 Shares                 X               1            0    0        0
POWERSHARES QQQ         COMMON   73935A104      161        2800 Shares                         X       1            0    0        0
POWERSHARES WILDERHILL
   CLEAN ENER           COMMON   73935X500        8         700 Shares                 X               1            0    0        0
POWERSHARES GLOBAL
   WATER PORTFOLI       COMMON   73935X575       26        1300 Shares                 X               1         1300    0        0
POWERSHARES DB OIL FUND COMMON   73936B507       12         375 Shares                         X       1            0    0        0
POWERSHARES DB US $
   INDEX BEAR FD        COMMON   73936D206       56        2000 Shares                 X               1            0    0        0
POWERSHARES PREFERRED
   PORTFOLIO            COMMON   73936T565       27        1900 Shares                 X               1            0    0        0
POWERSHARES GLOBAL
   WIND ENERGY          COMMON   73937B308        7         584 Shares                 X               1            0    0        0
PRAXAIR INC COM         COMMON   74005P104      351        3453 Shares                 X               1         3453    0        0
PRAXAIR INC COM         COMMON   74005P104      302        2971 Shares                         X       1         2771    0      200
PRAXAIR INC COM         COMMON   74005P104      512        5040 Shares                 X               2            0    0     5040
PRECISION CASTPARTS
   CORP COM             COMMON   740189105     3546       24093 Shares                 X               1        24093    0        0
PRECISION CASTPARTS
   CORP COM             COMMON   740189105        6          40 Shares                         X       1           40    0        0
PRECISION CASTPARTS
   CORP COM             COMMON   740189105     6465       43919 Shares                 X               3        42669    0     1250
PRECISION DRILLING
   TRUST                COMMON   74022D308       54        4000 Shares                         X       1         4000    0        0
PRICE T ROWE GROUP INC
   COM                  COMMON   74144T108     9063      136455 Shares                 X               1       135681    0      774
PRICE T ROWE GROUP INC
   COM                  COMMON   74144T108     2176       32765 Shares                         X       1        29902    0     2863
PRICE T ROWE GROUP INC
   COM                  COMMON   74144T108     6071       91399 Shares                 X               3        88860    0     2539
PRICE T ROWE GROUP INC
   COM                  COMMON   74144T108       80        1200 Shares                         X       4         1200    0        0
PRICELINE.COM
   INCORPORATED         COMMON   741503403     1968        3885 Shares                 X               1         3817    0       68
PRICELINE.COM
   INCORPORATED         COMMON   741503403      131         259 Shares                         X       1          259    0        0
PROCTER & GAMBLE CO COM COMMON   742718109    27758      450614 Shares                 X               1       447853    0     2761
PROCTER & GAMBLE CO COM COMMON   742718109    27069      439431 Shares                         X       1       348650    0    90781
PROCTER & GAMBLE CO COM COMMON   742718109     1837       29809 Shares                 X               2         1200    0    28609
PROCTER & GAMBLE CO COM COMMON   742718109     4127       66998 Shares                 X               3        64059    0     2939
PROCTER & GAMBLE CO COM COMMON   742718109      203        3300 Shares                         X       4         3300    0        0
PROGRESS ENERGY INC COM COMMON   743263105      327        7084 Shares                 X               1         6406    0      678
PROGRESS ENERGY INC COM COMMON   743263105      102        2209 Shares                         X       1         2209    0        0
PROGRESSIVE CORP COM    COMMON   743315103      100        4711 Shares                 X               1         4711    0        0
   PROLOGIS (REIT)      COMMON   743410102        1          87 Shares                 X               1            0    0        0
ULTRASHORT LEHMAN 20+
   YR TREASURY          COMMON   74347R297       37        1000 Shares                 X               1            0    0        0
PROSHARES ULTRA OIL &
   GAS                  COMMON   74347R719       31         500 Shares                         X       1            0    0        0
PROSHARES ULTRA GOLD    COMMON   74347W601       10         135 Shares                         X       1            0    0        0
PROSHARES ULTRA SILVER  COMMON   74347W841       25         110 Shares                         X       1            0    0        0
PROVIDENT ENERGY LTD    COMMON   74386V100        2         200 Shares                 X               1          200    0        0
PROVIDENT ENERGY LTD    COMMON   74386V100       16        1700 Shares                         X       1         1700    0        0
PROVIDENT NEW YORK
   BANCORP              COMMON   744028101       23        2225 Shares                         X       1         2225    0        0
PRUDENTIAL FINANCIAL
   INC                  COMMON   744320102      260        4218 Shares                 X               1         4218    0        0



                                    27 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
PRUDENTIAL FINANCIAL
   INC                  COMMON   744320102       42         682 Shares                         X       1          682    0        0
PRUDENTIAL PLC-ADR      COMMON   74435K204       14         615 Shares                 X               1          615    0        0
PUBLIC SVC ENTERPRISE
   GROUP INC            COMMON   744573106       62        1977 Shares                 X               1         1977    0        0
PUBLIC SVC ENTERPRISE
   GROUP INC            COMMON   744573106      161        5118 Shares                         X       1         5118    0        0
PUTNAM MASTER
   INTERMEDIATE INCOME  COMMON   746909100       27        4556 Shares                 X               1            0    0        0
QLT INC                 COMMON   746927102       14        2000 Shares                 X               1         2000    0        0
QEP RESOURCES INC       COMMON   74733V100       49        1200 Shares                 X               1         1200    0        0
QEP RESOURCES INC       COMMON   74733V100      130        3200 Shares                         X       1         3200    0        0
QUALCOMM INC COM        COMMON   747525103     7758      141485 Shares                 X               1       140733    0      752
QUALCOMM INC COM        COMMON   747525103     1350       24623 Shares                         X       1        23248    0     1375
QUALCOMM INC COM        COMMON   747525103     3158       57590 Shares                 X               3        54885    0     2705
QUANTA SERVICES INC COM COMMON   74762E102      892       39746 Shares                 X               1        38291    0     1455
QUANTA SERVICES INC COM COMMON   74762E102       15         675 Shares                         X       1            0    0      675
QUANTA SERVICES INC COM COMMON   74762E102     1818       81070 Shares                 X               3        81070    0        0
QUEST DIAGNOSTICS INC   COMMON   74834L100      156        2700 Shares                         X       1         2400    0      300
QUESTAR CORP            COMMON   748356102       21        1200 Shares                 X               1         1200    0        0
QUESTAR CORP            COMMON   748356102       66        3800 Shares                         X       1         3800    0        0
QUESTCOR
   PHARMACEUTICALS INC  COMMON   74835Y101       29        2000 Shares                 X               1         2000    0        0
QWEST COMMUNICATIONS
   INTL INC             COMMON   749121109       18        2643 Shares                 X               1         2643    0        0
QWEST COMMUNICATIONS
   INTL INC             COMMON   749121109       11        1564 Shares                         X       1         1354    0      210
RGC RESOURCES INC       COMMON   74955L103       20         600 Shares                 X               1          600    0        0
RGC RESOURCES INC       COMMON   74955L103        7         200 Shares                         X       1          200    0        0
RSC HOLDINGS INC        COMMON   74972L102       82        5700 Shares                 X               1         5700    0        0
RSC HOLDINGS INC        COMMON   74972L102     1992      138500 Shares                 X               3       138500    0        0
RF MICRO DEVICES INC
   COM                  COMMON   749941100      273       42569 Shares                 X               1        42569    0        0
RF MICRO DEVICES INC
   COM                  COMMON   749941100     4538      707900 Shares                 X               3       707900    0        0
RALCORP HOLDINGS INC    COMMON   751028101        5          73 Shares                 X               1           73    0        0
RALCORP HOLDINGS INC    COMMON   751028101        4          56 Shares                         X       1           56    0        0
RAYMOND JAMES
   FINANCIAL INC        COMMON   754730109      363        9502 Shares                 X               1         9502    0        0
RAYMOND JAMES
   FINANCIAL INC        COMMON   754730109     4849      126800 Shares                 X               3       126800    0        0
RAYONIER INC COM        COMMON   754907103       19         300 Shares                 X               1          300    0        0
RAYONIER INC COM        COMMON   754907103       23         375 Shares                         X       1          375    0        0
RAYTHEON CO COM NEW     COMMON   755111507      147        2892 Shares                 X               1         2892    0        0
RAYTHEON CO COM NEW     COMMON   755111507      341        6712 Shares                         X       1         6712    0        0
RAYTHEON CO COM NEW     COMMON   755111507       41         800 Shares                 X               2            0    0      800
REALTY INCOME CORP      COMMON   756109104        7         203 Shares                 X               1            0    0        0
REALTY INCOME CORP      COMMON   756109104       46        1309 Shares                         X       1            0    0        0
REALTY INCOME CORP      COMMON   756109104      245        7000 Shares                 X               2         3000    0        0
REAVES UTILITY INCOME
   TRUST                COMMON   756158101      554       24136 Shares                 X               1            0    0        0
RED HAT INC COM         COMMON   756577102        9         200 Shares                 X               1          200    0        0
REDWOOD TRUST INC-REIT  COMMON   758075402        5         300 Shares                         X       1            0    0        0
REED ELSEVIER NV
   SPONSORED ADR        COMMON   758204200        4         146 Shares                 X               1          146    0        0
REGIONS FINANCIAL CORP  COMMON   7591EP100       31        4271 Shares                         X       1         4271    0        0
REINSURANCE GROUP OF
   AMERICA INC          COMMON   759351604        2          25 Shares                 X               1           25    0        0
RELIANCE STEEL &
   ALUMINUM COMPANY     COMMON   759509102      326        5640 Shares                 X               1         5540    0      100
RESEARCH IN MOTION
   LIMITED              COMMON   760975102     1181       20886 Shares                 X               1        20886    0        0
RESEARCH IN MOTION
   LIMITED              COMMON   760975102       42         750 Shares                         X       1          525    0      225
RESEARCH IN MOTION
   LIMITED              COMMON   760975102      132        2300 Shares                 X               2         1500    0      800
RESEARCH IN MOTION
   LIMITED              COMMON   760975102      924       16332 Shares                 X               3        15674    0      658
RESMED INC              COMMON   761152107      164        5461 Shares                 X               1         5461    0        0
RESMED INC              COMMON   761152107     2195       73160 Shares                 X               3        73160    0        0
REYNOLDS AMERICAN INC   COMMON   761713106       57        1599 Shares                 X               1         1475    0      124
REYNOLDS AMERICAN INC   COMMON   761713106       38        1076 Shares                         X       1         1076    0        0
RIO TINTO PLC
   SPONSORED ADR        COMMON   767204100       57         808 Shares                 X               1          808    0        0
RITCHIE BROS
   AUCTIONEERS          COMMON   767744105      106        3748 Shares                 X               1         3748    0        0
RITCHIE BROS
   AUCTIONEERS          COMMON   767744105     1411       50140 Shares                 X               3        50140    0        0
RITE AID CORP COM       COMMON   767754104       51       48300 Shares                 X               1        37000    0    11300
RITE AID CORP COM       COMMON   767754104       35       33201 Shares                 X               3        33201    0        0
RIVERBED TECHNOLOGY INC COMMON   768573107       75        2000 Shares                 X               1         2000    0        0
RIVERBED TECHNOLOGY INC COMMON   768573107     1864       49500 Shares                 X               3        49500    0        0
ROBERT HALF INTL INC
   COM                  COMMON   770323103       19         605 Shares                         X       1          500    0      105
ROCKWELL AUTOMATION
   INC                  COMMON   773903109     1572       16606 Shares                 X               1        16106    0      500



                                    28 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
ROCKWELL AUTOMATION
   INC.                 COMMON   773903109      407        4298 Shares                         X       1         4148    0      150
ROCKWELL AUTOMATION
   INC.                 COMMON   773903109     4274       45161 Shares                 X               3        45161    0        0
ROCKWELL COLLINS COM    COMMON   774341101      368        5676 Shares                 X               1         5676    0        0
ROCKWELL COLLINS COM    COMMON   774341101      169        2600 Shares                         X       1         2520    0       80
ROCKWOOD HOLDINGS INC   COMMON   774415103       42         850 Shares                 X               1          850    0        0
ROCKWOOD HOLDINGS INC   COMMON   774415103     1058       21500 Shares                 X               3        21500    0        0
ROGERS COMMUNICATIONS
   INC CL B             COMMON   775109200        5         150 Shares                 X               1          150    0        0
ROSS STORES INC COM     COMMON   778296103      480        6755 Shares                 X               1         6305    0      450
ROSS STORES INC COM     COMMON   778296103      215        3030 Shares                         X       1         2655    0      375
ROSS STORES INC COM     COMMON   778296103     3238       45530 Shares                 X               3        45530    0        0
ROYAL BK CANADA         COMMON   780087102       12         200 Shares                 X               1          200    0        0
ROYAL BK CANADA         COMMON   780087102       62        1000 Shares                         X       1         1000    0        0
ROYAL BANK
   SCOTLAND-SPON ADR    COMMON   780097689        4         281 Shares                 X               1          281    0        0
ROYAL DUTCH SHELL
   PLC-ADR B            COMMON   780259107       89        1217 Shares                 X               1         1121    0       96
ROYAL DUTCH SHELL
   PLC-ADR B            COMMON   780259107       16         214 Shares                         X       1          214    0        0
ROYAL DUTCH SHELL
   PLC-ADR A            COMMON   780259206     3185       43708 Shares                 X               1        43708    0        0
ROYAL DUTCH SHELL
   PLC-ADR A            COMMON   780259206     2976       40846 Shares                         X       1        36396    0     4450
ROYAL GOLD INCORPORATED COMMON   780287108        6         105 Shares                         X       1          105    0        0
ROYALE ENERGY INC       COMMON   78074G200       10        2000 Shares                 X               1         2000    0        0
ROYCE VALUE TRUST (CE)  COMMON   780910105       22        1406 Shares                 X               1         1406    0        0
S & T BANCORP INC       COMMON   783859101        9         400 Shares                         X       1          400    0        0
SEI CORP COM            COMMON   784117103        4         175 Shares                 X               1          175    0        0
SK TELECOM CO LTD - ADR COMMON   78440P108       19        1020 Shares                 X               1         1020    0        0
SLM CORP COM            COMMON   78442P106       20        1312 Shares                 X               1         1312    0        0
SLM CORP COM            COMMON   78442P106       23        1500 Shares                 X               2            0    0     1500
SPDR S&P 500 ETF TRUST  COMMON   78462F103     9733       73403 Shares                 X               1            0    0        0
SPDR S&P 500 ETF TRUST  COMMON   78462F103     5751       43374 Shares                         X       1            0    0        0
SPDR S&P 500 ETF TRUST  COMMON   78462F103      119         894 Shares                 X               2            0    0        0
SPDR S&P 500 ETF TRUST  COMMON   78462F103     4789   36125.125 Shares                 X               3    16249.125    0        0
SPDR S&P 500 ETF TRUST  COMMON   78462F103     1649       12434 Shares                         X       4            0    0        0
SPX CORP COM            COMMON   784635104      238        3000 Shares                 X               1         3000    0        0
SPX CORP COM            COMMON   784635104       69         873 Shares                         X       1          873    0        0
SPDR GOLD TRUST         COMMON   78463V107     2041       14592 Shares                 X               1            0    0        0
SPDR GOLD TRUST         COMMON   78463V107       90         646 Shares                         X       1            0    0        0
SPDR GOLD TRUST         COMMON   78463V107       69         495 Shares                 X               2            0    0        0
SPDR S&P EMERGING ASIA
   PACIFIC              COMMON   78463X301      554        6500 Shares                         X       1            0    0        0
SPDR S&P EMERGING
   MARKETS ETF          COMMON   78463X509       83        1100 Shares                 X               2            0    0        0
SPDR DJ WILSHIRE INTL
   REAL ESTATE          COMMON   78463X863        6         145 Shares                 X               1            0    0        0
SPDR DJ WILSHIRE SMALL
   CAP VAL -            COMMON   78464A300       28         380 Shares                         X       1            0    0        0
SPDR BARCLAYS CAP HI
   YLD BD ETF           COMMON   78464A417       49        1200 Shares                 X               1            0    0        0
SPDR DJ REIT ETF        COMMON   78464A607      151        2335 Shares                 X               1            0    0        0
SPDR BARCLAYS CAPITAL
   TIPS ETF             COMMON   78464A656      119        2200 Shares                 X               1            0    0        0
KBW REGIONAL BANKING
   ETF                  COMMON   78464A698      603       22650 Shares                 X               1            0    0        0
KBW REGIONAL BANKING
   ETF                  COMMON   78464A698        5         200 Shares                         X       1            0    0        0
SPDR S&P OIL & GAS
   EXPLORATION          COMMON   78464A730       46         720 Shares                         X       1            0    0        0
SPDR S&P DIVIDEND ETF   COMMON   78464A763    32429      598873 Shares                 X               1            0    0        0
SPDR S&P DIVIDEND ETF   COMMON   78464A763     4210       77740 Shares                         X       1            0    0        0
SPDR S&P DIVIDEND ETF   COMMON   78464A763     9191      169727 Shares                 X               3        44064    0        0
SPDR S&P DIVIDEND ETF   COMMON   78464A763       14         266 Shares                 X               4            0    0        0
SPDR S&P DIVIDEND ETF   COMMON   78464A763       51         934 Shares                         X       4            0    0        0
SPDR KBW BANK ETF       COMMON   78464A797       20         786 Shares                 X               1            0    0        0
SPDR DJ MID CAP VALUE
   - E                  COMMON   78464A839       27         460 Shares                         X       1            0    0        0
SPDR S&P BIOTECH ETF    COMMON   78464A870      334        5000 Shares                         X       1            0    0        0
SPDR DJ INDUSTRIAL AVG
   ETF FD               COMMON   78467X109      141        1150 Shares                 X               1            0    0        0
SPDR DJ INDUSTRIAL AVG
   ETF FD               COMMON   78467X109      176        1432 Shares                 X               2            0    0        0
SPDR S&P MIDCAP         COMMON   78467Y107      341        1900 Shares                 X               1            0    0        0
SPDR S&P MIDCAP         COMMON   78467Y107     2948       16420 Shares                         X       1            0    0        0
SPDR S&P MIDCAP         COMMON   78467Y107      331        1843 Shares                 X               2            0    0        0
SPDR S&P MIDCAP         COMMON   78467Y107       82         455 Shares                 X               3            0    0        0
STEC INC                COMMON   784774101        6         276 Shares                 X               1          276    0        0
SXC HEALTH SOLUTIONS
   CORP                 COMMON   78505P100      706       12892 Shares                 X               1        12892    0        0
SXC HEALTH SOLUTIONS
   CORP                 COMMON   78505P100     2940       53635 Shares                 X               3        53635    0        0



                                    29 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
SAFEWAY INC COM         COMMON   786514208       31        1310 Shares                 X               1         1310    0        0
SAFEWAY INC COM         COMMON   786514208       35        1500 Shares                         X       1            0    0     1500
ST JOE CORP             COMMON   790148100        2          75 Shares                 X               1           75    0        0
ST JOE CORP             COMMON   790148100        5         200 Shares                         X       1          200    0        0
ST JUDE MEDICAL INC COM COMMON   790849103       49         952 Shares                 X               1          952    0        0
ST JUDE MEDICAL INC COM COMMON   790849103       51        1000 Shares                         X       1         1000    0        0
ST JUDE MEDICAL INC COM COMMON   790849103       77        1500 Shares                 X               2            0    0     1500
ST JUDE MEDICAL INC COM COMMON   790849103      194        3775 Shares                 X               3         1885    0     1890
SALESFORCE.COM INC      COMMON   79466L302      270        2021 Shares                 X               1         2021    0        0
SALESFORCE.COM INC      COMMON   79466L302        3          26 Shares                         X       1           26    0        0
SALESFORCE.COM INC      COMMON   79466L302     2078       15560 Shares                 X               3        15560    0        0
SALISBURY BANCORP INC   COMMON   795226109      153        5700 Shares                 X               3         5700    0        0
SALLY BEAUTY COMPANY
   INC                  COMMON   79546E104        1         100 Shares                 X               1          100    0        0
SAN JUAN BASIN ROYALTY
   TR                   COMMON   798241105        3         100 Shares                         X       1            0    0      100
SANDISK CORP COM        COMMON   80004C101       60        1297 Shares                 X               1         1297    0        0
SANDISK CORP COM        COMMON   80004C101        2          48 Shares                         X       1           48    0        0
SANDY SPRING BANCORP
   INC                  COMMON   800363103      190       10300 Shares                 X               1        10300    0        0
SANDY SPRING BANCORP
   INC                  COMMON   800363103      305       16508 Shares                         X       1        16508    0        0
SANOFI-AVENTIS ADR      COMMON   80105N105       68        1930 Shares                 X               1         1930    0        0
SANOFI-AVENTIS ADR      COMMON   80105N105       18         500 Shares                         X       1          500    0        0
SAP AG SPONS ADR        COMMON   803054204       31         500 Shares                 X               1          500    0        0
SARA LEE CORP           COMMON   803111103       47        2666 Shares                 X               1         2666    0        0
SARA LEE CORP           COMMON   803111103      151        8525 Shares                         X       1         5325    0     3200
SAVVIS INC              COMMON   805423308       75        2030 Shares                 X               1         2030    0        0
SAVVIS INC              COMMON   805423308     1840       49600 Shares                 X               3        49600    0        0
SCANA CORP NEW COM      COMMON   80589M102      104        2636 Shares                 X               1         2598    0       38
SCANA CORP NEW COM      COMMON   80589M102      120        3038 Shares                         X       1         3038    0        0
HENRY SCHEIN INC COM    COMMON   806407102       97        1385 Shares                 X               1         1385    0        0
SCHLUMBERGER LTD        COMMON   806857108    24092      258330 Shares                 X               1       257079    0     1251
SCHLUMBERGER LTD        COMMON   806857108     7407       79423 Shares                         X       1        73341    0     6082
SCHLUMBERGER LTD        COMMON   806857108      214        2300 Shares                 X               2            0    0     2300
SCHLUMBERGER LTD        COMMON   806857108     5985       64166 Shares                 X               3        60533    0     3633
SCHLUMBERGER LTD        COMMON   806857108      154        1650 Shares                         X       4         1650    0        0
SCHWAB CHARLES CORP
   NEW COM              COMMON   808513105     1600       88719 Shares                 X               1        87395    0     1324
SCHWAB CHARLES CORP
   NEW COM              COMMON   808513105       95        5260 Shares                         X       1         5260    0        0
THE SCOTTS MIRACLE-GRO
   COMPANY CL           COMMON   810186106      550        9500 Shares                 X               1         9500    0        0
SCRIPPS NETWORKS
   INTERACTIVE - CL     COMMON   811065101       15         300 Shares                 X               1          300    0        0
SEALED AIR CORP NEW COM COMMON   81211K100       13         498 Shares                 X               1          498    0        0
SEARS HOLDINGS CORP     COMMON   812350106       21         250 Shares                 X               1          250    0        0
SEARS HOLDINGS CORP     COMMON   812350106       39         472 Shares                         X       1          472    0        0
ENERGY SELECT SECTOR
   SPDR FD              COMMON   81369Y506       70         875 Shares                 X               1            0    0        0
ENERGY SELECT SECTOR
   SPDR FD              COMMON   81369Y506        9         107 Shares                         X       1            0    0        0
FINANCIAL SELECT
   SECTOR SPDR FD       COMMON   81369Y605     1374       83827 Shares                 X               1            0    0        0
FINANCIAL SELECT
   SECTOR SPDR FD       COMMON   81369Y605      703       42889 Shares                         X       1            0    0        0
FINANCIAL SELECT
   SECTOR SPDR FD       COMMON   81369Y605        5         300 Shares                 X               4            0    0        0
SELECT SECTOR
   SPDRTECHNOLOGY       COMMON   81369Y803       60        2300 Shares                 X               1         2300    0        0
SELECT SECTOR SPDR
   UTILITIES            COMMON   81369Y886       12         370 Shares                 X               1          370    0        0
SELECT SECTOR SPDR
   UTILITIES            COMMON   81369Y886       33        1030 Shares                         X       1         1030    0        0
SELECT COMFORT
   CORPORATION          COMMON   81616X103       60        4950 Shares                 X               1         4950    0        0
SELECT COMFORT
   CORPORATION          COMMON   81616X103     1477      122500 Shares                 X               3       122500    0        0
SELECTIVE INS GROUP INC COMMON   816300107       64        3712 Shares                 X               1         3712    0        0
SEMICONDUCTOR HOLDRS
   TRUST                COMMON   816636203       52        1500 Shares                 X               1            0    0        0
SEMPRA ENERGY COM       COMMON   816851109       11         200 Shares                 X               1          200    0        0
SENIOR HOUSING
   PROPERTIES TR (REI   COMMON   81721M109       14         614 Shares                 X               1            0    0        0
SENIOR HOUSING
   PROPERTIES TR (REI   COMMON   81721M109        5         238 Shares                         X       1            0    0        0
SERVICE CORPORATION
   INTL                 COMMON   817565104     2032      183710 Shares                 X               1       181146    0     2564
SERVICE CORPORATION
   INTL                 COMMON   817565104      131       11810 Shares                         X       1        11810    0        0
SEVERN BANCORP INC      COMMON   81811M100        3         726 Shares                         X       1          726    0        0
SHERWIN WILLIAMS CO COM COMMON   824348106       17         200 Shares                 X               1          200    0        0
SHERWIN WILLIAMS CO COM COMMON   824348106      420        5000 Shares                         X       1            0    0     5000
SHIRE PLC - ADR         COMMON   82481R106       11         128 Shares                 X               1          128    0        0
SIEMENS A G SPONSORED
   ADR                  COMMON   826197501       48         350 Shares                 X               1          350    0        0



                                    30 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
SIGNATURE BANK          COMMON   82669G104       76        1350 Shares                 X               1         1350    0        0
SIGNATURE BANK          COMMON   82669G104     1929       34200 Shares                 X               3        34200    0        0
SILVER WHEATON
   CORPORATION          COMMON   828336107       42         960 Shares                 X               1          960    0        0
SILVER WHEATON
   CORPORATION          COMMON   828336107       32         745 Shares                         X       1          745    0        0
SILVERCORP METALS INC   COMMON   82835P103       54        3700 Shares                 X               1         3700    0        0
SIMON PROPERTY GRP INC
   (REIT)               COMMON   828806109      872        8142 Shares                 X               1            0    0        0
SIMON PROPERTY GRP INC
   (REIT)               COMMON   828806109      678        6329 Shares                         X       1            0    0        0
SIMON PROPERTY GRP INC
   (REIT)               COMMON   828806109      338        3151 Shares                 X               2         1045    0        0
SINGAPORE FUND INC      COMMON   82929L109        1         100 Shares                         X       1            0    0        0
SIRONA DENTAL SYSTEMS
   INC                  COMMON   82966C103       69        1375 Shares                 X               1         1375    0        0
SIRONA DENTAL SYSTEMS
   INC                  COMMON   82966C103     1675       33400 Shares                 X               3        33400    0        0
SIRIUS XM RADIO INC     COMMON   82967N108        6        3588 Shares                 X               1         3588    0        0
JM SMUCKER CO           COMMON   832696405      104        1451 Shares                 X               1         1451    0        0
JM SMUCKER CO           COMMON   832696405      241        3382 Shares                         X       1         2784    0      598
SNAP ON INC             COMMON   833034101       12         195 Shares                 X               1          195    0        0
SOLUTIA INC-
   WARRANTS 2/28        COMMON   834376147        0          65 Shares                         X       1           65    0        0
SOLUTIA INC             COMMON   834376501      336       13243 Shares                 X               1        13243    0        0
SOLUTIA INC             COMMON   834376501        0           8 Shares                         X       1            8    0        0
SOLUTIA INC             COMMON   834376501     5380      211820 Shares                 X               3       211820    0        0
SONOCO PRODUCTS CO COM  COMMON   835495102       16         445 Shares                 X               1          445    0        0
SONY CORP - SPONSORED
   ADR                  COMMON   835699307        5         164 Shares                 X               1          164    0        0
SOTHEBY'S               COMMON   835898107       96        1825 Shares                 X               1         1825    0        0
SOTHEBY'S               COMMON   835898107     2341       44500 Shares                 X               3        44500    0        0
SOURCEFIRE INC          COMMON   83616T108      297       10810 Shares                 X               1        10810    0        0
SOURCEFIRE INC          COMMON   83616T108     4288      155865 Shares                 X               3       155865    0        0
SOUTHERN CO COM         COMMON   842587107     1029       26989 Shares                 X               1        25785    0     1204
SOUTHERN CO COM         COMMON   842587107     1172       30740 Shares                         X       1        30340    0      400
SOUTHERN COPPER CORP    COMMON   84265V105       24         600 Shares                 X               1            0    0      600
SOUTHERN UNION CO NEW
   COM                  COMMON   844030106        6         200 Shares                 X               1          200    0        0
SOUTHWEST AIRLINES CO
   COM                  COMMON   844741108       10         800 Shares                 X               1          800    0        0
SOUTHWEST AIRLINES CO
   COM                  COMMON   844741108        4         300 Shares                         X       1          300    0        0
SOUTHWESTERN ENERGY
   COMPANY              COMMON   845467109     1178       27412 Shares                 X               1        27412    0        0
SOUTHWESTERN ENERGY
   COMPANY              COMMON   845467109       51        1185 Shares                         X       1         1185    0        0
SOUTHWESTERN ENERGY
   COMPANY              COMMON   845467109      884       20585 Shares                 X               3        20585    0        0
SPECTRA ENERGY CORP     COMMON   847560109      226        8319 Shares                 X               1         8319    0        0
SPECTRA ENERGY CORP     COMMON   847560109      250        9207 Shares                         X       1         8957    0      250
SPECTRA ENERGY
   PARTNERS LP          COMMON   84756N109        2          50 Shares                         X       1           50    0        0
SPROTT RESOURCE
   LENDING CORP         COMMON   85207J100        1         500 Shares                         X       1          500    0        0
STANDARD REGISTER
   COMPANY              COMMON   853887107       30        9000 Shares                 X               1         9000    0        0
STANLEY BLACK & DECKER
   INC                  COMMON   854502101      310        4050 Shares                 X               1         4050    0        0
STANLEY BLACK & DECKER
   INC                  COMMON   854502101      798       10414 Shares                         X       1        10414    0        0
STAPLES INC COM         COMMON   855030102     1160       59745 Shares                 X               1        59245    0      500
STAPLES INC COM         COMMON   855030102      471       24236 Shares                         X       1        24136    0      100
STAPLES INC COM         COMMON   855030102       23        1200 Shares                 X               3         1200    0        0
STARBUCKS CORP COM      COMMON   855244109      455       12320 Shares                 X               1        12320    0        0
STARWOOD HOTELS &
   RESORTS WORLDWI      COMMON   85590A401     3094       53231 Shares                 X               1        52769    0      462
STARWOOD HOTELS &
   RESORTS WORLDWI      COMMON   85590A401       95        1628 Shares                         X       1         1628    0        0
STARWOOD HOTELS &
   RESORTS WORLDWI      COMMON   85590A401     2037       35043 Shares                 X               3        35043    0        0
STATE STREET CORP       COMMON   857477103       51        1125 Shares                 X               1         1125    0        0
STATE STREET CORP       COMMON   857477103     3022       67250 Shares                         X       1        67250    0        0
STATOIL ASA SPONSORED
   ADR                  COMMON   85771P102       14         492 Shares                 X               1          492    0        0
STEEL DYNAMICS INC      COMMON   858119100        6         300 Shares                 X               1          300    0        0
STELLARONE CORP         COMMON   85856G100       24        1731 Shares                         X       1         1731    0        0
STILLWATER MINING
   COMPANY              COMMON   86074Q102      989       43125 Shares                 X               1        43125    0        0
STILLWATER MINING
   COMPANY              COMMON   86074Q102     5184      226026 Shares                 X               3       226026    0        0
STRATASYS INCORPORATED  COMMON   862685104      177        3756 Shares                 X               1         3756    0        0
STRATASYS INCORPORATED  COMMON   862685104     2345       49890 Shares                 X               3        49890    0        0
STRYKER CORP COM        COMMON   863667101      410        6736 Shares                 X               1         6736    0        0
STRYKER CORP COM        COMMON   863667101      164        2700 Shares                         X       1         2000    0      700
STRYKER CORP COM        COMMON   863667101      304        5000 Shares                 X               2            0    0     5000
STURM RUGER & CO INC
   COM                  COMMON   864159108        6         250 Shares                 X               1          250    0        0
STURM RUGER & CO INC
   COM                  COMMON   864159108       23        1000 Shares                         X       1         1000    0        0



                                    31 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
SUBURBAN PROPANE
   PARTNERS LP LIMI     COMMON   864482104       31         550 Shares                 X               1          550    0        0
SUBURBAN PROPANE
   PARTNERS LP LIMI     COMMON   864482104      119        2100 Shares                         X       1         2100    0        0
SUCCESSFACTORS INC      COMMON   864596101       60        1525 Shares                 X               1         1525    0        0
SUCCESSFACTORS INC      COMMON   864596101     1466       37500 Shares                 X               3        37500    0        0
SUMITOMO TRUST AND
   BANKING CO           COMMON   86562M209       13        2012 Shares                 X               1         2012    0        0
SUN LIFE FINL INC       COMMON   866796105       81        2592 Shares                 X               1         2592    0        0
SUN HYDRAULICS
   CORPORATION          COMMON   866942105       78        1800 Shares                 X               1         1800    0        0
SUN HYDRAULICS
   CORPORATION          COMMON   866942105     1940       45000 Shares                 X               3        45000    0        0
SUNCOR ENERGY INC       COMMON   867224107       46        1016 Shares                 X               1         1016    0        0
SUNCOR ENERGY INC       COMMON   867224107      478       10665 Shares                         X       1        10665    0        0
SUNESIS
   PHARMACEUTICALS INC  COMMON   867328601        0         166 Shares                 X               1          166    0        0
SUNOCO LOGISTICS
   PARTNERS LP          COMMON   86764L108      104        1200 Shares                 X               1         1200    0        0
SUNOCO LOGISTICS
   PARTNERS LP          COMMON   86764L108       35         400 Shares                         X       1          400    0        0
SUNOCO INC COM          COMMON   86764P109       10         217 Shares                 X               1          217    0        0
SUNPOWER CORP CL A      COMMON   867652109        3         200 Shares                 X               1          200    0        0
SUNRISE SENIOR LIVING
   INC                  COMMON   86768K106       12        1000 Shares                 X               2            0    0     1000
SUNTRUST BANKS INC      COMMON   867914103      211        7328 Shares                 X               1         7328    0        0
SUNTRUST BANKS INC      COMMON   867914103      511       17718 Shares                         X       1        16018    0     1700
SUNTRUST BANKS INC      COMMON   867914103      577       20001 Shares                 X               3        20001    0        0
SUPERCONDUCTOR
   TECHNOLOGIES INC     COMMON   867931305        0          12 Shares                 X               1           12    0        0
SUPERVALU INC           COMMON   868536103       21        2400 Shares                 X               1         2400    0        0
SUSQUEHANNA BANCSHARES
   INC PA COM           COMMON   869099101      702       75116 Shares                 X               1        72970    0     2146
SUSQUEHANNA BANCSHARES
   INC PA COM           COMMON   869099101      143       15250 Shares                         X       1        14250 1000        0
SUSQUEHANNA BANCSHARES
   INC PA COM           COMMON   869099101      250       26738 Shares                 X               3        26738    0        0
SYMANTEC CORP COM       COMMON   871503108       90        4872 Shares                 X               1         4872    0        0
SYMANTEC CORP COM       COMMON   871503108       59        3200 Shares                         X       1         3200    0        0
SYNGENTA AG ADR         COMMON   87160A100      130        2000 Shares                         X       1         2000    0        0
SYSCO CORP              COMMON   871829107     1660       59928 Shares                 X               1        59828    0      100
SYSCO CORP              COMMON   871829107     4612      166500 Shares                         X       1       164400    0     2100
SYSCO CORP              COMMON   871829107       37        1350 Shares                 X               3         1350    0        0
TECO ENERGY INC         COMMON   872375100       34        1800 Shares                 X               1         1800    0        0
TECO ENERGY INC         COMMON   872375100       72        3814 Shares                         X       1         3814    0        0
TF FINANCIAL CORP       COMMON   872391107      109        5250 Shares                 X               1         5250    0        0
TJX COMPANIES COM       COMMON   872540109      340        6830 Shares                 X               1         6830    0        0
TJX COMPANIES COM       COMMON   872540109      115        2321 Shares                         X       1         2321    0        0
TJX COMPANIES COM       COMMON   872540109     2465       49570 Shares                 X               3        49570    0        0
TAIWAN SEMICONDUCTOR
   SPON ADR             COMMON   874039100       24        2000 Shares                 X               1         2000    0        0
TAIWAN SEMICONDUCTOR
   SPON ADR             COMMON   874039100       12        1014 Shares                         X       1            0    0     1014
TALISMAN ENERGY INC     COMMON   87425E103      286       11575 Shares                 X               1         2075    0     9500
TALISMAN ENERGY INC     COMMON   87425E103        5         210 Shares                         X       1            0    0      210
TARGET CORP COM         COMMON   87612E106     5546      110894 Shares                 X               1       110006    0      888
TARGET CORP COM         COMMON   87612E106      755       15094 Shares                         X       1        14049    0     1045
TARGET CORP COM         COMMON   87612E106     1030       20594 Shares                 X               3        18974    0     1620
TASEKO MINES LTD        COMMON   876511106       30        5000 Shares                 X               1         5000    0        0
TECH DATA CORP COM      COMMON   878237106       25         500 Shares                         X       1          500    0        0
TECK RESOURCES LTD- CL
   B                    COMMON   878742204       64        1210 Shares                 X               1         1210    0        0
TECK RESOURCES LTD- CL
   B                    COMMON   878742204       53        1000 Shares                         X       1         1000    0        0
TELE NORTE LESTE PART
   ADR                  COMMON   879246106       15         865 Shares                 X               1          865    0        0
TELECOM NEW ZEALAND
   SPON ADR             COMMON   879278208        4         533 Shares                 X               1          533    0        0
TELECOM ITALIA SPA      COMMON   87927Y102       23        1519 Shares                 X               1         1519    0        0
TELECOMICACOES
   BRASILEIRAS-SP ADR   COMMON   879287308        1          65 Shares                 X               1           65    0        0
TELEDYNE TECHNOLOGIES
   INC COM              COMMON   879360105       14         275 Shares                 X               1          275    0        0
TELEFONICA S A
   SPONSORED ADR        COMMON   879382208       68        2684 Shares                 X               1         2610    0       74
TELEFONICA S A
   SPONSORED ADR        COMMON   879382208        6         238 Shares                         X       1          238    0        0
TELEFONOS DE MEXICO SA
   DE CV                COMMON   879403707        0           1 Shares                 X               3            1    0        0
TELEFONOS DE MEXICO SP
   ADR L                COMMON   879403780       18         970 Shares                 X               1          970    0        0
TELEFONOS DE MEXICO SP
   ADR L                COMMON   879403780       37        2000 Shares                         X       1            0    0     2000
TEMPLE INLAND INC       COMMON   879868107        3         128 Shares                 X               1          128    0        0
TEMPLE INLAND INC       COMMON   879868107        2         100 Shares                         X       1          100    0        0
TEMPLETON DRAGON FUND
   INC                  COMMON   88018T101        3         100 Shares                 X               1            0    0        0
TEMPLETON GLOBAL
   INCOME FUND-DE       COMMON   880198106      393       37500 Shares                 X               1            0    0        0
TENARIS SA SPONSORED
   ADR                  COMMON   88031M109       33         674 Shares                 X               1          674    0        0



                                    32 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
TENNECO INC             COMMON   880349105      408        9608 Shares                 X               1         9608    0        0
TENNECO INC             COMMON   880349105     1634       38498 Shares                 X               3        38498    0        0
TERADATA CORP           COMMON   88076W103        1          16 Shares                         X       1            0    0       16
TEREX CORP              COMMON   880779103       19         500 Shares                 X               1          500    0        0
TESORO CORP             COMMON   881609101       21         800 Shares                 X               1          800    0        0
TEVA PHARMACEUTICAL
   SPONS ADR            COMMON   881624209     1127       22469 Shares                 X               1        21869    0      600
TEVA PHARMACEUTICAL
   SPONS ADR            COMMON   881624209     1053       20980 Shares                         X       1        18490    0     2490
TEVA PHARMACEUTICAL
   SPONS ADR            COMMON   881624209      731       14530 Shares                 X               2         1100    0    13430
TETRA TECH INC          COMMON   88162G103        7         300 Shares                 X               1          300    0        0
TEXAS CAPITAL
   BANCSHARES INC       COMMON   88224Q107      219        8421 Shares                 X               1         8421    0        0
TEXAS CAPITAL
   BANCSHARES INC       COMMON   88224Q107     2950      113475 Shares                 X               3       113475    0        0
TEXAS INSTRUMENTS INC   COMMON   882508104     2414       69857 Shares                 X               1        69257    0      600
TEXAS INSTRUMENTS INC   COMMON   882508104     1785       51650 Shares                         X       1        45875    0     5775
TEXAS INSTRUMENTS INC   COMMON   882508104      168        4844 Shares                 X               3         4844    0        0
TEXTRON INC COM         COMMON   883203101      201        7336 Shares                 X               1         7336    0        0
THERMO FISHER
   SCIENTIFIC INC       COMMON   883556102       42         759 Shares                 X               1          759    0        0
THERMO FISHER
   SCIENTIFIC INC       COMMON   883556102       56        1000 Shares                         X       1          400    0      600
THERMO FISHER
   SCIENTIFIC INC       COMMON   883556102      194        3500 Shares                 X               2            0    0     3500
THOMSON REUTERS PLC     COMMON   884903105       61        1560 Shares                 X               1         1560    0        0
3M CO                   COMMON   88579Y101    13678      146288 Shares                 X               1       145563    0      725
3M CO                   COMMON   88579Y101     9080       97112 Shares                         X       1        86911    0    10201
3M CO                   COMMON   88579Y101      399        4265 Shares                 X               2            0    0     4265
3M CO                   COMMON   88579Y101     1002       10717 Shares                 X               3         9774    0      943
3M CO                   COMMON   88579Y101       61         650 Shares                         X       4          650    0        0
TIBCO SOFTWARE INC COM  COMMON   88632Q103      115        4225 Shares                 X               1         4225    0        0
TIBCO SOFTWARE INC COM  COMMON   88632Q103     2820      103500 Shares                 X               3       103500    0        0
TIDEWATER INC           COMMON   886423102       60        1000 Shares                 X               1         1000    0        0
TIFFANY & CO            COMMON   886547108      259        4208 Shares                 X               1         4208    0        0
TIFFANY & CO            COMMON   886547108       61        1000 Shares                         X       1         1000    0        0
TIFFANY & CO            COMMON   886547108     2537       41300 Shares                 X               3        41300    0        0
TIM HORTONS INC         COMMON   88706M103      196        4333 Shares                 X               1         4333    0        0
TIME WARNER INC         COMMON   887317303      225        6308 Shares                 X               1         6308    0        0
TIME WARNER INC         COMMON   887317303       73        2058 Shares                         X       1         1958    0      100
TIME WARNER INC         COMMON   887317303        9         251 Shares                 X               3          251    0        0
TIME WARNER CABLE INC   COMMON   88732J207       34         481 Shares                 X               1          481    0        0
TIME WARNER CABLE INC   COMMON   88732J207       18         257 Shares                         X       1          257    0        0
TIME WARNER CABLE INC   COMMON   88732J207      204        2862 Shares                 X               3         2862    0        0
TITAN INTERNATIONAL INC COMMON   88830M102       94        3525 Shares                 X               1         3525    0        0
TITAN INTERNATIONAL INC COMMON   88830M102     2288       86000 Shares                 X               3        86000    0        0
TITAN MACHINERY INC     COMMON   88830R101       40        1600 Shares                 X               1         1600    0        0
TITAN MACHINERY INC     COMMON   88830R101     1010       40000 Shares                 X               3        40000    0        0
TOLL BROS INC           COMMON   889478103       16         800 Shares                 X               1          800    0        0
TOLL BROS INC           COMMON   889478103       22        1100 Shares                         X       1          600    0      500
TOMPKINS FINANCIAL CORP COMMON   890110109       15         365 Shares                 X               1          365    0        0
TONGJITANG CHINESE
   MEDICINES-ADR        COMMON   89025E103        1         200 Shares                         X       1          200    0        0
TOOTSIE ROLL INDUSTRIES COMMON   890516107       71        2521 Shares                 X               1         2521    0        0
TOOTSIE ROLL INDUSTRIES COMMON   890516107        9         314 Shares                         X       1          314    0        0
TORO CO COM             COMMON   891092108      106        1600 Shares                 X               1         1600    0        0
TORONTO-DOMINION BANK   COMMON   891160509       26         293 Shares                 X               1          293    0        0
TORONTO-DOMINION BANK   COMMON   891160509       69         782 Shares                         X       1          700    0       82
TORTOISE ENERGY
   INFRASTRUCTURE CO    COMMON   89147L100       40        1000 Shares                         X       1            0    0        0
TORTOISE MLP FUND INC   COMMON   89148B101       79        3000 Shares                 X               1            0    0        0
TOTAL SA SPONSORED ADR  COMMON   89151E109      243        3979 Shares                 X               1         3913    0       66
TOTAL SA SPONSORED ADR  COMMON   89151E109        9         148 Shares                         X       1          148    0        0
TOWER BANCORP INC       COMMON   891709107       18         800 Shares                 X               1          800    0        0
TOYOTA MOTOR CORP SPON
   ADR                  COMMON   892331307       20         250 Shares                 X               1          250    0        0
TOYOTA MOTOR CORP SPON
   ADR                  COMMON   892331307       16         200 Shares                         X       1          200    0        0
TRADESTATION GROUP INC  COMMON   89267P105        6         900 Shares                 X               1          900    0        0
TRANSACT TECHNOLOGIES
   INC COM              COMMON   892918103       12        1000 Shares                 X               1         1000    0        0
TRANSATLANTIC HLDGS INC COMMON   893521104        6         118 Shares                 X               1          118    0        0
TRANSMONTAIGNE
   PARTNERS LP          COMMON   89376V100       21         570 Shares                 X               1          570    0        0
THE TRAVELERS
   COMPANIES INC        COMMON   89417E109      315        5299 Shares                 X               1         5299    0        0



                                    33 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
THE TRAVELERS
   COMPANIES INC        COMMON   89417E109      571        9601 Shares                         X       1         9601    0        0
THE TRAVELERS
   COMPANIES INC        COMMON   89417E109       24         400 Shares                 X               3          400    0        0
TREDEGAR CORP           COMMON   894650100       38        1750 Shares                 X               1         1750    0        0
TRI-CONTINENTAL CORP    COMMON   895436103        7         487 Shares                 X               1            0    0        0
TRIUMPH GROUP INC       COMMON   896818101       75         850 Shares                 X               1          850    0        0
TRIUMPH GROUP INC       COMMON   896818101     1902       21500 Shares                 X               3        21500    0        0
TUPPERWARE BRANDS CORP  COMMON   899896104       27         450 Shares                         X       1          450    0        0
TYLER TECHNOLOGIES INC  COMMON   902252105      506       21335 Shares                 X               2            0    0    21335
TYSON FOODS INC COM     COMMON   902494103       12         625 Shares                         X       1          625    0        0
UDR INC REIT            COMMON   902653104     1293       53052 Shares                 X               1            0    0        0
UDR INC REIT            COMMON   902653104      108        4438 Shares                         X       1            0    0        0
UGI CORP                COMMON   902681105      316        9596 Shares                 X               1         9596    0        0
UGI CORP                COMMON   902681105       99        3000 Shares                         X       1         3000    0        0
UIL HOLDINGS
   CORPORATION          COMMON   902748102       36        1180 Shares                 X               1         1180    0        0
U S BANCORP DEL COM NEW COMMON   902973304     1052       39816 Shares                 X               1        39816    0        0
U S BANCORP DEL COM NEW COMMON   902973304      271       10255 Shares                         X       1         9955    0      300
U S BANCORP DEL COM NEW COMMON   902973304       77        2900 Shares                 X               3         2900    0        0
ULTA SALON COSMETICS &
   FRAGRANCE            COMMON   90384S303      112        2325 Shares                 X               1         2325    0        0
ULTA SALON COSMETICS &
   FRAGRANCE            COMMON   90384S303     2767       57500 Shares                 X               3        57500    0        0
ULTRATECH INC           COMMON   904034105       64        2175 Shares                 X               1         2175    0        0
ULTRATECH INC           COMMON   904034105     1558       53000 Shares                 X               3        53000    0        0
UNDER ARMOUR INC-CLASS
   A                    COMMON   904311107       14         200 Shares                 X               1          200    0        0
UNDER ARMOUR INC-CLASS
   A                    COMMON   904311107        5          70 Shares                         X       1           70    0        0
UNDER ARMOUR INC-CLASS
   A                    COMMON   904311107       68        1000 Shares                 X               2            0    0     1000
UNILEVER PLC SPONSORED
   ADR                  COMMON   904767704       55        1802 Shares                 X               1         1692    0      110
UNILEVER PLC SPONSORED
   ADR                  COMMON   904767704      150        4888 Shares                         X       1         1888    0     3000
UNILEVER NV NY SHARES   COMMON   904784709      249        7951 Shares                 X               1         7951    0        0
UNILEVER NV NY SHARES   COMMON   904784709       33        1050 Shares                         X       1         1050    0        0
UNION PACIFIC CORP COM  COMMON   907818108     2958       30085 Shares                 X               1        29749    0      336
UNION PACIFIC CORP COM  COMMON   907818108      978        9948 Shares                         X       1         9948    0        0
UNION PACIFIC CORP COM  COMMON   907818108       79         800 Shares                 X               2            0    0      800
UNITED BANKSHARES INC   COMMON   909907107      564       21250 Shares                 X               2            0    0    21250
UNITED PARCEL SERVICE
   CL B                 COMMON   911312106     4801       64596 Shares                 X               1        63719    0      877
UNITED PARCEL SERVICE
   CL B                 COMMON   911312106      991       13337 Shares                         X       1        12744    0      593
UNITED PARCEL SERVICE
   CL B                 COMMON   911312106     1580       21262 Shares                 X               3        19313    0     1949
US GOLD CORP            COMMON   912023207       35        3956 Shares                 X               1         3956    0        0
US GOLD CORP            COMMON   912023207      945      107000 Shares                 X               3       107000    0        0
UNITED STATES OIL FD LP COMMON   91232N108       21         500 Shares                 X               1            0    0        0
UNITED STS STL CORP NEW COMMON   912909108     2892       53620 Shares                 X               1        52774    0      846
UNITED STS STL CORP NEW COMMON   912909108      194        3599 Shares                         X       1         2194    0     1405
UNITED STS STL CORP NEW COMMON   912909108      715       13241 Shares                 X               3        10865    0     2376
UNITED TECHNOLOGIES
   CORP COM             COMMON   913017109     8151       96291 Shares                 X               1        95241    0     1050
UNITED TECHNOLOGIES
   CORP COM             COMMON   913017109     3582       42321 Shares                         X       1        41321    0     1000
UNITED TECHNOLOGIES
   CORP COM             COMMON   913017109      990       11690 Shares                 X               2            0    0    11690
UNITED TECHNOLOGIES
   CORP COM             COMMON   913017109      847       10008 Shares                 X               3        10008    0        0
UNITEDHEALTH GROUP INC  COMMON   91324P102     3746       82886 Shares                 X               1        82886    0        0
UNITEDHEALTH GROUP INC  COMMON   91324P102      154        3407 Shares                         X       1         2007    0     1400
UNITEDHEALTH GROUP INC  COMMON   91324P102      155        3425 Shares                 X               2            0    0     3425
UNITEDHEALTH GROUP INC  COMMON   91324P102     2809       62137 Shares                 X               3        58249    0     3888
UNITRIN INC COM         COMMON   913275103       43        1400 Shares                 X               1         1400    0        0
UNIVERSAL DISPLAY CORP  COMMON   91347P105       72        1300 Shares                 X               1         1300    0        0
UNIVEST CORP OF PA      COMMON   915271100       39        2210 Shares                 X               1         2210    0        0
URBAN OUTFITTERS INC    COMMON   917047102        3         100 Shares                 X               1          100    0        0
URSTADT BIDDLE PPTYS
   INC CL A (RE         COMMON   917286205       57        3000 Shares                         X       1            0    0        0
V F CORP                COMMON   918204108      176        1790 Shares                 X               1         1790    0        0
V F CORP                COMMON   918204108       12         125 Shares                         X       1          125    0        0
VIST FINANCIAL CORP     COMMON   918255100        4         500 Shares                 X               1          500    0        0
VIST FINANCIAL CORP     COMMON   918255100        9        1000 Shares                         X       1         1000    0        0
VALE SA                 COMMON   91912E105      116        3475 Shares                 X               1         3475    0        0
VALE SA                 COMMON   91912E105       27         800 Shares                 X               3          800    0        0
VALE SA - SP PREF ADR   COMMON   91912E204       59        2000 Shares                 X               1         2000    0        0
VALERO ENERGY CORP COM  COMMON   91913Y100       13         450 Shares                 X               1          450    0        0



                                    34 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
VALERO ENERGY CORP COM  COMMON   91913Y100       30        1000 Shares                         X       1         1000    0        0
VANGUARD DVD
   APPRECIATION INDEX F COMMON   921908844       69        1250 Shares                 X               1            0    0        0
VANGUARD SHORT-TERM BD
   ETF                  COMMON   921937827       12         155 Shares                         X       1            0    0        0
VANGUARD SHORT-TERM BD
   ETF                  COMMON   921937827     2688       33537 Shares                 X               3            0    0        0
VANGUARD TOTAL BOND
   MKT ETF              COMMON   921937835     1108       13847 Shares                 X               1            0    0        0
VANGUARD TOTAL BOND
   MKT ETF              COMMON   921937835      157        1958 Shares                         X       1            0    0        0
VANGUARD TOTAL BOND
   MKT ETF              COMMON   921937835     3426       42820 Shares                 X               3            0    0        0
VANGUARD HIGH DIVIDEND
   YIELD ETF            COMMON   921946406     6122      138110 Shares                 X               1            0    0        0
VANGUARD HIGH DIVIDEND
   YIELD ETF            COMMON   921946406      198        4465 Shares                         X       1            0    0        0
VANGUARD HIGH DIVIDEND
   YIELD ETF            COMMON   921946406     7414      167238 Shares                 X               3            0    0        0
VANGUARD MSCI EMERGING
   MKTS ETF             COMMON   922042858       88        1802 Shares                         X       1            0    0        0
VANGUARD MSCI EMERGING
   MKTS ETF             COMMON   922042858       17         350 Shares                 X               2            0    0        0
VANGUARD MSCI EMERGING
   MKTS ETF             COMMON   922042858      309        6310 Shares                 X               3            0    0        0
VANGUARD INFO TECH ETF  COMMON   92204A702       39         600 Shares                 X               2            0    0      600
VANGUARD UTILITIES ETF  COMMON   92204A876        3          50 Shares                 X               1            0    0        0
VEECO INSTRUMENTS INC   COMMON   922417100      109        2152 Shares                 X               1         2152    0        0
VEECO INSTRUMENTS INC   COMMON   922417100       18         350 Shares                         X       1            0    0      350
VANGUARD SMALL-CAP
   VALUE ETF            COMMON   922908611        9         124 Shares                 X               1            0    0        0
VANGUARD SMALL-CAP ETF  COMMON   922908751        5          63 Shares                 X               1            0    0        0
VANGUARD TOTAL STOCK
   MARKET ETF           COMMON   922908769       19         274 Shares                 X               1            0    0        0
VERA BRADLEY INC        COMMON   92335C106       75        1775 Shares                 X               1         1775    0        0
VERA BRADLEY INC        COMMON   92335C106     1857       44000 Shares                 X               3        44000    0        0
VERIFONE SYSTEMS INC    COMMON   92342Y109      113        2050 Shares                 X               1         2050    0        0
VERIFONE SYSTEMS INC    COMMON   92342Y109     2775       50500 Shares                 X               3        50500    0        0
VERISIGN INC COM        COMMON   92343E102        4         100 Shares                 X               1          100    0        0
VERIZON COMMUNICATIONS
   COM                  COMMON   92343V104    17835      462762 Shares                 X               1       454641    0     8121
VERIZON COMMUNICATIONS
   COM                  COMMON   92343V104     8160      211716 Shares                         X       1       200788    0    10928
VERIZON COMMUNICATIONS
   COM                  COMMON   92343V104      884       22945 Shares                 X               2            0    0    22945
VERIZON COMMUNICATIONS
   COM                  COMMON   92343V104     1287       33387 Shares                 X               3        30289    0     3098
VIACOM INC-CLASS B      COMMON   92553P201      196        4222 Shares                 X               1         4222    0        0
VIACOM INC-CLASS B      COMMON   92553P201      221        4746 Shares                         X       1         2346    0     2400
VIROPHARMA INC          COMMON   928241108       30        1500 Shares                 X               1         1500    0        0
VISA INC                COMMON   92826C839     1325       17995 Shares                 X               1        17713    0      282
VISA INC                COMMON   92826C839       36         494 Shares                         X       1          494    0        0
VITESSE SEMICONDUCTOR
   CORP                 COMMON   928497304        0           8 Shares                 X               1            8    0        0
VIVO PARTICIPACOES
   SA-ADR               COMMON   92855S200        5         118 Shares                 X               1          118    0        0
VMWARE INC              COMMON   928563402       24         300 Shares                 X               1          300    0        0
VODAFONE GROUP PLC -
   SP ADR               COMMON   92857W209      925       32185 Shares                 X               1        31977    0      208
VODAFONE GROUP PLC -
   SP ADR               COMMON   92857W209      217        7546 Shares                         X       1         7385    0      161
VODAFONE GROUP PLC -
   SP ADR               COMMON   92857W209       35        1200 Shares                         X       4         1200    0        0
VULCAN MATERIAL COM     COMMON   929160109     1446       31714 Shares                 X               1        31226    0      488
VULCAN MATERIAL COM     COMMON   929160109       58        1268 Shares                         X       1         1268    0        0
WD 40 CO COM            COMMON   929236107       17         400 Shares                 X               1          400    0        0
WD 40 CO COM            COMMON   929236107        8         200 Shares                         X       1          200    0        0
WGL HLDGS INC COM       COMMON   92924F106       27         700 Shares                 X               1          700    0        0
WGL HLDGS INC COM       COMMON   92924F106       60        1530 Shares                 X               3         1530    0        0
WABCO HOLDINGS INC      COMMON   92927K102       62        1000 Shares                 X               1         1000    0        0
WABCO HOLDINGS INC      COMMON   92927K102     1572       25500 Shares                 X               3        25500    0        0
W P CAREY & CO LLC      COMMON   92930Y107       18         500 Shares                 X               1            0    0        0
WABASH NATIONAL
   CORPORATION          COMMON   929566107      109        9400 Shares                 X               1         9400    0        0
WABASH NATIONAL
   CORPORATION          COMMON   929566107     2646      228500 Shares                 X               3       228500    0        0
WADDELL & REED FINL
   INC CL A             COMMON   930059100       75        1850 Shares                 X               1         1850    0        0
WADDELL & REED FINL
   INC CL A             COMMON   930059100     1827       45000 Shares                 X               3        45000    0        0
WAL MART STORES INC COM COMMON   931142103    11686      224509 Shares                 X               1       222129    0     2380
WAL MART STORES INC COM COMMON   931142103     3600       69166 Shares                         X       1        62108    0     7058
WAL MART STORES INC COM COMMON   931142103       52        1000 Shares                 X               2            0    0     1000
WAL MART STORES INC COM COMMON   931142103     2002       38464 Shares                 X               3        35303    0     3161
WALGREEN CO             COMMON   931422109      513       12768 Shares                 X               1        12718    0       50
WALGREEN CO             COMMON   931422109      355        8855 Shares                         X       1         8785    0       70
WALGREEN CO             COMMON   931422109      316        7881 Shares                 X               3         7881    0        0
WALTER ENERGY INC       COMMON   93317Q105      290        2142 Shares                 X               1         2142    0        0
WALTER ENERGY INC       COMMON   93317Q105     3803       28080 Shares                 X               3        28080    0        0



                                    35 of 38




                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
WASHINGTON REAL ESTATE
   INVT (REIT           COMMON   939653101       93        3000 Shares                 X               1            0    0        0
WASHINGTON REAL ESTATE
   INVT (REIT           COMMON   939653101       16         500 Shares                         X       1            0    0        0
WASTE CONNECTIONS INC   COMMON   941053100      203        7064 Shares                 X               1         7064    0        0
WASTE CONNECTIONS INC   COMMON   941053100     2726       94695 Shares                 X               3        94695    0        0
WASTE MANAGEMENT INC    COMMON   94106L109      101        2700 Shares                 X               1         2700    0        0
WASTE MANAGEMENT INC    COMMON   94106L109      220        5887 Shares                         X       1         2587    0     3300
WATERS CORP COM         COMMON   941848103      229        2632 Shares                 X               1         2632    0        0
WATSON PHARMACEUTICALS
   INC COM              COMMON   942683103       85        1526 Shares                         X       1          763  763        0
WEBSTER FINL CORP
   WATERBURY COM        COMMON   947890109      243       11356 Shares                 X               3        11356    0        0
WEINGARTEN REALTY
   INVESTORS (REIT)     COMMON   948741103       71        2800 Shares                 X               2         1500    0        0
WEIS MARKETS INC        COMMON   948849104       47        1150 Shares                 X               1          900    0      250
WELLPOINT INC           COMMON   94973V107       42         600 Shares                 X               1          600    0        0
WELLS FARGO & CO        COMMON   949746101    12010      378746 Shares                 X               1       374318    0     4428
WELLS FARGO & CO        COMMON   949746101     3192      100648 Shares                         X       1        92972    0     7676
WELLS FARGO & CO        COMMON   949746101      203        6500 Shares                 X               2         6500    0        0
WELLS FARGO & CO        COMMON   949746101      522     16460.1 Shares                 X               3      11426.1    0     5034
WELLS FARGO & CO        COMMON   949746101       63        2000 Shares                         X       4         2000    0        0
WELLS FARGO & CO
   WARRANTS 10/28/18    COMMON   949746119      744       65850 Shares                 X               2            0    0    65850
WELLS FARGO PFD CONV
   7.50% SER L          COMMON   949746804       52          50 Shares                         X       1            0    0        0
WELLS FARGO PFD CONV
   7.50% SER L          COMMON   949746804      466         450 Shares                 X               2            0    0        0
WELLS FARGO ADVANTAGE
   INCOME               COMMON   94987B105       51        5035 Shares                 X               1            0    0        0
WENDYS/ARBYS GROUP INC
   - CL A               COMMON   950587105       68       13600 Shares                 X               1        13600    0        0
WESTAR ENERGY INC       COMMON   95709T100        4         150 Shares                         X       1          150    0        0
WESTERN ASSET EMERGING
   MARKETS              COMMON   95766A101       11         600 Shares                         X       1            0    0        0
WESTN DIGITAL CORP      COMMON   958102105       24         654 Shares                 X               1          654    0        0
WESTERN UNION COMPANY   COMMON   959802109      217       10469 Shares                 X               1        10469    0        0
WESTERN UNION COMPANY   COMMON   959802109      136        6527 Shares                         X       1         6527    0        0
WEYERHAEUSER CO COM     COMMON   962166104      109        4416 Shares                 X               1         4416    0        0
WEYERHAEUSER CO COM     COMMON   962166104      196        7964 Shares                         X       1         6015    0     1949
WHIRLPOOL CORP COM      COMMON   963320106       26         304 Shares                         X       1          304    0        0
WHITESTONE REIT-B       COMMON   966084204       14         950 Shares                 X               1            0    0        0
WILLIAMS COMPANY INC
   (THE)                COMMON   969457100       28         897 Shares                 X               1          897    0        0
WILLIAMS COMPANY INC
   (THE)                COMMON   969457100       37        1200 Shares                         X       1            0    0     1200
WINDSTREAM CORP         COMMON   97381W104      126        9777 Shares                 X               1         9639    0      138
WINDSTREAM CORP         COMMON   97381W104       69        5354 Shares                         X       1         5354    0        0
WISCONSIN ENERGY CORP
   COM                  COMMON   976657106      192        6304 Shares                 X               1         6304    0        0
WISCONSIN ENERGY CORP
   COM                  COMMON   976657106       96        3150 Shares                         X       1         3150    0        0
WISDOMTREE INTL REAL
   ES FD                COMMON   97717W331      174        6015 Shares                 X               1            0    0        0
WISDOMTREE JAPAN S/C
   DVD FUND             COMMON   97717W836       43        1000 Shares                         X       1            0    0        0
WISDOMTREE MIDDLE EAST
   DIVID FD             COMMON   97717X305       17        1000 Shares                 X               1            0    0        0
WOODWARD INC            COMMON   980745103       55        1600 Shares                 X               1         1600    0        0
WOODWARD INC            COMMON   980745103     1365       39500 Shares                 X               3        39500    0        0
WORLD FUEL SERVICES
   CORPORATION          COMMON   981475106      122        3000 Shares                 X               1         3000    0        0
WORTHINGTON INDS INC
   COM                  COMMON   981811102      272       13000 Shares                         X       1            0    0    13000
WYNDHAM WORLDWIDE CORP  COMMON   98310W108       16         517 Shares                 X               1          517    0        0
WYNDHAM WORLDWIDE CORP  COMMON   98310W108       11         333 Shares                         X       1          333    0        0
WYNN RESORTS LIMITED    COMMON   983134107       13         100 Shares                 X               1          100    0        0
XCEL ENERGY INC COM     COMMON   98389B100       49        2055 Shares                 X               1         2055    0        0
XCEL ENERGY INC COM     COMMON   98389B100      126        5264 Shares                         X       1         5264    0        0
XEROX CORP              COMMON   984121103       38        3575 Shares                 X               1         3575    0        0
XEROX CORP              COMMON   984121103       43        4000 Shares                         X       1         4000    0        0
XFONE INC               COMMON   98414Y109        0         275 Shares                 X               1          275    0        0
YAHOO INC COM           COMMON   984332106       60        3585 Shares                 X               1         3585    0        0
YAHOO INC COM           COMMON   984332106       17        1000 Shares                         X       1         1000    0        0
YAHOO INC COM           COMMON   984332106       14         850 Shares                 X               3          850    0        0
YAMANA GOLD INC         COMMON   98462Y100        7         600 Shares                         X       1          600    0        0
YORK WATER COMPANY      COMMON   987184108     1163       66776 Shares                 X               1        66776    0        0
YORK WATER COMPANY      COMMON   987184108     1331       76452 Shares                         X       1        76452    0        0
YOUKU.COM INC SPON ADR  COMMON   98742U100      255        5361 Shares                 X               1         5361    0        0
YOUKU.COM INC SPON ADR  COMMON   98742U100      480       10101 Shares                 X               3        10101    0        0
YUM! BRANDS INC         COMMON   988498101      606       11789 Shares                 X               1        11789    0        0
YUM! BRANDS INC         COMMON   988498101      556       10818 Shares                         X       1         8618    0     2200



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                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
YUM! BRANDS INC         COMMON   988498101      351        6820 Shares                 X               2          875    0     5945
ZIMMER HLDGS INC COM    COMMON   98956P102      863       14264 Shares                 X               1        14264    0        0
ZIMMER HLDGS INC COM    COMMON   98956P102      490        8088 Shares                         X       1         7038    0     1050
ZIMMER HLDGS INC COM    COMMON   98956P102       51         850 Shares                 X               2            0    0      850
ZIMMER HLDGS INC COM    COMMON   98956P102      111        1836 Shares                 X               3         1836    0        0
ZIONS BANCORPORATION
   COM                  COMMON   989701107       64        2795 Shares                 X               1         2795    0        0
ZIONS BANCORPORATION
   COM                  COMMON   989701107       35        1525 Shares                         X       1         1525    0        0
ZIONS BANCORPORATION
   COM                  COMMON   989701107       12         525 Shares                 X               3          525    0        0
DEUTSCHE BANK AG-REG    COMMON   D18190898        3          59 Shares                 X               1           59    0        0
ARCH CAPITAL GROUP LTD  COMMON   G0450A105       90         905 Shares                 X               1          905    0        0
ENERGY XXI BERMUDA LTD  COMMON   G10082140      113        3325 Shares                 X               1         3325    0        0
ENERGY XXI BERMUDA LTD  COMMON   G10082140     2779       81500 Shares                 X               3        81500    0        0
ACCENTURE PLC- CL A     COMMON   G1151C101      586       10655 Shares                 X               1        10555    0      100
ACCENTURE PLC- CL A     COMMON   G1151C101      597       10860 Shares                         X       1        10725    0      135
COOPER INDUSTRIES PLC
   CL A                 COMMON   G24140108       65        1000 Shares                 X               1         1000    0        0
EVEREST RE GROUP LTD
   COM                  COMMON   G3223R108        7          82 Shares                 X               1           82    0        0
FABRINET                COMMON   G3323L100       48        2375 Shares                 X               1         2375    0        0
FABRINET                COMMON   G3323L100     1171       58100 Shares                 X               3        58100    0        0
HERBALIFE LTD           COMMON   G4412G101      259        3178 Shares                 X               1         3178    0        0
HERBALIFE LTD           COMMON   G4412G101     3414       41960 Shares                 X               3        41960    0        0
INGERSOLL-RAND PUBLIC
   LTD CO               COMMON   G47791101       28         588 Shares                 X               1          588    0        0
INGERSOLL-RAND PUBLIC
   LTD CO               COMMON   G47791101      226        4670 Shares                         X       1         4670    0        0
INGERSOLL-RAND PUBLIC
   LTD CO               COMMON   G47791101       72        1500 Shares                 X               2            0    0     1500
INVESCO LIMITED         COMMON   G491BT108        4         141 Shares                 X               1          141    0        0
LJ INTERNATIONAL INC    COMMON   G55312105        2         400 Shares                 X               1          400    0        0
MARVEL TECHNOLOGY
   GROUP LTD            COMMON   G5876H105      559       35968 Shares                 X               1        35968    0        0
MARVEL TECHNOLOGY
   GROUP LTD            COMMON   G5876H105        3         200 Shares                         X       1          200    0        0
MARVEL TECHNOLOGY
   GROUP LTD            COMMON   G5876H105      873       56197 Shares                 X               3        56197    0        0
NABORS INDUSTRIES LTD   COMMON   G6359F103      362       11920 Shares                 X               1        11920    0        0
NABORS INDUSTRIES LTD   COMMON   G6359F103      272        8955 Shares                         X       1         8955    0        0
NORDIC AMERICAN TANKER
   SHIPPING L           COMMON   G65773106       25        1000 Shares                 X               1         1000    0        0
SEAGATE TECHNOLOGY      COMMON   G7945M107       14         990 Shares                 X               1          990    0        0
SHIP FINANCE INTL LTD   COMMON   G81075106        6         300 Shares                 X               1          300    0        0
VALIDUS HOLDINGS LTD    COMMON   G9319H102        1          27 Shares                 X               1           27    0        0
GOLAR LNG LTD           COMMON   G9456A100       72        2829 Shares                 X               1         2829    0        0
GOLAR LNG LTD           COMMON   G9456A100     1760       68800 Shares                 X               3        68800    0        0
WHITE MOUNTAINS
   INSURANCE GROUP L    COMMON   G9618E107     1455        3994 Shares                 X               1         3938    0       56
WHITE MOUNTAINS
   INSURANCE GROUP L    COMMON   G9618E107       89         244 Shares                         X       1          244    0        0
XL GROUP PLC            COMMON   G98290102        7         300 Shares                 X               1          300    0        0
ACE LTD                 COMMON   H0023R105     2943       45493 Shares                 X               1        45167    0      326
ACE LTD                 COMMON   H0023R105      372        5742 Shares                         X       1         5662    0       80
ACE LTD                 COMMON   H0023R105      820       12669 Shares                 X               3        10219    0     2450
ALCON INC               COMMON   H01301102       41         250 Shares                 X               1          250    0        0
WEATHERFORD INTL LTD
   SWITZERLAND          COMMON   H27013103     1390       61512 Shares                 X               1        61512    0        0
WEATHERFORD INTL LTD
   SWITZERLAND          COMMON   H27013103      152        6704 Shares                         X       1         6704    0        0
WEATHERFORD INTL LTD
   SWITZERLAND          COMMON   H27013103     1539       68075 Shares                 X               3        68075    0        0
FOSTER WHEELER AG       COMMON   H27178104      786       20900 Shares                 X               1        20900    0        0
FOSTER WHEELER AG       COMMON   H27178104      111        2945 Shares                         X       1         2945    0        0
FOSTER WHEELER AG       COMMON   H27178104     2315       61545 Shares                 X               3        61545    0        0
NOBLE CORPORATION       COMMON   H5833N103      342        7487 Shares                 X               1         7487    0        0
NOBLE CORPORATION       COMMON   H5833N103       30         650 Shares                         X       1          650    0        0
TRANSOCEAN LIMITED      COMMON   H8817H100      860       11036 Shares                 X               1        10536    0      500
TRANSOCEAN LIMITED      COMMON   H8817H100      538        6902 Shares                         X       1         5193    0     1709
TRANSOCEAN LIMITED      COMMON   H8817H100       62         800 Shares                 X               3          800    0        0
TYCO INTERNATIONAL LTD  COMMON   H89128104       68        1514 Shares                 X               1         1514    0        0
TYCO INTERNATIONAL LTD  COMMON   H89128104      128        2869 Shares                         X       1         2066    0      803
TYCO INTERNATIONAL LTD  COMMON   H89128104       97        2165 Shares                 X               2            0    0     2165
   UBS AG               COMMON   H89231338       67        3693 Shares                 X               1         3693    0        0
ALLOT COMMUNICATIONS
   LTD                  COMMON   M0854Q105       78        4950 Shares                 X               1         4950    0        0
ALLOT COMMUNICATIONS
   LTD                  COMMON   M0854Q105     1917      122400 Shares                 X               3       122400    0        0
CERAGON NETWORKS LTD    COMMON   M22013102        1          56 Shares                 X               1           56    0        0
AERCAP HOLDINGS NV      COMMON   N00985106        6         500 Shares                 X               1          500    0        0



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                                                               SEC USE



                        COLUMN 2  COLUMN 3 COLUMN 4        COLUMN 5                  COLUMN 6      COLUMN 7         COLUMN 8
                        -------- --------- -------- -------------------------- ------------------- -------- ------------------------
                                                                                    INVESTMENT
                                                                                    AUTHORITY                   VOTING AUTHORITY
                                                                               -------------------          ------------------------
                                                       SHARES
                                                         OR       SHARES   PUT       SHARED SHARED
                          TITLE            VALUE (X  PRINCIPAL     OR      OR          -      -     OTHER
    NAME OF ISSUER      OF CLASS   CUSIP    $1,000)    AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER MANAGERS    SOLE   SHARED  OTHER
----------------------- -------- --------- -------- ----------- --------- ---- ---- ------- ------ -------- --------- ------ -------
                                                                                      
DRYSHIPS INC            COMMON   Y2109Q101        5        1050 Shares                 X               1         1050    0        0
FLEXTRONICS INTL LTD    COMMON   Y2573F102       30        4008 Shares                 X               1         4008    0        0
FLEXTRONICS INTL LTD    COMMON   Y2573F102        2         300 Shares                         X       1          300    0        0
SEASPAN CORP            COMMON   Y75638109      107        5500 Shares                         X       1         5500    0        0
                                            2763854 70644257.25



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