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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE QUARTER ENDED: 06/30/2012

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

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

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

Form 13F File Number: 28-05107

THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT AND THE PERSON BY WHOM
IT IS SIGNED HEREBY REPRESENT THAT THE PERSON SIGNING THE REPORT IS AUTHORIZED
TO SUBMIT IT, THAT ALL INFORMATION CONTAINED HEREIN IS TRUE, CORRECT AND
COMPLETE, AND THAT IT IS UNDERSTOOD THAT ALL REQUIRED ITEMS, STATEMENTS
SCHEDULES, LISTS, AND TABLES, ARE CONSIDERED INTEGRAL PARTS OF THIS FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

NAME:  Louise Sandberg
TITLE: Senior Executive Vice President - Wealth Management Group
PHONE: (203) 338-4393

/s/Louise Sandberg
Bridgeport, CT
08/14/2012

REPORT TYPE (CHECK ONLY ONE.):

(X)      13F HOLDINGS REPORT

( )      13F NOTICE

( )      13F COMBINATION REPORT







                              FORM 13F SUMMARY PAGE


REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:                         2

FORM 13F INFORMATION TABLE ENTRY TOTAL:                  675

FORM 13F INFORMATION TABLE VALUE TOTAL:          $ 1,248,842

List of other included managers:

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





                                                                FORM 13F INFORMATION TABLE
                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X1000)  PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
   --------------------------- ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
                                                                                        
D  3M CO                       COMMON           88579Y101      693     7733 SH       DEFINED          002        0     7733       0
D  3M CO                       COMMON           88579Y101     2370    26447 SH       OTHER            001    24241      545    1661
D  3M CO                       COMMON           88579Y101      211     2350 SH       SOLE             002        0        0    2350
D  3M CO                       COMMON           88579Y101    12746   142254 SH       SOLE             001   136715     1565    3974
D  ABBOTT LABS                 COMMON           002824100     1711    26538 SH       DEFINED          002        0    26538       0
D  ABBOTT LABS                 COMMON           002824100     1554    24097 SH       OTHER            001    22572      275    1250
D  ABBOTT LABS                 COMMON           002824100    14722   228348 SH       SOLE             001   219111     4525    4712
D  ABBOTT LABS                 COMMON           002824100     1570    24355 SH       SOLE             002        0        0   24355
D  ACCENTURE PLC IRELAND       SPONSORED ADR    G1151C101      506     8425 SH       DEFINED          002        0     8425       0
D  ACCENTURE PLC IRELAND       SPONSORED ADR    G1151C101      556     9257 SH       SOLE             001     7572        0    1685
D  ACCENTURE PLC IRELAND       SPONSORED ADR    G1151C101      245     4077 SH       OTHER            001     1000        0    3077
D  AETNA INC                   COMMON           00817Y108      398    10269 SH       DEFINED          002        0    10269       0
D  AFLAC INC                   COMMON           001055102      469    11005 SH       OTHER            001    10685      265      55
D  AFLAC INC                   COMMON           001055102      541    12711 SH       SOLE             001    11539      355     817
D  AGILENT TECHNOLOGIES INC    COMMON           00846U101      362     9236 SH       DEFINED          002        0     9236       0
D  AIR PRODS & CHEMS INC       COMMON           009158106      216     2680 SH       DEFINED          002        0     2680       0
D  AIR PRODS & CHEMS INC       COMMON           009158106      145     1795 SH       OTHER            001     1795        0       0
D  AIR PRODS & CHEMS INC       COMMON           009158106     1232    15256 SH       SOLE             001    15106        0     150
D  ALCOA INC                   COMMON           013817101        2      250 SH       OTHER            001      250        0       0
D  ALCOA INC                   COMMON           013817101      170    19376 SH       SOLE             001    19376        0       0
D  ALERIAN MLP ETF             COMMON           00162Q866      379    23728 SH       DEFINED          002        0    23728       0
D  ALLERGAN INC                COMMON           018490102      384     4145 SH       DEFINED          002        0     4145       0
D  ALLERGAN INC                COMMON           018490102     9880   106726 SH       SOLE             001   102852     1505    2369
D  ALLERGAN INC                COMMON           018490102      470     5082 SH       OTHER            001     4707      375       0
D  ALLIANCEBERNSTEIN INCOME    COMMON           01881E101       83    10000 SH       DEFINED          002        0    10000       0
D  ALTRIA GROUP INC            COMMON           02209S103      678    19615 SH       DEFINED          002        0    19615       0
D  ALTRIA GROUP INC            COMMON           02209S103     1018    29458 SH       OTHER            001    28768        0     690
D  ALTRIA GROUP INC            COMMON           02209S103     2484    71904 SH       SOLE             001    61363      630    9911
D  AMERICAN EXPRESS CO         COMMON           025816109      624    10725 SH       DEFINED          002        0    10725       0
D  AMERICAN EXPRESS CO         COMMON           025816109     1288    22135 SH       SOLE             001    19368       20    2747
D  AMERICAN EXPRESS CO         COMMON           025816109      696    11955 SH       OTHER            001    11205      750       0
D  AMETEK INC                  COMMON           031100100      359     7200 SH       SOLE             001     7200        0       0





                                                                                        
D  AMGEN INC                   COMMON           031162100      886    12150 SH       DEFINED          002        0    12150       0
D  AMGEN INC                   COMMON           031162AQ3     2590  2490000 PRN      DEFINED          002        0  2490000       0
D  AMGEN INC                   COMMON           031162100     2011    27582 SH       SOLE             001    25612      650    1320
D  AMGEN INC                   COMMON           031162100      410     5618 SH       OTHER            001     5583       35       0
D  ANALOG DEVICES INC          COMMON           032654105       76     2028 SH       OTHER            001     2028        0       0
D  ANALOG DEVICES INC          COMMON           032654105     1038    27565 SH       SOLE             001    27235      300      30
D  ANNALY CAP MGMT INC         COMMON           035710409       40     2400 SH       OTHER            001     2400        0       0
D  ANNALY CAP MGMT INC         COMMON           035710409      141     8400 SH       SOLE             001     8400        0       0
D  ANWORTH MORTGAGE ASSET CP   COMMON           037347101       35     5000 SH       OTHER            001     5000        0       0
D  ANWORTH MORTGAGE ASSET CP   COMMON           037347101       42     6000 SH       SOLE             001     6000        0       0
D  APACHE CORP                 COMMON           037411105      215     2450 SH       DEFINED          002        0     2450       0
D  APACHE CORP                 COMMON           037411105      182     2068 SH       OTHER            001     1568        0     500
D  APACHE CORP                 COMMON           037411105     1970    22420 SH       SOLE             001    21234      681     505
D  APACHE CORP                 COMMON           037411105      620     7050 SH       SOLE             002        0        0    7050
D  APPLE INC                   COMMON           037833100     5761     9864 SH       DEFINED          002        0     9864       0
D  APPLE INC                   COMMON           037833100     2690     4606 SH       OTHER            001     4112      325     169
D  APPLE INC                   COMMON           037833100    30005    51379 SH       SOLE             001    48952     1088    1339
D  APPLE INC                   COMMON           037833100      873     1495 SH       SOLE             002        0      100    1395
D  APPLIED MATLS INC           COMMON           038222105       51     4495 SH       SOLE             001     1800     2000     695
D  APPLIED MATLS INC           COMMON           038222105       68     5905 SH       OTHER            001     3805        0    2100
D  ARROW FINL CORP             COMMON           042744102      337    13960 SH       OTHER            001    13960        0       0
D  ARROW FINL CORP             COMMON           042744102      370    15294 SH       SOLE             001    15294        0       0
D  ASTRAZENECA PLC             SPONSORED ADR    046353108       24      535 SH       OTHER            001      150        0     385
D  ASTRAZENECA PLC             SPONSORED ADR    046353108      223     4994 SH       SOLE             001     1290        0    3704
D  AT&T INC                    COMMON           00206R102     2957    82918 SH       DEFINED          002        0    82918       0
D  AT&T INC                    COMMON           00206R102     2723    76365 SH       OTHER            001    69448     2722    4195
D  AT&T INC                    COMMON           00206R102      318     8913 SH       SOLE             002        0        0    8913
D  AT&T INC                    COMMON           00206R102    20171   565638 SH       SOLE             001   525480    19905   20253
D  AU OPTRONICS CORP           COMMON           002255107       68    16860 SH       SOLE             001    15605        0    1255
D  AUTOMATIC DATA PROCESSING I COMMON           053015103     1126    20235 SH       DEFINED          002        0    20235       0
D  AUTOMATIC DATA PROCESSING I COMMON           053015103     3711    66678 SH       SOLE             001    64201     1212    1265
D  AUTOMATIC DATA PROCESSING I COMMON           053015103      966    17356 SH       OTHER            001    12201      965    4190
D  AVALONBAY CMNTYS INC        COMMON           053484101      260     1840 SH       SOLE             001     1840        0       0
D  AVALONBAY CMNTYS INC        COMMON           053484101      436     3082 SH       OTHER            001     3066        0      16
D  AVNET INC                   COMMON           053807103      494    16000 SH       DEFINED          002        0    16000       0
D  BAKER HUGHES INC            COMMON           057224107       59     1430 SH       OTHER            001     1430        0       0
D  BAKER HUGHES INC            COMMON           057224107      154     3747 SH       SOLE             001     3557      190       0
D  BANK OF AMERICA CORP        COMMON           060505104      249    30400 SH       DEFINED          002        0    30400       0
D  BANK OF AMERICA CORP        COMMON           060505724     1204    47500 SH       DEFINED          002        0    47500       0
D  BANK OF AMERICA CORP        COMMON           060505104      117    14320 SH       OTHER            001    14183        0     137
D  BANK OF AMERICA CORP        COMMON           060505104      857   104734 SH       SOLE             001   104056      678       0
D  BANK OF NEW YORK MELLON COR COMMON           064058100      558    25406 SH       DEFINED          002        0    25406       0





                                                                                        
D  BANK OF NEW YORK MELLON COR COMMON           064058100      266    12116 SH       OTHER            001    11916        0     200
D  BANK OF NEW YORK MELLON COR COMMON           064058100     2547   116056 SH       SOLE             001   114603      830     623
D  BARRICK GOLD CORP           COMMON           067901108       10      259 SH       OTHER            001      259        0       0
D  BARRICK GOLD CORP           COMMON           067901108      223     5923 SH       SOLE             001     5923        0       0
D  BAXTER INTL INC             COMMON           071813109     1018    19150 SH       DEFINED          002        0    19150       0
D  BB & T CORP                 COMMON           054937107       25      799 SH       OTHER            001      400        0     399
D  BB & T CORP                 COMMON           054937107      502    16271 SH       SOLE             001    14200        0    2071
D  BEAM INC                    COMMON           073730103       23      370 SH       OTHER            001      370        0       0
D  BEAM INC                    COMMON           073730103      366     5862 SH       SOLE             001     4589        0    1273
D  BECTON DICKINSON & CO       COMMON           075887109      770    10295 SH       DEFINED          002        0    10295       0
D  BECTON DICKINSON & CO       COMMON           075887109      286     3829 SH       SOLE             001     2794       75     960
D  BECTON DICKINSON & CO       COMMON           075887109      166     2215 SH       OTHER            001      965       35    1215
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108     5123       41 SH       SOLE             001       41        0       0
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108      375        3 SH       OTHER            001        1        0       2
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108      500        4 SH       SOLE             002        0        0       4
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702      662     7944 SH       DEFINED          002        0     7944       0
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702     1609    19303 SH       SOLE             001    19033        0     270
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702      212     2550 SH       SOLE             002        0        0    2550
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702      615     7385 SH       OTHER            001     1660        0    5725
D  BEST BUY INC                COMMON           086516101       11      527 SH       OTHER            001      527        0       0
D  BEST BUY INC                COMMON           086516101      203     9683 SH       SOLE             001     9580        0     103
D  BHP BILLITON LTD            SPONSORED ADR    088606108      283     4327 SH       DEFINED          002        0     4327       0
D  BHP BILLITON LTD            SPONSORED ADR    088606108      158     2415 SH       OTHER            001     2185      100     130
D  BHP BILLITON LTD            SPONSORED ADR    088606108     1927    29507 SH       SOLE             001    26699      155    2653
D  BIGLARI HLDGS INC           COMMON           08986R101     1446     3743 SH       SOLE             001     3743        0       0
D  BOEING CO                   COMMON           097023105      675     9086 SH       DEFINED          002        0     9086       0
D  BOEING CO                   COMMON           097023105    12051   162200 SH       SOLE             001   156053     1508    4639
D  BOEING CO                   COMMON           097023105     1162    15635 SH       OTHER            001     7337        0    8298
D  BOEING CO                   COMMON           097023105      765    10300 SH       SOLE             002        0        0   10300
D  BOMBARDIER INC              COMMON           097751200       54    13675 SH       SOLE             001    12280        0    1395
D  BOSWELL J G CO              COMMON           101205102      221      300 SH       SOLE             001      300        0       0
D  BP PLC                      SPONSORED ADR    055622104      327     8074 SH       OTHER            001     8023        0      51
D  BP PLC                      SPONSORED ADR    055622104      909    22424 SH       SOLE             001    20857      857     710
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108     1158    32217 SH       DEFINED          002        0    32217       0
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108     1053    29288 SH       OTHER            001    25878        0    3410
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108     2653    73798 SH       SOLE             001    66981      665    6152
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108      541    15050 SH       SOLE             002        0        0   15050
D  CANADIAN NATL RY CO         COMMON           136375102       23      277 SH       OTHER            001       50        0     227
D  CANADIAN NATL RY CO         COMMON           136375102      256     3036 SH       SOLE             001      863        0    2173
D  CAPITAL ONE FINL CORP       COMMON           14040H105      387     7081 SH       OTHER            001     6421        0     660
D  CAPITAL ONE FINL CORP       COMMON           14040H105    11601   212234 SH       SOLE             001   203420     2167    6647
D  CATERPILLAR INC             COMMON           149123101     1030    12129 SH       DEFINED          002        0    12129       0





                                                                                        
D  CATERPILLAR INC             COMMON           149123101     2443    28772 SH       SOLE             001    28592       20     160
D  CATERPILLAR INC             COMMON           149123101     1138    13406 SH       OTHER            001    12841       20     545
D  CATERPILLAR INC             COMMON           149123101      412     4850 SH       SOLE             002        0        0    4850
D  CENOVUS ENERGY INC          COMMON           15135U109       13      406 SH       OTHER            001      406        0       0
D  CENOVUS ENERGY INC          COMMON           15135U109      256     8043 SH       SOLE             001     8043        0       0
D  CENTURYLINK INC             COMMON           156700106      243     6142 SH       OTHER            001     6142        0       0
D  CENTURYLINK INC             COMMON           156700106       72     1834 SH       SOLE             001     1705        0     129
D  CHEVRON CORP                COMMON           166764100     4507    42721 SH       DEFINED          002        0    42721       0
D  CHEVRON CORP                COMMON           166764100     3935    37303 SH       OTHER            001    36473      475     355
D  CHEVRON CORP                COMMON           166764100    26928   255244 SH       SOLE             001   243661     5241    6342
D  CHEVRON CORP                COMMON           166764100     1658    15719 SH       SOLE             002        0        0   15719
D  CHICAGO BRIDGE & IRON CO    COMMON           167250109      257     6760 SH       DEFINED          002        0     6760       0
D  CHIMERA INVT CORP           COMMON           16934Q109       17     7000 SH       SOLE             001     7000        0       0
D  CHIMERA INVT CORP           COMMON           16934Q109       26    11000 SH       OTHER            001    11000        0       0
D  CHUBB CORP                  COMMON           171232101      562     7720 SH       OTHER            001     7525      160      35
D  CHUBB CORP                  COMMON           171232101    12970   178110 SH       SOLE             001   171410     2261    4439
D  CIGNA CORP                  COMMON           125509109      327     7437 SH       DEFINED          002        0     7437       0
D  CISCO SYS INC               COMMON           17275R102     1155    67253 SH       DEFINED          002        0    67253       0
D  CISCO SYS INC               COMMON           17275R102      651    37905 SH       OTHER            001    32375      610    4920
D  CISCO SYS INC               COMMON           17275R102     6143   357779 SH       SOLE             001   347432     3840    6507
D  CITIGROUP INC               COMMON           172967424      126     4599 SH       OTHER            001     4539        0      60
D  CITIGROUP INC               COMMON           172967424      142     5191 SH       SOLE             001     4851      340       0
D  CITRIX SYS INC              COMMON           177376100       59      700 SH       OTHER            001      700        0       0
D  CITRIX SYS INC              COMMON           177376100      306     3640 SH       SOLE             001     3640        0       0
D  CLECO CORP                  COMMON           12561W105      369     8819 SH       OTHER            001     8500        0     319
D  CLECO CORP                  COMMON           12561W105      167     3997 SH       SOLE             001     1921        0    2076
D  CLOROX CO                   COMMON           189054109      134     1850 SH       OTHER            001     1850        0       0
D  CLOROX CO                   COMMON           189054109      136     1875 SH       SOLE             001     1875        0       0
D  COACH INC                   COMMON           189754104       64     1102 SH       OTHER            001      926        0     176
D  COACH INC                   COMMON           189754104     1392    23804 SH       SOLE             001    22653        0    1151
D  COCA COLA CO                COMMON           191216100     1816    23220 SH       DEFINED          002        0    23220       0
D  COCA COLA CO                COMMON           191216100     8474   108373 SH       SOLE             001   105819      900    1654
D  COCA COLA CO                COMMON           191216100     1459    18660 SH       OTHER            001    15572      270    2818
D  COCA COLA CO                COMMON           191216100      524     6700 SH       SOLE             002        0        0    6700
D  COGNIZANT TECHNOLOGY SOLUTI COMMON           192446102       90     1500 SH       OTHER            001     1500        0       0
D  COGNIZANT TECHNOLOGY SOLUTI COMMON           192446102      138     2300 SH       SOLE             001     2135        0     165
D  COLGATE PALMOLIVE CO        COMMON           194162103      845     8115 SH       DEFINED          002        0     8115       0
D  COLGATE PALMOLIVE CO        COMMON           194162103      523     5025 SH       OTHER            001     3535     1380     110
D  COLGATE PALMOLIVE CO        COMMON           194162103     3940    37850 SH       SOLE             001    36649      408     793
D  COLGATE PALMOLIVE CO        COMMON           194162103     1640    15750 SH       SOLE             002        0        0   15750
D  COMCAST CORP                COMMON           20030N101      776    24287 SH       DEFINED          002        0    24287       0
D  CON EDISON INC              COMMON           209115104      739    11882 SH       OTHER            001    11882        0       0





                                                                                        
D  CON EDISON INC              COMMON           209115104     3018    48530 SH       SOLE             001    48078      452       0
D  CONOCOPHILLIPS              COMMON           20825C104     1410    25231 SH       DEFINED          002        0    25231       0
D  CONOCOPHILLIPS              COMMON           20825C104     1013    18127 SH       OTHER            001    17737        0     390
D  CONOCOPHILLIPS              COMMON           20825C104    16250   290809 SH       SOLE             001   280031     2775    8003
D  CONOCOPHILLIPS              COMMON           20825C104      833    14900 SH       SOLE             002        0      900   14000
D  CONSUMER DISC. SEL SECTOR S OTHER            81369Y407      334     7637 SH       DEFINED          002     N.A.     N.A.    N.A.
D  CONSUMER STAPLES SPDR FUND  OTHER            81369Y308      331     9506 SH       DEFINED          002     N.A.     N.A.    N.A.
D  CONSUMER STAPLES SPDR FUND  OTHER            81369Y308      172     4958 SH       OTHER            001     N.A.     N.A.    N.A.
D  CONSUMER STAPLES SPDR FUND  OTHER            81369Y308     6537   188019 SH       SOLE             001     N.A.     N.A.    N.A.
D  COOPER INDUSTRIES PLC       SPONSORED ADR    G24140108        9      125 SH       OTHER            001        0        0     125
D  COOPER INDUSTRIES PLC       SPONSORED ADR    G24140108      435     6377 SH       SOLE             001     4597        0    1780
D  CORNING INC                 COMMON           219350105      342    26475 SH       DEFINED          002        0    26475       0
D  CORNING INC                 COMMON           219350105      247    19095 SH       OTHER            001    19095        0       0
D  CORNING INC                 COMMON           219350105     1194    92335 SH       SOLE             001    91063      445     827
D  CORPORATE PROPERTY ASSOCIAT COMMON           22002Y107      194    18500 SH       SOLE             001    18500        0       0
D  COSTCO WHSL CORP            COMMON           22160K105      251     2640 SH       DEFINED          002        0     2640       0
D  COSTCO WHSL CORP            COMMON           22160K105      551     5796 SH       OTHER            001     5796        0       0
D  COSTCO WHSL CORP            COMMON           22160K105    10193   107299 SH       SOLE             001   103524     1317    2458
D  COVIDIEN PLC                SPONSORED ADR    G2554F113       12      219 SH       OTHER            001      219        0       0
D  COVIDIEN PLC                SPONSORED ADR    G2554F113      416     7773 SH       SOLE             001     7773        0       0
D  CRYSTAL ROCK HOLDINGS INC   COMMON           22940F103       21    20000 SH       DEFINED          002        0    20000       0
D  CSX CORP                    COMMON           126408103     1025    45858 SH       DEFINED          002        0    45858       0
D  CSX CORP                    COMMON           126408103     9650   431572 SH       SOLE             001   416883     5218    9471
D  CSX CORP                    COMMON           126408103     1797    80365 SH       OTHER            001    68389      450   11526
D  CUMMINS INC                 COMMON           231021106       58      600 SH       OTHER            001      600        0       0
D  CUMMINS INC                 COMMON           231021106      200     2068 SH       SOLE             001     1738        0     330
D  CVS CAREMARK CORP           COMMON           126650100      607    12998 SH       DEFINED          002        0    12998       0
D  CVS CAREMARK CORP           COMMON           126650100      624    13343 SH       OTHER            001    13343        0       0
D  CVS CAREMARK CORP           COMMON           126650100    14482   309905 SH       SOLE             001   302887     2413    4605
D  CVS CAREMARK CORP           COMMON           126650100      456     9750 SH       SOLE             002        0        0    9750
D  DANAHER CORP                COMMON           235851102     1470    28232 SH       SOLE             001    25112     3034      86
D  DANAHER CORP                COMMON           235851102      354     6800 SH       OTHER            001     5400      600     800
D  DARDEN RESTAURANTS INC      COMMON           237194105       78     1550 SH       SOLE             001     1550        0       0
D  DARDEN RESTAURANTS INC      COMMON           237194105      165     3250 SH       OTHER            001     3250        0       0
D  DEERE & CO                  COMMON           244199105      996    12315 SH       DEFINED          002        0    12315       0
D  DEERE & CO                  COMMON           244199105      612     7564 SH       OTHER            001     7449        0     115
D  DEERE & CO                  COMMON           244199105      255     3155 SH       SOLE             002        0        0    3155
D  DEERE & CO                  COMMON           244199105    14144   174894 SH       SOLE             001   169839     1574    3481
D  DELL INC                    COMMON           24702R101      248    19842 SH       OTHER            001    18777        0    1065
D  DELL INC                    COMMON           24702R101     9671   773076 SH       SOLE             001   745261    10340   17475
D  DEVON ENERGY CORP           COMMON           25179M103       33      576 SH       OTHER            001      576        0       0
D  DEVON ENERGY CORP           COMMON           25179M103     1193    20569 SH       SOLE             001    20470        0      99





                                                                                        
D  DIAGEO PLC                  SPONSORED ADR    25243Q205      129     1250 SH       OTHER            001      925        0     325
D  DIAGEO PLC                  SPONSORED ADR    25243Q205      468     4541 SH       SOLE             001     1721        0    2820
D  DISCOVER FINL SVCS          COMMON           254709108      257     7425 SH       OTHER            001     6607        0     818
D  DISCOVER FINL SVCS          COMMON           254709108    11268   325844 SH       SOLE             001   308629     3621   13594
D  DISNEY (WALT) CO            COMMON           254687106     1214    25028 SH       DEFINED          002        0    25028       0
D  DISNEY (WALT) CO            COMMON           254687106      193     3981 SH       OTHER            001     3686      140     155
D  DISNEY (WALT) CO            COMMON           254687106     2180    44951 SH       SOLE             001    43860      300     791
D  DOCUMENT SECURITYSYSTEMS    COMMON           25614T101      145    36000 SH       SOLE             001    36000        0       0
D  DOMINION RES INC VA         COMMON           25746U109      447     8280 SH       OTHER            001     8025        0     255
D  DOMINION RES INC VA         COMMON           25746U109     3307    61247 SH       SOLE             001    57722      270    3255
D  DOVER CORP                  COMMON           260003108     7260   135426 SH       SOLE             001   130680     1518    3228
D  DOVER CORP                  COMMON           260003108      556    10378 SH       OTHER            001     8588     1790       0
D  DOW CHEM CO                 COMMON           260543103      525    16670 SH       OTHER            001    16670        0       0
D  DOW CHEM CO                 COMMON           260543103      609    19331 SH       SOLE             001    17882     1449       0
D  DU PONT E I DE NEMOURS & CO COMMON           263534109     1129    22322 SH       DEFINED          002        0    22322       0
D  DU PONT E I DE NEMOURS & CO COMMON           263534109     1736    34338 SH       OTHER            001    33114      480     744
D  DU PONT E I DE NEMOURS & CO COMMON           263534109    12009   237470 SH       SOLE             001   226405     3040    8025
D  DUKE ENERGY CORP            COMMON           26441C105      138     5978 SH       OTHER            001     5878        0     100
D  DUKE ENERGY CORP            COMMON           26441C105      162     7020 SH       SOLE             001     6801        0     219
D  E M C CORP MASS             COMMON           268648102      857    33426 SH       DEFINED          002        0    33426       0
D  E M C CORP MASS             COMMON           268648102      863    33685 SH       OTHER            001    32675      100     910
D  E M C CORP MASS             COMMON           268648102    15608   608985 SH       SOLE             001   580930    14284   13771
D  EASTMAN CHEMICAL CO         COMMON           277432100      259     5140 SH       DEFINED          002        0     5140       0
D  EATON CORP                  COMMON           278058102       24      600 SH       OTHER            001      600        0       0
D  EATON CORP                  COMMON           278058102      670    16915 SH       SOLE             001    16915        0       0
D  EBAY INC                    COMMON           278642103       66     1575 SH       OTHER            001     1575        0       0
D  EBAY INC                    COMMON           278642103      325     7729 SH       SOLE             001     4978        0    2751
D  ECOLAB INC                  COMMON           278865100      351     5123 SH       SOLE             001     4993        0     130
D  ECOLAB INC                  COMMON           278865100      108     1580 SH       OTHER            001      900       80     600
D  EDWARDS LIFESCIENCES CORP   COMMON           28176E108      364     3520 SH       DEFINED          002        0     3520       0
D  ELAN CORP PLC               SPONSORED ADR    284131208     1210    82908 SH       DEFINED          002        0    82908       0
D  EMERSON ELEC CO             COMMON           291011104      927    19905 SH       DEFINED          002        0    19905       0
D  EMERSON ELEC CO             COMMON           291011104     3811    81807 SH       SOLE             001    79165      805    1837
D  EMERSON ELEC CO             COMMON           291011104      413     8874 SH       OTHER            001     8724      150       0
D  ENBRIDGE ENERGY PARTNERS    COMMON           29250R106      260     8465 SH       DEFINED          002        0     8465       0
D  ENCANA CORP                 COMMON           292505104       26     1271 SH       OTHER            001     1271        0       0
D  ENCANA CORP                 COMMON           292505104      284    13618 SH       SOLE             001    13618        0       0
D  ENERGY SELECT SECTOR SPDR   OTHER            81369Y506       46      700 SH       OTHER            001     N.A.     N.A.    N.A.
D  ENERGY SELECT SECTOR SPDR   OTHER            81369Y506     1009    15196 SH       SOLE             001     N.A.     N.A.    N.A.
D  ENTERPRISE PRODS PARTNERS L COMMON           293792107      258     5037 SH       OTHER            001     5037        0       0
D  ENTERPRISE PRODS PARTNERS L COMMON           293792107      415     8095 SH       SOLE             001     8095        0       0
D  EXELON CORP                 COMMON           30161N101     3284    87286 SH       SOLE             001    85035     1658     593





                                                                                        
D  EXELON CORP                 COMMON           30161N101      328     8728 SH       OTHER            001     7431      620     677
D  EXPRESS SCRIPTS HLDG CO     COMMON           30219G108      662    11864 SH       OTHER            001     8968        0    2896
D  EXPRESS SCRIPTS HLDG CO     COMMON           30219G108    11967   214345 SH       SOLE             001   207167     2850    4328
D  EXXON MOBIL CORP            COMMON           30231G102     6733    78681 SH       DEFINED          002        0    78681       0
D  EXXON MOBIL CORP            COMMON           30231G102    41374   483506 SH       SOLE             001   454100    10299   19107
D  EXXON MOBIL CORP            COMMON           30231G102     9067   105959 SH       OTHER            001    93398     5259    7302
D  EXXON MOBIL CORP            COMMON           30231G102     2025    23663 SH       SOLE             002        0        0   23663
D  FEDERAL HOME LN MTG CORP    COMMON           313400624       23    10400 SH       DEFINED          002        0    10400       0
D  FEDEX CORP                  COMMON           31428X106      669     7300 SH       DEFINED          002        0     7300       0
D  FEDEX CORP                  COMMON           31428X106       15      160 SH       OTHER            001      160        0       0
D  FEDEX CORP                  COMMON           31428X106      245     2679 SH       SOLE             001     2679        0       0
D  FEDEX CORP                  COMMON           31428X106      213     2329 SH       SOLE             002        0        0    2329
D  FINANCIAL SELECT SECTOR SPD OTHER            81369Y605      813    55580 SH       DEFINED          002     N.A.     N.A.    N.A.
D  FIRST NIAGARA FINL GP INC U COMMON           33582V108      425    55550 SH       DEFINED          002        0    55550       0
D  FIRST TRUST HEALTH CARE ALP COMMON           33734X143      299     9675 SH       DEFINED          002        0     9675       0
D  FIRSTENERGY CORP            COMMON           337932107      123     2500 SH       OTHER            001     2500        0       0
D  FIRSTENERGY CORP            COMMON           337932107      553    11234 SH       SOLE             001    11234        0       0
D  FISERV INC                  COMMON           337738108       30      419 SH       OTHER            001      419        0       0
D  FISERV INC                  COMMON           337738108      398     5511 SH       SOLE             001     5086        0     425
D  FORD MTR CO DEL             COMMON           345370860      430    44804 SH       DEFINED          002        0    44804       0
D  FORD MTR CO DEL             COMMON           345370860       97    10110 SH       SOLE             002        0     4000    6110
D  FREEPORT-MCMORAN COPPER & G COMMON           35671D857      694    20378 SH       DEFINED          002        0    20378       0
D  FRONTIER COMMUNICATIONS COR COMMON           35906A108       18     4726 SH       OTHER            001     4726        0       0
D  FRONTIER COMMUNICATIONS COR COMMON           35906A108       50    12976 SH       SOLE             001    12211        0     765
D  GANNETT INC                 COMMON           364730101      205    13900 SH       SOLE             001    13900        0       0
D  GENERAL DYNAMICS CORP       COMMON           369550108      292     4430 SH       DEFINED          002        0     4430       0
D  GENERAL DYNAMICS CORP       COMMON           369550108      635     9623 SH       SOLE             001     9623        0       0
D  GENERAL DYNAMICS CORP       COMMON           369550108      134     2025 SH       OTHER            001     1925      100       0
D  GENERAL ELEC CAP CORP       COMMON           369622519       74     2850 SH       OTHER            001     2850        0       0
D  GENERAL ELEC CAP CORP       COMMON           369622519      163     6250 SH       SOLE             001     6250        0       0
D  GENERAL ELECTRIC CO         COMMON           369604103     3029   145353 SH       DEFINED          002        0   145353       0
D  GENERAL ELECTRIC CO         COMMON           369604103     2996   143739 SH       OTHER            001   127055     3200   13484
D  GENERAL ELECTRIC CO         COMMON           369604103    14360   689042 SH       SOLE             001   640905    33891   14246
D  GENERAL ELECTRIC CO         COMMON           369604103      622    29857 SH       SOLE             002        0     2300   27557
D  GENERAL MILLS INC           COMMON           370334104      536    13920 SH       DEFINED          002        0    13920       0
D  GENERAL MILLS INC           COMMON           370334104     1167    30274 SH       OTHER            001    28594      340    1340
D  GENERAL MILLS INC           COMMON           370334104     9771   253535 SH       SOLE             001   242830     4228    6477
D  GENERAL MTRS CO             COMMON           37045V100      241    12228 SH       DEFINED          002        0    12228       0
D  GENUINE PARTS CO            COMMON           372460105      885    14690 SH       OTHER            001    13858      325     507
D  GENUINE PARTS CO            COMMON           372460105    17218   285783 SH       SOLE             001   273635     5562    6586
D  GILEAD SCIENCES INC         COMMON           375558103      427     8335 SH       DEFINED          002        0     8335       0
D  GILEAD SCIENCES INC         COMMON           375558103    13112   255692 SH       SOLE             001   247463     2797    5432





                                                                                        
D  GILEAD SCIENCES INC         COMMON           375558103      475     9271 SH       OTHER            001     9111      160       0
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105      599    13155 SH       DEFINED          002        0    13155       0
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105      189     4150 SH       OTHER            001     4150        0       0
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105      106     2334 SH       SOLE             001     2015        0     319
D  GOLDMAN SACHS GP PFD        PREFERRED STOCK  38145X111      338    12850 SH       DEFINED          002        0    12850       0
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104      420     4385 SH       DEFINED          002        0     4385       0
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104      250     2610 SH       SOLE             001     2580        0      30
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104       54      560 SH       OTHER            001      540       20       0
D  GOOGLE INC                  COMMON           38259P508      479      825 SH       DEFINED          002        0      825       0
D  GOOGLE INC                  COMMON           38259P508      779     1343 SH       OTHER            001     1228        0     115
D  GOOGLE INC                  COMMON           38259P508    10594    18264 SH       SOLE             001    17441      249     574
D  HALLIBURTON CO              COMMON           406216101      933    32850 SH       DEFINED          002        0    32850       0
D  HALLIBURTON CO              COMMON           406216101      125     4418 SH       OTHER            001     4418        0       0
D  HALLIBURTON CO              COMMON           406216101      103     3633 SH       SOLE             001     3508        0     125
D  HARRIS CORP DEL             COMMON           413875105       60     1424 SH       OTHER            001     1424        0       0
D  HARRIS CORP DEL             COMMON           413875105      870    20794 SH       SOLE             001    20584      185      25
D  HCP INC                     COMMON           40414L109      368     8334 SH       DEFINED          002        0     8334       0
D  HCP INC                     COMMON           40414L109       22      495 SH       OTHER            001        0        0     495
D  HCP INC                     COMMON           40414L109      280     6342 SH       SOLE             001     2240        0    4102
D  HEALTH CARE REIT INC        COMMON           42217K106       20      350 SH       OTHER            001        0        0     350
D  HEALTH CARE REIT INC        COMMON           42217K106      243     4169 SH       SOLE             001      925        0    3244
D  HEINZ (H.J.) CO             COMMON           423074103      671    12335 SH       DEFINED          002        0    12335       0
D  HEINZ (H.J.) CO             COMMON           423074103      296     5439 SH       OTHER            001     4523        0     916
D  HEINZ (H.J.) CO             COMMON           423074103      604    11098 SH       SOLE             001     7195      380    3523
D  HEWLETT PACKARD CO          COMMON           428236103      400    19888 SH       DEFINED          002        0    19888       0
D  HEWLETT PACKARD CO          COMMON           428236103     1120    55710 SH       SOLE             001    54675      750     285
D  HEWLETT PACKARD CO          COMMON           428236103      420    20900 SH       OTHER            001    16360      200    4340
D  HOME DEPOT INC              COMMON           437076102     1434    27066 SH       DEFINED          002        0    27066       0
D  HOME DEPOT INC              COMMON           437076102     1659    31309 SH       OTHER            001    30389      370     550
D  HOME DEPOT INC              COMMON           437076102    22916   432459 SH       SOLE             001   419044     4722    8693
D  HONEYWELL INTL INC          COMMON           438516106     1105    19792 SH       DEFINED          002        0    19792       0
D  HONEYWELL INTL INC          COMMON           438516106      339     6065 SH       OTHER            001     6065        0       0
D  HONEYWELL INTL INC          COMMON           438516106     1419    25411 SH       SOLE             001    25326        0      85
D  HSBC HLDGS PLC              SPONSORED ADR    404280406       17      391 SH       OTHER            001        0        0     391
D  HSBC HLDGS PLC              SPONSORED ADR    404280406      212     4796 SH       SOLE             001     1391        0    3405
D  HUBBELL INC CLASS B         COMMON           443510201      368     4724 SH       DEFINED          002        0     4724       0
D  HUBBELL INC CLASS B         COMMON           443510201       31      400 SH       SOLE             001      400        0       0
D  HUBBELL INC CLASS B         COMMON           443510201      273     3500 SH       OTHER            001     3500        0       0
D  HUNT J B TRANS SVCS INC     COMMON           445658107       15      250 SH       OTHER            001      250        0       0
D  HUNT J B TRANS SVCS INC     COMMON           445658107      326     5475 SH       SOLE             001     5475        0       0
D  HYFLUX LTD                  SPONSORED ADR    Y3817K105       29    28000 SH       OTHER            001    28000        0       0
D  IDEXX LABS INC              COMMON           45168D104      196     2044 SH       SOLE             001     1992        0      52





                                                                                        
D  IDEXX LABS INC              COMMON           45168D104      112     1162 SH       OTHER            001      822      340       0
D  ILLINOIS TOOL WKS INC       COMMON           452308109      141     2675 SH       OTHER            001     2525      110      40
D  ILLINOIS TOOL WKS INC       COMMON           452308109      840    15891 SH       SOLE             001    14806      100     985
D  ILLINOIS TOOL WKS INC       COMMON           452308109      275     5200 SH       SOLE             002        0        0    5200
D  INTEL CORP                  COMMON           458140100     1638    61454 SH       DEFINED          002        0    61454       0
D  INTEL CORP                  COMMON           458140100     1708    64100 SH       OTHER            001    53835     2025    8240
D  INTEL CORP                  COMMON           458140100      276    10375 SH       SOLE             002        0        0   10375
D  INTEL CORP                  COMMON           458140100    23557   883956 SH       SOLE             001   851769    12297   19890
D  INTL BUSINESS MACHS         COMMON           459200101     3065    15671 SH       DEFINED          002        0    15671       0
D  INTL BUSINESS MACHS         COMMON           459200101     4285    21909 SH       OTHER            001    19655     1750     504
D  INTL BUSINESS MACHS         COMMON           459200101    17848    91258 SH       SOLE             001    87907      800    2551
D  INTL BUSINESS MACHS         COMMON           459200101     2987    15271 SH       SOLE             002        0        0   15271
D  ISHARES BARCLAYS 1-3 YR CRE OTHER            464288646     2766    26414 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES BARCLAYS 1-3 YR CRE OTHER            464288646     1667    15916 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES BARCLAYS 3-7 YR     OTHER            464288661      478     3886 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES COMEX GOLD TR       OTHER            464285105     2813   180792 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES DJ SELECT DIVIDEND  OTHER            464287168      209     3725 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES DJ US BASIC MATERIA OTHER            464287838      350     5410 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES DJ US BASIC MATERIA OTHER            464287838      754    11650 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES DJ US HEALTHCARE SE OTHER            464287762       40      500 SH       OTHER            001     N.A.     N.A.    N.A.
D  ISHARES DJ US HEALTHCARE SE OTHER            464287762      241     3027 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES INCMSCI PACIFIC EX  OTHER            464286665      255     6264 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES INTERMEDIATE GOV/CR OTHER            464288612      568     5070 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN 1-3 YR TRS B OTHER            464287457      431     5112 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN 1-3 YR TRS B OTHER            464287457      219     2590 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN TRES INF PR  OTHER            464287176     9557    79844 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN TRES INF PR  OTHER            464287176      967     8075 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES NASDAQ BIOTECH INDE OTHER            464287556      640     4925 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL 1000 GROWTH OTHER            464287614      421     6660 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL 1000 INDEX  OTHER            464287622     1311    17432 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL 2000 INDEX  OTHER            464287655      995    12503 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL MIDCAP INDE OTHER            464287499     1876    17806 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL MIDCAP INDE OTHER            464287499      240     2281 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL ENERGY OTHER            464287341      229     6327 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL HEALTH OTHER            464287325      498     8284 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S&P 500 BARRA VALUE OTHER            464287408     1223    19635 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S&P 500 GROWTH INDE OTHER            464287309     1441    19603 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S&P 500 INDEX       OTHER            464287200     1331     9731 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR                  OTHER            464287689      633     7870 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES TR                  OTHER            464287689      432     5374 SH       OTHER            001     N.A.     N.A.    N.A.
D  ISHARES TR MSCI EAFE INDEX  OTHER            464287465      600    12013 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR MSCI EMERGING MK OTHER            464287234      314     8031 SH       DEFINED          002     N.A.     N.A.    N.A.





                                                                                        
D  ISHARES TR MSCI EMERGING MK OTHER            464287234      234     5971 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES TR S&P MIDCAP 400 G OTHER            464287606      292     2755 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR S&P MIDCAP 400 I OTHER            464287507      273     2894 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES VANGUARD SMALLCAP   COMMON           922908751      421     5530 SH       DEFINED          002        0     5530       0
D  JACOBS ENGR GROUP INC       COMMON           469814107      272     7195 SH       SOLE             001     6720      275     200
D  JACOBS ENGR GROUP INC       COMMON           469814107       48     1280 SH       OTHER            001      530        0     750
D  JOHNSON & JOHNSON           COMMON           478160104     4194    62073 SH       DEFINED          002        0    62073       0
D  JOHNSON & JOHNSON           COMMON           478160104     3393    50229 SH       OTHER            001    45448     1095    3686
D  JOHNSON & JOHNSON           COMMON           478160104    16196   239734 SH       SOLE             001   229268     4300    6166
D  JOHNSON & JOHNSON           COMMON           478160104     2164    32030 SH       SOLE             002        0        0   32030
D  JOHNSON CONTROLS INC        COMMON           478366107      203     7340 SH       SOLE             001     6170      955     215
D  JOHNSON CONTROLS INC        COMMON           478366107      141     5095 SH       OTHER            001     4395      300     400
D  JP MORGAN CHASE & CO        COMMON           46625H100     2463    68929 SH       DEFINED          002        0    68929       0
D  JP MORGAN CHASE & CO        COMMON           46625H100     2090    58487 SH       OTHER            001    56408     1188     891
D  JP MORGAN CHASE & CO        COMMON           46625H100      404    11319 SH       SOLE             002        0     1200   10119
D  JP MORGAN CHASE & CO        COMMON           46625H100    15562   435547 SH       SOLE             001   419288     5742   10517
D  JPMORGAN TR II              COMMON           4812C0357      515    42929 SH       DEFINED          002        0    42929       0
D  KELLOGG CO                  COMMON           487836108      105     2119 SH       OTHER            001     2119        0       0
D  KELLOGG CO                  COMMON           487836108      169     3427 SH       SOLE             001     3127        0     300
D  KEYCORP                     COMMON           493267108        3      338 SH       OTHER            001        0        0     338
D  KEYCORP                     COMMON           493267108      111    14381 SH       SOLE             001      966        0   13415
D  KIMBERLY CLARK CORP         COMMON           494368103      660     7875 SH       DEFINED          002        0     7875       0
D  KIMBERLY CLARK CORP         COMMON           494368103      642     7666 SH       OTHER            001     7271        0     395
D  KIMBERLY CLARK CORP         COMMON           494368103     5007    59766 SH       SOLE             001    56581      295    2890
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106      436     5546 SH       DEFINED          002        0     5546       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106      264     3365 SH       OTHER            001     3365        0       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106      398     5060 SH       SOLE             001     5060        0       0
D  KINDER MORGAN MGMT LLC      COMMON           49455U100      235     3198 SH       OTHER            001     3198        0       0
D  KINDER MORGAN MGMT LLC      COMMON           49455U100       90     1229 SH       SOLE             001        0        0    1229
D  KOHLS CORP                  COMMON           500255104      296     6500 SH       DEFINED          002        0     6500       0
D  KRAFT FOODS INC             COMMON           50075N104      494    12783 SH       DEFINED          002        0    12783       0
D  KRAFT FOODS INC             COMMON           50075N104      463    11989 SH       OTHER            001    11134        0     855
D  KRAFT FOODS INC             COMMON           50075N104      890    23039 SH       SOLE             001    13507        0    9532
D  L-3 COMMUNICATIONS HLDGS IN COMMON           502424104      218     2950 SH       DEFINED          002        0     2950       0
D  LABORATORY CORP AMER HLDGS  COMMON           50540R409      199     2145 SH       SOLE             001     2040       65      40
D  LABORATORY CORP AMER HLDGS  COMMON           50540R409       15      162 SH       OTHER            001       82       80       0
D  LIFE TECHNOLOGIES CORP      COMMON           53217V109       37      818 SH       SOLE             001      818        0       0
D  LIFE TECHNOLOGIES CORP      COMMON           53217V109      288     6400 SH       OTHER            001     6400        0       0
D  LILLY ELI & CO              COMMON           532457108      279     6504 SH       DEFINED          002        0     6504       0
D  LILLY ELI & CO              COMMON           532457108      210     4894 SH       OTHER            001     4229       50     615
D  LILLY ELI & CO              COMMON           532457108     1770    41246 SH       SOLE             001    35894      330    5022
D  LINN ENERGY LLC             COMMON           536020100      805    21120 SH       OTHER            001    21120        0       0





                                                                                        
D  LINN ENERGY LLC             COMMON           536020100     1447    37979 SH       SOLE             001    37504      435      40
D  LOWES COMPANIES             COMMON           548661107      810    28468 SH       DEFINED          002        0    28468       0
D  LOWES COMPANIES             COMMON           548661107      191     6700 SH       OTHER            001     6700        0       0
D  LOWES COMPANIES             COMMON           548661107     1058    37216 SH       SOLE             001    36951        0     265
D  MACDERMID HOLDINGS LLC      COMMON           99Z161772      248   247851 SH       SOLE             002        0        0  247851
D  MACDERMID HOLDINGS LLC PFD  PREFERRED STOCK  99Z161780     1684     1684 SH       SOLE             002        0        0    1684
D  MARATHON OIL CORP           COMMON           565849106      627    24508 SH       DEFINED          002        0    24508       0
D  MARATHON PETROLEUM CORP     COMMON           56585A102      488    10854 SH       DEFINED          002        0    10854       0
D  MARKET VECTORS ETF TR       COMMON           57060U100      423     9439 SH       DEFINED          002        0     9439       0
D  MARKET VECTORS ETF TR       COMMON           57060U100       31      700 SH       OTHER            001      700        0       0
D  MARKET VECTORS ETF TR       COMMON           57060U100      348     7767 SH       SOLE             001     7767        0       0
D  MARSH & MCLENNAN COS INC    COMMON           571748102       42     1300 SH       OTHER            001     1300        0       0
D  MARSH & MCLENNAN COS INC    COMMON           571748102      459    14252 SH       SOLE             001    10800        0    3452
D  MASTERCARD INC              COMMON           57636Q104      460     1070 SH       DEFINED          002        0     1070       0
D  MATERIALS SELECT SECTOR SPD OTHER            81369Y100      112     3185 SH       OTHER            001     N.A.     N.A.    N.A.
D  MATERIALS SELECT SECTOR SPD OTHER            81369Y100     1025    29059 SH       SOLE             001     N.A.     N.A.    N.A.
D  MATTEL INC                  COMMON           577081102      309     9519 SH       SOLE             001     9519        0       0
D  MCCORMICK & CO INC COM NON  COMMON           579780206       66     1085 SH       OTHER            001     1085        0       0
D  MCCORMICK & CO INC COM NON  COMMON           579780206      599     9876 SH       SOLE             001     9711        0     165
D  MCDONALDS CORP              COMMON           580135101     2720    30722 SH       DEFINED          002        0    30722       0
D  MCDONALDS CORP              COMMON           580135101     1473    16643 SH       OTHER            001    13833      395    2415
D  MCDONALDS CORP              COMMON           580135101    17877   201933 SH       SOLE             001   193925     3657    4351
D  MCDONALDS CORP              COMMON           580135101      394     4450 SH       SOLE             002        0        0    4450
D  MEDTRONIC INC               COMMON           585055106      400    10325 SH       DEFINED          002        0    10325       0
D  MEDTRONIC INC               COMMON           585055AM8      952   950000 PRN      DEFINED          002        0   950000       0
D  MEDTRONIC INC               COMMON           585055106      199     5130 SH       OTHER            001     4830      150     150
D  MEDTRONIC INC               COMMON           585055106     1166    30094 SH       SOLE             001    29499      250     345
D  MERCK & CO INC              COMMON           58933Y105      697    16706 SH       DEFINED          002        0    16706       0
D  MERCK & CO INC              COMMON           58933Y105      990    23717 SH       OTHER            001    21862      700    1155
D  MERCK & CO INC              COMMON           58933Y105      213     5090 SH       SOLE             002        0        0    5090
D  MERCK & CO INC              COMMON           58933Y105     3024    72430 SH       SOLE             001    66315      818    5297
D  METLIFE INC                 COMMON           59156R108      190     6170 SH       OTHER            001     6170        0       0
D  METLIFE INC                 COMMON           59156R108     1601    51884 SH       SOLE             001    51806        0      78
D  METLIFE INC 5.875           COMMON           59156R405      290    10900 SH       DEFINED          002        0    10900       0
D  MFA FINANCIAL INC           COMMON           55272X102       39     5000 SH       SOLE             001     5000        0       0
D  MFA FINANCIAL INC           COMMON           55272X102       39     5000 SH       SOLE             001     5000        0       0
D  MICROSOFT CORP              COMMON           594918104     1804    58962 SH       DEFINED          002        0    58962       0
D  MICROSOFT CORP              COMMON           594918104     1562    51049 SH       OTHER            001    46704     2345    2000
D  MICROSOFT CORP              COMMON           594918104    23102   755212 SH       SOLE             001   723789    10948   20475
D  MICROSOFT CORP              COMMON           594918104      726    23749 SH       SOLE             002        0        0   23749
D  MIMEDX GROUP INC            COMMON           602496101       42    20000 SH       SOLE             001    20000        0       0
D  MONSANTO CO                 COMMON           61166W101      736     8894 SH       DEFINED          002        0     8894       0





                                                                                        
D  MONSANTO CO                 COMMON           61166W101      361     4366 SH       OTHER            001     4099      110     157
D  MONSANTO CO                 COMMON           61166W101      365     4412 SH       SOLE             001     3534        0     878
D  MONSANTO CO                 COMMON           61166W101      364     4394 SH       SOLE             002        0        0    4394
D  MOTOROLA SOLUTIONS INC      COMMON           620076307      288     5981 SH       OTHER            001     5756        0     225
D  MOTOROLA SOLUTIONS INC      COMMON           620076307    12963   269446 SH       SOLE             001   260775     3075    5596
D  NATIONAL OILWELL VARCO INC  COMMON           637071101      327     5075 SH       DEFINED          002        0     5075       0
D  NATIONAL OILWELL VARCO INC  COMMON           637071101       69     1076 SH       OTHER            001      575        0     501
D  NATIONAL OILWELL VARCO INC  COMMON           637071101      203     3157 SH       SOLE             001     1700      150    1307
D  NAUGATUCK VY FINL CORP      COMMON           63906P107      150    19516 SH       SOLE             002        0        0   19516
D  NESTLE S A                  SPONSORED ADR    641069406       33      557 SH       OTHER            001      287        0     270
D  NESTLE S A                  SPONSORED ADR    641069406      350     5855 SH       SOLE             001     2458        0    3397
D  NETCLARITY                  COMMON           641089990        0    43750 SH       SOLE             001    43750        0       0
D  NEXTERA ENERGY INC          COMMON           65339F101      293     4263 SH       DEFINED          002        0     4263       0
D  NEXTERA ENERGY INC          COMMON           65339F101      993    14437 SH       OTHER            001    12897     1000     540
D  NEXTERA ENERGY INC          COMMON           65339F101    11124   161669 SH       SOLE             001   152177     2699    6793
D  NIKE INC                    COMMON           654106103      237     2700 SH       DEFINED          002        0     2700       0
D  NIKE INC                    COMMON           654106103      208     2366 SH       SOLE             001     1641      265     460
D  NIKE INC                    COMMON           654106103      129     1470 SH       OTHER            001      860      120     490
D  NORFOLK SOUTHERN CORP       COMMON           655844108       59      826 SH       SOLE             001      826        0       0
D  NORFOLK SOUTHERN CORP       COMMON           655844108     1056    14707 SH       OTHER            001    14207        0     500
D  NORFOLK SOUTHERN CORP       COMMON           655844108     1323    18439 SH       SOLE             002        0        0   18439
D  NORWOOD RES LTD             SPONSORED ADR    669958100        0    31470 SH       SOLE             001    31470        0       0
D  NOVARTIS AG                 SPONSORED ADR    66987V109      330     5896 SH       OTHER            001     5767        0     129
D  NOVARTIS AG                 SPONSORED ADR    66987V109     2293    41015 SH       SOLE             001    39035       95    1885
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105      617     7190 SH       DEFINED          002        0     7190       0
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105      554     6459 SH       OTHER            001     6346        0     113
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105    10905   127147 SH       SOLE             001   121330     1853    3964
D  OMNICOM GROUP INC           COMMON           681919106      484     9964 SH       OTHER            001     8744      100    1120
D  OMNICOM GROUP INC           COMMON           681919106    10585   217802 SH       SOLE             001   209117     3072    5613
D  OPPENHEIMER DEVELOPING MK   COMMON           683974109     1280    40424 SH       DEFINED          002        0    40424       0
D  ORACLE CORP                 COMMON           68389X105     1440    48500 SH       DEFINED          002        0    48500       0
D  ORACLE CORP                 COMMON           68389X105      669    22517 SH       OTHER            001    21207      260    1050
D  ORACLE CORP                 COMMON           68389X105      265     8930 SH       SOLE             002        0        0    8930
D  ORACLE CORP                 COMMON           68389X105    12856   432876 SH       SOLE             001   417857     5063    9956
D  PARKER HANNIFIN CORP        COMMON           701094104      380     4945 SH       DEFINED          002        0     4945       0
D  PATTERSON COS INC           COMMON           703395103       21      600 SH       OTHER            001      600        0       0
D  PATTERSON COS INC           COMMON           703395103      313     9090 SH       SOLE             001     9090        0       0
D  PAYCHEX INC                 COMMON           704326107      145     4610 SH       SOLE             001     4610        0       0
D  PAYCHEX INC                 COMMON           704326107      158     5015 SH       OTHER            001     5015        0       0
D  PEABODY ENERGY CORP         COMMON           704549104      461    18811 SH       DEFINED          002        0    18811       0
D  PEOPLE'S UNITED FINANCIAL   COMMON           712704105      675    58122 SH       DEFINED          002        0    58122       0
D  PEPSICO INC                 COMMON           713448108     2637    37321 SH       DEFINED          002        0    37321       0





                                                                                        
D  PEPSICO INC                 COMMON           713448108     6679    94526 SH       SOLE             001    90977     1873    1676
D  PEPSICO INC                 COMMON           713448108     1378    19499 SH       OTHER            001    16299      625    2575
D  PEPSICO INC                 COMMON           713448108      380     5375 SH       SOLE             002        0        0    5375
D  PERRIGO CO                  COMMON           714290103      203     1718 SH       SOLE             001      838        0     880
D  PFIZER INC                  COMMON           717081103     1747    75939 SH       DEFINED          002        0    75939       0
D  PFIZER INC                  COMMON           717081103     1731    75280 SH       OTHER            001    73061     1454     765
D  PFIZER INC                  COMMON           717081103    11233   488376 SH       SOLE             001   456036     5122   27218
D  PFIZER INC                  COMMON           717081103      951    41339 SH       SOLE             002        0     1800   39539
D  PHILIP MORRIS INTL INC      COMMON           718172109      658     7538 SH       DEFINED          002        0     7538       0
D  PHILIP MORRIS INTL INC      COMMON           718172109     2138    24507 SH       OTHER            001    24252        0     255
D  PHILIP MORRIS INTL INC      COMMON           718172109     9995   114546 SH       SOLE             001   105180     1485    7881
D  PHILLIPS 66                 COMMON           718546104      386    11616 SH       DEFINED          002        0    11616       0
D  PHILLIPS 66                 COMMON           718546104      278     8352 SH       OTHER            001     8352        0       0
D  PHILLIPS 66                 COMMON           718546104     4646   139764 SH       SOLE             001   136316     1278    2170
D  PHILLIPS 66                 COMMON           718546104      248     7450 SH       SOLE             002        0      450    7000
D  PLUM CREEK TIMBER CO INC    COMMON           729251108      185     4659 SH       OTHER            001     4645        0      14
D  PLUM CREEK TIMBER CO INC    COMMON           729251108     1244    31338 SH       SOLE             001    30918      390      30
D  POWERSHARES DB BASE METALS  COMMON           73936B705      190    10375 SH       DEFINED          002        0    10375       0
D  POWERSHARES QQQ(TM)         COMMON           73935A104      457     7124 SH       DEFINED          002        0     7124       0
D  PPG INDS INC                COMMON           693506107      295     2780 SH       DEFINED          002        0     2780       0
D  PPG INDS INC                COMMON           693506107      116     1093 SH       SOLE             001     1093        0       0
D  PPG INDS INC                COMMON           693506107      127     1200 SH       OTHER            001     1200        0       0
D  PRAXAIR INC                 COMMON           74005P104      541     4972 SH       OTHER            001     4332      520     120
D  PRAXAIR INC                 COMMON           74005P104     1374    12639 SH       SOLE             001     9909     2017     713
D  PRICE T ROWE GROUP INC      COMMON           74144T108      894    14204 SH       SOLE             001    13309      220     675
D  PRICE T ROWE GROUP INC      COMMON           74144T108       62      988 SH       OTHER            001      423      565       0
D  PROCTER & GAMBLE CO         COMMON           742718109     1599    26105 SH       DEFINED          002        0    26105       0
D  PROCTER & GAMBLE CO         COMMON           742718109     7682   125413 SH       SOLE             001   118000     5675    1738
D  PROCTER & GAMBLE CO         COMMON           742718109     2608    42581 SH       OTHER            001    38183     1173    3225
D  PROCTER & GAMBLE CO         COMMON           742718109     1511    24666 SH       SOLE             002        0        0   24666
D  PROGRESS ENERGY INC         COMMON           743263105      235     3900 SH       OTHER            001     3900        0       0
D  PROGRESS ENERGY INC         COMMON           743263105     2446    40645 SH       SOLE             001    40355      270      20
D  PRUDENTIAL FINANCIAL INC    COMMON           744320102      509    10519 SH       DEFINED          002        0    10519       0
D  PRUDENTIAL FINANCIAL INC    COMMON           744320102      311     6424 SH       OTHER            001     6314       40      70
D  PRUDENTIAL FINANCIAL INC    COMMON           744320102     7240   149484 SH       SOLE             001   143069     2150    4265
D  PUBLIC SVC ENTERPRISE GROUP COMMON           744573106       74     2282 SH       OTHER            001     2282        0       0
D  PUBLIC SVC ENTERPRISE GROUP COMMON           744573106      163     5020 SH       SOLE             001     4875        0     145
D  QUALCOMM INC                COMMON           747525103      690    12401 SH       DEFINED          002        0    12401       0
D  QUALCOMM INC                COMMON           747525103       39      695 SH       OTHER            001      480        0     215
D  QUALCOMM INC                COMMON           747525103     1179    21176 SH       SOLE             001    19613        0    1563
D  RAYONIER INC                COMMON           754907103      227     5064 SH       DEFINED          002        0     5064       0
D  RAYTHEON CO                 COMMON           755111507      233     4121 SH       OTHER            001     3246        0     875





                                                                                        
D  RAYTHEON CO                 COMMON           755111507      257     4535 SH       SOLE             001     1255        0    3280
D  RIO TINTO PLC               SPONSORED ADR    767204100      107     2232 SH       OTHER            001     2000        0     232
D  RIO TINTO PLC               SPONSORED ADR    767204100      261     5457 SH       SOLE             001     1795        0    3662
D  ROCKWELL AUTOMATION INC     COMMON           773903109       15      225 SH       OTHER            001      225        0       0
D  ROCKWELL AUTOMATION INC     COMMON           773903109      225     3400 SH       SOLE             001     3400        0       0
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR    780259206      531     7870 SH       OTHER            001     7810        0      60
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR    780259206     1617    23987 SH       SOLE             001    23036       90     861
D  ROYAL DUTCH SHELL PLC B     SPONSORED ADR    780259107      165     2364 SH       OTHER            001     2144        0     220
D  ROYAL DUTCH SHELL PLC B     SPONSORED ADR    780259107      334     4781 SH       SOLE             001     2365        0    2416
D  ROYCE VALUE TRUST INC       COMMON           780910105      395    31701 SH       DEFINED          002        0    31701       0
D  RYDEX S&P MIDCAP 400 PURE G COMMON           78355W601      394     4676 SH       DEFINED          002        0     4676       0
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108      834    12850 SH       DEFINED          002        0    12850       0
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108     1000    15406 SH       OTHER            001    11036      340    4030
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108     2785    42905 SH       SOLE             001    36617     1860    4428
D  SCHWAB CHARLES CORP         COMMON           808513105        6      455 SH       OTHER            001      455        0       0
D  SCHWAB CHARLES CORP         COMMON           808513105      156    12059 SH       SOLE             001    11279        0     780
D  SELECT SECTOR SPDR TR       OTHER            81369Y886      233     6307 SH       OTHER            001     N.A.     N.A.    N.A.
D  SELECT SECTOR SPDR TR       OTHER            81369Y886     7397   199967 SH       SOLE             001     N.A.     N.A.    N.A.
D  SEMPRA ENERGY               COMMON           816851109      243     3535 SH       SOLE             001     3535        0       0
D  SIGMA-ALDRICH CORP          COMMON           826552101      281     3800 SH       DEFINED          002        0     3800       0
D  SIGMA-ALDRICH CORP          COMMON           826552101      882    11924 SH       SOLE             002        0        0   11924
D  SIMON PPTY GROUP INC        COMMON           828806109      211     1358 SH       SOLE             001     1358        0       0
D  SIMON PPTY GROUP INC        COMMON           828806109      317     2035 SH       OTHER            001     2000        0      35
D  SOUTHERN CO                 COMMON           842587107      232     5000 SH       DEFINED          002        0     5000       0
D  SOUTHERN CO                 COMMON           842587107      931    20118 SH       OTHER            001    19718        0     400
D  SOUTHERN CO                 COMMON           842587107     2993    64633 SH       SOLE             001    62504      515    1614
D  SPDR GOLD TRUST             OTHER            78463V107      341     2198 SH       DEFINED          002     N.A.     N.A.    N.A.
D  SPECTRA ENERGY CORP         COMMON           847560109      467    16074 SH       DEFINED          002        0    16074       0
D  SPECTRA ENERGY CORP         COMMON           847560109     1408    48441 SH       SOLE             001    47011     1395      35
D  SPECTRA ENERGY CORP         COMMON           847560109       80     2747 SH       OTHER            001     2547        0     200
D  STANLEY BLACK & DECKER INC  COMMON           854502101      460     7154 SH       DEFINED          002        0     7154       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101       64     1000 SH       OTHER            001     1000        0       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101      820    12741 SH       SOLE             001    11820        0     921
D  STAPLES INC                 COMMON           855030102      191    14650 SH       DEFINED          002        0    14650       0
D  STAPLES INC                 COMMON           855030102      380    29149 SH       SOLE             001    28812      150     187
D  STAPLES INC                 COMMON           855030102       49     3722 SH       OTHER            001     1850     1872       0
D  STARBUCKS CORP              COMMON           855244109      488     9150 SH       DEFINED          002        0     9150       0
D  STATE STREET CORP           COMMON           857477103      874    19573 SH       DEFINED          002        0    19573       0
D  STATE STREET CORP           COMMON           857477103      458    10259 SH       OTHER            001    10259        0       0
D  STATE STREET CORP           COMMON           857477103    12497   279951 SH       SOLE             001   271201     2963    5787
D  STRYKER CORP                COMMON           863667101     3440    62426 SH       SOLE             001    62426        0       0
D  STRYKER CORP                COMMON           863667101      257     4670 SH       OTHER            001     4535      135       0





                                                                                        
D  SUN LIFE FINANCIAL INC      COMMON           866796105      216     9935 SH       DEFINED          002        0     9935       0
D  SUNCOR ENERGY INC           COMMON           867224107       28      960 SH       OTHER            001      900        0      60
D  SUNCOR ENERGY INC           COMMON           867224107      697    24059 SH       SOLE             001    19244        0    4815
D  SYSCO CORP                  COMMON           871829107     1014    34015 SH       DEFINED          002        0    34015       0
D  SYSCO CORP                  COMMON           871829107     1291    43312 SH       SOLE             001    41607      955     750
D  SYSCO CORP                  COMMON           871829107      228     7650 SH       SOLE             002        0        0    7650
D  SYSCO CORP                  COMMON           871829107      146     4884 SH       OTHER            001     4634      250       0
D  T ROWE PRICE TAX FREE INC   COMMON           779576107      165    15840 SH       DEFINED          002        0    15840       0
D  T ROWE PRICE TAX FREE SHT   COMMON           779902105      336    58872 SH       DEFINED          002        0    58872       0
D  T ROWE PRICE TAX FREE SHT   COMMON           779902105      124    21679 SH       SOLE             002        0        0   21679
D  TANGER FACTORY OUTLET CTRS  COMMON           875465106      224     7000 SH       OTHER            001     7000        0       0
D  TARGET CORP                 COMMON           87612E106      605    10400 SH       OTHER            001    10400        0       0
D  TARGET CORP                 COMMON           87612E106     3586    61626 SH       SOLE             001    61391      100     135
D  TE CONNECTIVITY LTD         SPONSORED ADR    H84989104        7      219 SH       OTHER            001      219        0       0
D  TE CONNECTIVITY LTD         SPONSORED ADR    H84989104      237     7432 SH       SOLE             001     7432        0       0
D  TECHNOLOGY SELECT SECT SPDR OTHER            81369Y803      379    13203 SH       DEFINED          002     N.A.     N.A.    N.A.
D  TECHNOLOGY SELECT SECT SPDR OTHER            81369Y803       27      925 SH       OTHER            001     N.A.     N.A.    N.A.
D  TECHNOLOGY SELECT SECT SPDR OTHER            81369Y803      457    15905 SH       SOLE             001     N.A.     N.A.    N.A.
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR    881624209      314     7949 SH       OTHER            001     6969      380     600
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR    881624209     7185   182180 SH       SOLE             001   174993     3302    3885
D  TEXAS INSTRUMENTS INC       COMMON           882508104      621    21660 SH       DEFINED          002        0    21660       0
D  TEXTRON INC                 COMMON           883203101      266    10710 SH       SOLE             001    10710        0       0
D  THE HERSHEY COMPANY         COMMON           427866108      328     4550 SH       SOLE             001     4550        0       0
D  THE HERSHEY COMPANY         COMMON           427866108      591     8200 SH       OTHER            001     8200        0       0
D  THERMO FISHER SCIENTIFIC, I COMMON           883556102      216     4161 SH       OTHER            001     4161        0       0
D  THERMO FISHER SCIENTIFIC, I COMMON           883556102     7361   141812 SH       SOLE             001   135094     2139    4579
D  THERMO FISHER SCIENTIFIC, I COMMON           883556102      239     4600 SH       SOLE             002        0        0    4600
D  TIDEWATER INC               COMMON           886423102       14      300 SH       OTHER            001      300        0       0
D  TIDEWATER INC               COMMON           886423102      798    17215 SH       SOLE             001    17215        0       0
D  TIME WARNER INC             COMMON           887317303      570    14813 SH       DEFINED          002        0    14813       0
D  TJX COS INC                 COMMON           872540109      523    12190 SH       OTHER            001    11440      260     490
D  TJX COS INC                 COMMON           872540109    15040   350348 SH       SOLE             001   337051     3821    9476
D  TORONTO-DOMINION BANK       SPONSORED ADR    891160509      227     2900 SH       DEFINED          002        0     2900       0
D  TORTOISE MLP FD INC         COMMON           89148B101      110     4398 SH       OTHER            001     4398        0       0
D  TORTOISE MLP FD INC         COMMON           89148B101      119     4779 SH       SOLE             001     4779        0       0
D  TRAVELERS COMPANIES INC     COMMON           89417E109       62      968 SH       OTHER            001      218      200     550
D  TRAVELERS COMPANIES INC     COMMON           89417E109      473     7405 SH       SOLE             001     3569      348    3488
D  TYCO INTERNATIONAL LTD      SPONSORED ADR    H89128104       12      219 SH       OTHER            001      219        0       0
D  TYCO INTERNATIONAL LTD      SPONSORED ADR    H89128104      468     8863 SH       SOLE             001     7597        0    1266
D  TYHEE GOLD CORP             COMMON           902166107        4    50000 SH       SOLE             001    50000        0       0
D  UNIGENE LABS INC            COMMON           904753100        5    17500 SH       DEFINED          002        0    17500       0
D  UNILEVER N V                SPONSORED ADR    904784709       24      730 SH       OTHER            001        0        0     730





                                                                                        
D  UNILEVER N V                SPONSORED ADR    904784709      464    13915 SH       SOLE             001     5740        0    8175
D  UNION PAC CORP              COMMON           907818108      584     4899 SH       DEFINED          002        0     4899       0
D  UNION PAC CORP              COMMON           907818108      543     4549 SH       SOLE             001     4304        0     245
D  UNION PAC CORP              COMMON           907818108      561     4700 SH       OTHER            001     1500      300    2900
D  UNITED HEALTH GROUP INC     COMMON           91324P102      217     3711 SH       DEFINED          002        0     3711       0
D  UNITED HEALTH GROUP INC     COMMON           91324P102      189     3232 SH       OTHER            001     2942      110     180
D  UNITED HEALTH GROUP INC     COMMON           91324P102     5736    98053 SH       SOLE             001    94931     1170    1952
D  UNITED PARCEL SERVICE INC   COMMON           911312106      681     8643 SH       DEFINED          002        0     8643       0
D  UNITED PARCEL SERVICE INC   COMMON           911312106      933    11841 SH       OTHER            001    10592      275     974
D  UNITED PARCEL SERVICE INC   COMMON           911312106    10841   137643 SH       SOLE             001   132759     1647    3237
D  UNITED TECHNOLOGIES CORP    COMMON           913017109     1049    13895 SH       DEFINED          002        0    13895       0
D  UNITED TECHNOLOGIES CORP    COMMON           913017109     2002    26511 SH       OTHER            001    25087      570     854
D  UNITED TECHNOLOGIES CORP    COMMON           913017109    13200   174762 SH       SOLE             001   167373     2824    4565
D  UNITED TECHNOLOGIES CORP    COMMON           913017109      592     7844 SH       SOLE             002        0        0    7844
D  US BANCORP                  COMMON           902973304      789    24533 SH       OTHER            001    24533        0       0
D  US BANCORP                  COMMON           902973304    14763   459037 SH       SOLE             001   444122     5032    9883
D  V F CORP                    COMMON           918204108       52      387 SH       OTHER            001      309        0      78
D  V F CORP                    COMMON           918204108     1228     9200 SH       SOLE             001     8664       95     441
D  VANGUARD EMERGING MARKETS E OTHER            922042858      862    21600 SH       SOLE             002     N.A.     N.A.    N.A.
D  VANGUARD INFORMATION TECHNO OTHER            92204A702      476     6929 SH       SOLE             001     N.A.     N.A.    N.A.
D  VANGUARD SHORT TERM BD INDE OTHER            921937827     1408    17359 SH       DEFINED          002     N.A.     N.A.    N.A.
D  VANGUARD SHORT TERM BD INDE OTHER            921937827      829    10217 SH       SOLE             002     N.A.     N.A.    N.A.
D  VARIAN MED SYS INC          COMMON           92220P105      414     6809 SH       SOLE             001     5281      725     803
D  VARIAN MED SYS INC          COMMON           92220P105     1105    18185 SH       OTHER            001      525        0   17660
D  VERIZON COMMUNICATIONS      COMMON           92343V104     2177    48982 SH       DEFINED          002        0    48982       0
D  VERIZON COMMUNICATIONS      COMMON           92343V104     2160    48616 SH       OTHER            001    43471     1295    3850
D  VERIZON COMMUNICATIONS      COMMON           92343V104      450    10132 SH       SOLE             002        0        0   10132
D  VERIZON COMMUNICATIONS      COMMON           92343V104    15960   359139 SH       SOLE             001   331925    13689   13525
D  VISA INC                    COMMON           92826C839      989     8001 SH       DEFINED          002        0     8001       0
D  VISA INC                    COMMON           92826C839      201     1625 SH       SOLE             002        0        0    1625
D  VODAFONE GROUP PLC          SPONSORED ADR    92857W209      142     5038 SH       OTHER            001     4302        0     736
D  VODAFONE GROUP PLC          SPONSORED ADR    92857W209      650    23049 SH       SOLE             001    14701      613    7735
D  VORNADO RLTY L P PINES 7.87 COMMON           929043602      224     8000 SH       OTHER            001     8000        0       0
D  WAL MART STORES INC         COMMON           931142103      819    11743 SH       DEFINED          002        0    11743       0
D  WAL MART STORES INC         COMMON           931142103      888    12734 SH       OTHER            001    11888      365     481
D  WAL MART STORES INC         COMMON           931142103    16360   234660 SH       SOLE             001   226724     3337    4599
D  WALGREEN CO                 COMMON           931422109      594    20080 SH       DEFINED          002        0    20080       0
D  WALGREEN CO                 COMMON           931422109      808    27320 SH       SOLE             001    23981      925    2414
D  WALGREEN CO                 COMMON           931422109      286     9675 SH       OTHER            001     4804      900    3971
D  WALGREEN CO                 COMMON           931422109      719    24300 SH       SOLE             002        0        0   24300
D  WEATHERFORD INTERNATIONAL L COMMON           H27013103        8      670 SH       OTHER            001        0        0     670
D  WEATHERFORD INTERNATIONAL L COMMON           H27013103      126     9950 SH       SOLE             001     1105        0    8845





                                                                                        
D  WEBSTER FINANCL CP WATERBUR COMMON           947890109      369    17050 SH       DEFINED          002        0    17050       0
D  WELLS FARGO CO              COMMON           949746101      807    24119 SH       OTHER            001    19728     1175    3216
D  WELLS FARGO CO              COMMON           949746101    14314   428049 SH       SOLE             001   410252     6042   11755
D  WELLS FARGO CO              COMMON           949746101      823    24600 SH       SOLE             002        0        0   24600
D  WESTERN UNION CO            COMMON           959802109      196    11630 SH       DEFINED          002        0    11630       0
D  WHIRLPOOL CORP              COMMON           963320106      245     4000 SH       OTHER            001     4000        0       0
D  WHIRLPOOL CORP              COMMON           963320106       29      476 SH       SOLE             001        0        0     476
D  WILLIAMS COS INC            COMMON           969457100     1496    51904 SH       DEFINED          002        0    51904       0
D  WPX ENERGY INC              COMMON           98212B103      313    19361 SH       DEFINED          002        0    19361       0
D  YUM BRANDS INC              COMMON           988498101      370     5750 SH       DEFINED          002        0     5750       0
D  ZIMMER HOLDINGS INC         COMMON           98956P102        7      116 SH       OTHER            001      116        0       0
D  ZIMMER HOLDINGS INC         COMMON           98956P102      548     8508 SH       SOLE             001     8198      185     125
D  ZIMMER HOLDINGS INC         COMMON           98956P102      207     3220 SH       SOLE             002        0        0    3220