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

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 9/30/2012

Check here is Amendment [_]; Amendment Number:

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

Institutional Investment Manager Filing this Report:

Name:    M&T BANK CORPORATION

Address: One M&T Plaza
         Buffalo, NY   14240

Form 13-F File Number: 028-00267

This institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral part of this form.

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:

         /s/ Mark Czarnecki, President   Buffalo, New York   11/14/2012
         -----------------------------   -----------------   ----------
                  [Signature]              [City, State]       [Date]

Report Type (Check only one.):

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

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

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

List of Other Included Managers:

Form 13F File Number                 Name
028-03980                            Manufacturers & Traders Trust Company
028-11878                            M&T Trust Company of Delaware, Inc.
028-10909                            Wilmington Trust Investment Advisors, Inc.

List of Other Managers Reporting for this Manager:

Form 13F File Number                 Name
028-03742                            Wilmington Trust Company
028-12629                            Wilmington Trust Investment Management, LLC
028-06601                            Wilmington Funds Management Corporation
028-03740                            Wilmington Trust, National Association

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                             FORM 13-F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                                             3

Form 13-F Information Table Entry Total:                                   1,947

Form 13-F Information Table Value Total:                               1,950,778
                                                                      ----------
                                                                     (thousands)

List of Other Included Managers:

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

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

     No.    Form 13F File Number           Name

     1       028-39800                     Manufacturers & Traders Trust Company
     3       028-10909                     Wilmington Trust Investment Advisors,
                                           Inc.
     4       028-11878                     M&T Trust Company of Delaware, Inc.


                                    SEC USE



                    COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5                COLUMN 6        COLUMN 7 COLUMN 8
                                                                            INVESTMENT AUTHORITY
                   --------- --------- ---------- ------------------------ ----------------------
                                                   SHARES                                                     VOTING AUTHORITY
                                                     OR      SHARES   PUT                                  ----------------------
NAME OF            TITLE OF               VALUE   PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
ISSUER               CLASS     CUSIP   (X $1,000)   AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED  OTHER
-------            --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ -------
                                                                                   
ABBOTT
 LABORATORIES .... COMMON      2824100      9639     140606 SHARES                 X                  1     139106      0    1500
ABBOTT
 LABORATORIES .... COMMON      2824100      4921      71788 SHARES                          X         1      68558      0    3230
ABERCROMBIE &
 FITCH CO CL A ... COMMON      2896207         3         75 SHARES                 X                  1         75      0       0
ACCO BRANDS CORP . COMMON    00081T108       488      75309 SHARES                 X                  1      73991      0    1318
ACCO BRANDS CORP . COMMON    00081T108        14       2123 SHARES                          X         1       2123      0       0
ACME PACKET INC .. COMMON      4764106        12        684 SHARES                 X                  1        684      0       0
ACNB CORP ........ COMMON       868109       316      19745 SHARES                 X                  1      15548      0    4197
ACTIVISION
 BLIZZARD INC .... COMMON    00507V109        59       5262 SHARES                 X                  1       5262      0       0
ACTIVISION
 BLIZZARD INC .... COMMON    00507V109        39       3500 SHARES                          X         1       3500      0       0
ADOBE SYSTEMS
 COMMON .......... COMMON    00724F101        45       1400 SHARES                 X                  1       1400      0       0
ADOBE SYSTEMS
 COMMON .......... COMMON    00724F101         9        265 SHARES                          X         1        265      0       0
ADTRAN INC COM ... COMMON    00738A106       291      16835 SHARES                 X                  1      16835      0       0
ADVANCED MICRO
 DEVICES INC COM . COMMON      7903107         0         80 SHARES                 X                  1         80      0       0
ADVANCED MICRO
 DEVICES INC COM . COMMON      7903107         2        500 SHARES                          X         1        500      0       0
AECOM TECHNOLOGY
 CORP ............ COMMON    00766T100         3        165 SHARES                 X                  1        165      0       0
AES CORP COM ..... COMMON    00130H105        14       1300 SHARES                 X                  1       1300      0       0
AETNA INC NEW COM  COMMON    00817Y108       387       9784 SHARES                 X                  1       9784      0       0
AFFILIATED
 MANAGERS GROUP .. COMMON      8252108      1518      12343 SHARES                 X                  1      12135      0     208
AFFILIATED
 MANAGERS GROUP .. COMMON      8252108        74        605 SHARES                          X         1        605      0       0
AFLAC INC ........ COMMON      1055102       403       8422 SHARES                 X                  1       8422      0       0
AFLAC INC ........ COMMON      1055102       615      12835 SHARES                          X         1      12435      0     400
AGILENT
 TECHNOLOGIES INC
 COM ............. COMMON    00846U101        10        257 SHARES                 X                  1        257      0       0
AGILENT
 TECHNOLOGIES INC
 COM ............. COMMON    00846U101        33        853 SHARES                          X         1        243      0     610
AGL RESOURCES INC  COMMON      1204106         9        209 SHARES                 X                  1        209      0       0
AGL RESOURCES INC  COMMON      1204106        23        567 SHARES                          X         1        567      0       0
AIR PRODUCTS &
 CHEMICALS INC ... COMMON      9158106      1685      20377 SHARES                 X                  1      20127      0     250
AIR PRODUCTS &
 CHEMICALS INC ... COMMON      9158106      1169      14140 SHARES                          X         1      14026      0     114
AK STEEL HOLDING
 CORP COM ........ COMMON      1547108         0         66 SHARES                 X                  1         66      0       0
ALBEMARLE CORP
 COM ............. COMMON     12653101      2575      48878 SHARES                 X                  1      47924      0     954
ALBEMARLE CORP
 COM ............. COMMON     12653101      1210      22974 SHARES                          X         1      22974      0       0
ALCOA INC COM .... COMMON     13817101       225      25463 SHARES                 X                  1      25163      0     300
ALCOA INC COM .... COMMON     13817101       177      20045 SHARES                          X         1      19285      0     760
ALERE INC ........ COMMON    01449J105       283      14531 SHARES                 X                  1      14531      0       0
ALEXANDER &
 BALDWIN INC ..... COMMON     14491104       765      25889 SHARES                 X                  1      25447      0     442
ALEXANDER &
 BALDWIN INC ..... COMMON     14491104        37       1266 SHARES                          X         1       1266      0       0
ALEXION
 PHARMACEUTICALS
 INC COM ......... COMMON     15351109      2786      24350 SHARES                 X                  1      23992      0     358
ALEXION
 PHARMACEUTICALS
 INC COM ......... COMMON     15351109       118       1032 SHARES                          X         1        882      0     150
ALLEGHANY
 CORPORATION ..... COMMON     17175100         7         21 SHARES                          X         1         21      0       0
ALLERGAN INC ..... COMMON     18490102      2684      29305 SHARES                 X                  1      28929      0     376
ALLERGAN INC ..... COMMON     18490102       120       1308 SHARES                          X         1       1308      0       0
ALLETE INC ....... COMMON     18522300        47       1125 SHARES                          X         1       1125      0       0
ALLIANCE DATA
 SYSTEMS CORP .... COMMON     18581108       133        940 SHARES                 X                  1        940      0       0
ALLIANCE DATA
 SYSTEMS CORP .... COMMON     18581108         4         28 SHARES                          X         1         28      0       0
ALLIANT TECH
 SYSTEMS INC ..... COMMON     18804104         3         52 SHARES                 X                  1         52      0       0
ALLIANT TECH
 SYSTEMS INC ..... COMMON     18804104         2        405 SHARES                          X         1        405      0       0
ALLISON
 TRANSMISSION
 HOLDINGS ........ COMMON    01973R101         9        430 SHARES                 X                  1        430      0       0
ALLSCRIPTS
 HEALTHCARE
 SOLUTIONS INC ... COMMON    01988P108       292      23497 SHARES                 X                  1      23497      0       0
ALLSCRIPTS
 HEALTHCARE
 SOLUTIONS INC ... COMMON    01988P108        43       3450 SHARES                          X         1       3450      0       0
ALLSTATE CORP .... COMMON     20002101       322       8143 SHARES                 X                  1       8143      0       0
ALLSTATE CORP .... COMMON     20002101       185       4658 SHARES                          X         1       4658      0       0
ALPHA NATURAL
 RESOURCES ....... COMMON    02076X102        20       3000 SHARES                          X         1       3000      0       0
ALTERA CORP COM .. COMMON     21441100       507      14906 SHARES                 X                  1      14906      0       0
ALTRIA GROUP INC . COMMON    02209S103      9420     282117 SHARES                 X                  1     278456      0    3661
ALTRIA GROUP INC . COMMON    02209S103      3931     117735 SHARES                          X         1     112510      0    5225
AMAZON.COM INC ... COMMON     23135106      6832      26863 SHARES                 X                  1      26468      0     395
AMAZON.COM INC ... COMMON     23135106       404       1587 SHARES                          X         1        814      0     773
AMEREN
 CORPORATION ..... COMMON     23608102         0         20 SHARES                 X                  1         20      0       0
AMERICAN CAMPUS
 COMMUNITIES INC-
 REIT ............ COMMON     24835100       525      11960 SHARES                 X                  1      11960      0       0
AMERICAN CAMPUS
 COMMUNITIES INC-
 REIT ............ COMMON     24835100        54       1235 SHARES                          X         1       1235      0       0
AMERICAN CAPITAL
 AGENCY CORP ..... COMMON    02503X105         9        250 SHARES                 X                  1        250      0       0
AMERICAN CAPITAL
 AGENCY CORP ..... COMMON    02503X105         1        300 SHARES                          X         1        300      0       0


                                    1 of 30




                                                                                   
AMERICAN EAGLE
 OUTFITTER INC ... COMMON    2.55E+109         8        400 SHARES                 X                  1        400      0       0
AMERICAN ELECTRIC
 POWER CO INC .... COMMON     25537101       231       5259 SHARES                 X                  1       5259      0       0
AMERICAN ELECTRIC
 POWER CO INC .... COMMON     25537101       109       2475 SHARES                          X         1       1876      0     599
AMERICAN EXPRESS
 CO .............. COMMON     25816109       681      11972 SHARES                 X                  1      11372      0     600
AMERICAN EXPRESS
 CO .............. COMMON     25816109       656      11545 SHARES                          X         1       9345      0    2200
AMERICAN
 FINANCIAL GROUP
 INC ............. COMMON     25932104        23        600 SHARES                          X         1          0      0     600
AMERICAN
 INTERNATIONAL
GROUP ............ COMMON     26874784         3         75 SHARES                 X                  1         75      0       0
AMERICAN
 INTERNATIONAL
 GROUP ........... COMMON     26874784         5        145 SHARES                          X         1         45      0     100
AMERICAN REALTY .. COMMON    02917T104         4        300 SHARES                 X                  1        300      0       0
AMERICAN REALTY .. COMMON    02917T104         1        100 SHARES                          X         1        100      0       0
AMERICAN REALTY
 CAPITAL TRUST ... COMMON    02917L101         4        300 SHARES                 X                  1        300      0       0
AMERICAN REALTY
 CAPITAL TRUST ... COMMON    02917L101         1        100 SHARES                          X         1        100      0       0
AMERICAN TOWER
 CORP CL A ....... COMMON    03027X100       227       3182 SHARES                 X                  1       3182      0       0
AMERICAN TOWER
 CORP CL A ....... COMMON    03027X100         4         50 SHARES                          X         1         50      0       0
AMERICAN WATER
 WORKS CO INC .... COMMON     30420103         4       1100 SHARES                 X                  1       1100      0       0
AMERICAN WATER
 WORKS CO INC .... COMMON     30420103       115       3090 SHARES                          X         1       3090      0       0
AMERIPRISE
 FINANCIAL INC ... COMMON    03076C106        75       1327 SHARES                 X                  1       1207      0     120
AMERIPRISE
 FINANCIAL INC ... COMMON    03076C106        77       1351 SHARES                          X         1       1156      0     195
AMERIS BANCORP ... COMMON    03076K108         2        123 SHARES                 X                  1        123      0       0
AMERISOURCE
 BERGEN CORP ..... COMMON    3.07E+108        12        300 SHARES                 X                  1        300      0       0
AMGEN INC COM .... COMMON     31162100      8976     106495 SHARES                 X                  1     106495      0       0
AMGEN INC COM .... COMMON     31162100      1802      21377 SHARES                          X         1      16887      0    4490
AMPAL AMER-A ..... COMMON     32015703         2       1268 SHARES                 X                  1       1268      0       0
AMPHENOL CORP NEW
 CL A ............ COMMON     32095101         1         24 SHARES                 X                  1         24      0       0
ANADARKO
 PETROLEUM CORP .. COMMON     32511107       846      12095 SHARES                 X                  1      11625      0     470
ANADARKO
 PETROLEUM CORP .. COMMON     32511107       259       3711 SHARES                          X         1       2761      0     950
ANALOG DEVICES
 INC ............. COMMON     32654105         4        108 SHARES                 X                  1        108      0       0
ANALOG DEVICES
 INC ............. COMMON     32654105        14        360 SHARES                          X         1        360      0       0
ANNALY CAPITAL
 MANAGEMENT INC
(REIT) ........... COMMON     35710409        86       5130 SHARES                 X                  1       5130      0       0
ANNALY CAPITAL
 MANAGEMENT INC
(REIT) ........... COMMON     35710409        13        800 SHARES                          X         1        700      0     100
ANSYS INC ........ COMMON    03662Q105       499       6797 SHARES                 X                  1       6797      0       0
AOL INC .......... COMMON    00184X105         2         62 SHARES                 X                  1         62      0       0
AOL INC .......... COMMON    00184X105         3         95 SHARES                          X         1         95      0       0
AON PLC .......... COMMON    G0408V102       183       3500 SHARES                 X                  1       3500      0       0
APACHE CORP COM .. COMMON     37411105      2876      33255 SHARES                 X                  1      33255      0       0
APACHE CORP COM .. COMMON     37411105       778       9002 SHARES                          X         1       8784      0     218
APOLLO GROUP INC
 CL A ............ COMMON     37604105        15        521 SHARES                 X                  1        521      0       0
APPLE INC ........ COMMON     37833100     44504      66712 SHARES                 X                  1      65981      0     731
APPLE INC ........ COMMON     37833100      6921      10376 SHARES                          X         1       9530      0     846
APPLIED MATERIALS
 INC COM ......... COMMON     38222105       187      16779 SHARES                 X                  1      15779      0    1000
APPLIED MATERIALS
 INC COM ......... COMMON     38222105        49       4400 SHARES                          X         1       3400      0    1000
AQUA AMERICA INC . COMMON    03836W103        25       1000 SHARES                 X                  1       1000      0       0
AQUA AMERICA INC . COMMON    03836W103        28       1150 SHARES                          X         1       1000      0     150
ARCHER DANIELS
 MIDLAND CO COM .. COMMON     39483102       125       4585 SHARES                 X                  1       4585      0       0
ARCHER DANIELS
 MIDLAND CO COM .. COMMON     39483102       313      11500 SHARES                          X         1       6000      0    5500
ARRIS GROUP ...... COMMON    04269Q100       252      19720 SHARES                          X         1      19720      0       0
ARTESIAN
 RESOURCES
 CORPORATION CL A  COMMON     43113208        21        885 SHARES                 X                  1        885      0       0
ARUBA NETWORKS
 INC ............. COMMON     43176106       410      18237 SHARES                 X                  1      18237      0       0
ASHLAND INC ...... COMMON     44209104       398       5555 SHARES                 X                  1       5555      0       0
ASHLAND INC ...... COMMON     44209104        34        474 SHARES                          X         1        474      0       0
AT&T INC ......... COMMON    00206R102     15904     421860 SHARES                 X                  1     419230      0    2630
AT&T INC ......... COMMON    00206R102     11757     311856 SHARES                          X         1     265505      0   46351
ATLAS AIR
 WORLDWIDE
 HOLDINGS ........ COMMON     49164205         3         50 SHARES                 X                  1         50      0       0
ATLAS ENERGY LP .. COMMON    04930A104         5        150 SHARES                 X                  1        150      0       0
ATLAS RESOURCE
 PARTNERS LP ..... COMMON    04941A101         0         15 SHARES                 X                  1         15      0       0
ATMOS ENERGY CORP  COMMON     49560105         1         30 SHARES                 X                  1         30      0       0
AUTODESK COM ..... COMMON     52769106       527      15809 SHARES                 X                  1      15809      0       0
AUTOMATIC DATA
 PROCESSING INC .. COMMON     53015103      1678      28618 SHARES                 X                  1      27818      0     800
AUTOMATIC DATA
 PROCESSING INC .. COMMON     53015103      2193      37394 SHARES                          X         1      34644      0    2750
AUTOZONE INC COM . COMMON     53332102        17         46 SHARES                 X                  1         46      0       0
AUTOZONE INC COM . COMMON     53332102        74        200 SHARES                          X         1        200      0       0
AUXILIUM
 PHARMACEUTICALS
 INC ............. COMMON    05334D107       198       8125 SHARES                 X                  1       8125      0       0
AVALONBAY
 COMMUNITIES INC . COMMON     53484101        49        357 SHARES                 X                  1        357      0       0
AVERY DENNISON
 CORP COM ........ COMMON     53611109         3         95 SHARES                 X                  1         95      0       0
AVON PRODUCTS INC  COMMON     54303102        92       5751 SHARES                 X                  1       5751      0       0
AVON PRODUCTS INC  COMMON     54303102        30       1874 SHARES                          X         1       1874      0       0
AXCELIS
 TECHNOLOGIES INC
 COM ............. COMMON     54540109         0        330 SHARES                 X                  1        330      0       0


                                    2 of 30




                                                                                   
BABCOCK & WILCOX
 CO .............. COMMON    05615F102       393      15417 SHARES                 X                  1      15417      0       0
BABCOCK & WILCOX
 CO .............. COMMON    05615F102         7        275 SHARES                          X         1        275      0       0
BAKER HUGHES INC
 COM ............. COMMON     57224107       124       2744 SHARES                 X                  1       2744      0       0
BAKER HUGHES INC
 COM ............. COMMON     57224107        20        450 SHARES                          X         1        450      0       0
BALL CORPORATION . COMMON     58498106      1374      32470 SHARES                          X         1      32470      0       0
BANK AMER CORP ... COMMON     60505104      1732     196131 SHARES                 X                  1     189770      0    6361
BANK AMER CORP ... COMMON     60505104      1054     119368 SHARES                          X         1     114485      0    4883
BANK NEW YORK
 MELLON CORP ..... COMMON     64058100      1442      63752 SHARES                 X                  1      63752      0       0
BANK NEW YORK
 MELLON CORP ..... COMMON     64058100       250      11052 SHARES                          X         1      10290      0     762
BARD C R INC COM . COMMON     67383109        26        250 SHARES                 X                  1        250      0       0
BARD C R INC COM . COMMON     67383109       429       4100 SHARES                          X         1       4100      0       0
BARNES GROUP
 INCORPORATED .... COMMON     67806109         3        135 SHARES                 X                  1        135      0       0
BAXTER
 INTERNATIONAL ... COMMON     71813109       685      11363 SHARES                 X                  1      11363      0       0
BAXTER
 INTERNATIONAL ... COMMON     71813109       310       5150 SHARES                          X         1       5150      0       0
BB&T CORP COM .... COMMON     54937107       794      23949 SHARES                 X                  1      23049      0     900
BB&T CORP COM .... COMMON     54937107       509      15345 SHARES                          X         1      15345      0       0
BEAM INC ......... COMMON     73730103       434       7543 SHARES                 X                  1       7543      0       0
BEAM INC ......... COMMON     73730103       189       3278 SHARES                          X         1       3171      0     107
BECTON DICKINSON
 & CO COM ........ COMMON     75887109      1071      13634 SHARES                 X                  1      13634      0       0
BECTON DICKINSON
 & CO COM ........ COMMON     75887109       320       4079 SHARES                          X         1       4079      0       0
BED BATH & BEYOND
 INC COM ......... COMMON     75896100       129       2054 SHARES                 X                  1       2054      0       0
BERKSHIRE
 HATHAWAY INC
CLASS A .......... COMMON     84670108       398          3 SHARES                          X         1          3      0       0
BERKSHIRE
 HATHAWAY INC DEL
 CL B ............ COMMON     84670702      3274      37117 SHARES                 X                  1      36440      0     677
BERKSHIRE
 HATHAWAY INC DEL
 CL B ............ COMMON     84670702      1128      12795 SHARES                          X         1      10282      0    2513
BEST BUY COMPANY
 INC ............. COMMON     86516101       130       7536 SHARES                 X                  1       7536      0       0
BEST BUY COMPANY
 INC ............. COMMON     86516101        25       1449 SHARES                          X         1       1417      0      32
BIG LOTS INC ..... COMMON     89302103         2         82 SHARES                 X                  1         82      0       0
BIOGEN IDEC INC .. COMMON    09062X103      2792      18716 SHARES                 X                  1      18528      0     188
BIOGEN IDEC INC .. COMMON    09062X103       345       2315 SHARES                          X         1       2205      0     110
BIOMARIN
 PHARMACEUTICAL
 INC ............. COMMON    09061G101         8        200 SHARES                 X                  1        200      0       0
BLACK HILLS CORP . COMMON     92113109        57       1600 SHARES                 X                  1       1600      0       0
BLACKROCK INC .... COMMON    09247X101      2032      11397 SHARES                 X                  1      11397      0       0
BLACKROCK INC .... COMMON    09247X101       242       1360 SHARES                          X         1       1360      0       0
BLACKROCK KELSO
 CAPITAL CORP .... COMMON     92533108         4        420 SHARES                          X         1        420      0       0
BMC SOFTWARE INC
 COM ............. COMMON     55921100         0         10 SHARES                 X                  1         10      0       0
BOEING CO COM .... COMMON     97023105      5622      80780 SHARES                 X                  1      80430      0     350
BOEING CO COM .... COMMON     97023105      1117      16049 SHARES                          X         1      14187      0    1862
BOK FINANCIAL
 CORPORATION ..... COMMON    05561Q201         0         11 SHARES                 X                  1         11      0       0
BORG WARNER INC
 COM ............. COMMON     99724106       558       8068 SHARES                 X                  1       8068      0       0
BOSTON BEER
 INCORPORATED
 CLASS A ......... COMMON    100557107         6         50 SHARES                 X                  1         50      0       0
BOSTON PROPERTIES
 INC (REIT) ...... COMMON    101121101        22        200 SHARES                 X                  1        200      0       0
BOSTON PROPERTIES
 INC (REIT) ...... COMMON    101121101        66        600 SHARES                          X         1        600      0       0
BOSTON SCIENTIFIC
 CORP COM ........ COMMON    101137107         3        462 SHARES                 X                  1        462      0       0
BRANDYWINE REALTY
 TRUST (REIT) .... COMMON    105368203        18       1500 SHARES                 X                  1       1500      0       0
BRIGGS & STRATTON
 CORP ............ COMMON    109043109        15        800 SHARES                 X                  1        800      0       0
BRINKER INTL INC
 COM ............. COMMON    109641100        26        750 SHARES                 X                  1        750      0       0
BRINKER INTL INC
 COM ............. COMMON    109641100        50       1425 SHARES                          X         1       1425      0       0
BRISTOL-MYERS
 SQUIBB CO ....... COMMON    110122108     14141     418999 SHARES                 X                  1     417893      0    1106
BRISTOL-MYERS
 SQUIBB CO ....... COMMON    110122108      6836     202558 SHARES                          X         1     180413      0   22145
BROADCOM CORP CL
 A ............... COMMON    111320107       429      12397 SHARES                 X                  1      12397      0       0
BROADCOM CORP CL
 A ............... COMMON    111320107        22        632 SHARES                          X         1        632      0       0
BROADRIDGE
 FINANCIAL
 SOLUTIONS INC ... COMMON    11133T103         4        150 SHARES                          X         1        150      0       0
BROCADE
 COMMUNICATIONS
 SYSTEM .......... COMMON    111621306         3        500 SHARES                 X                  1        500      0       0
BROWN & BROWN INC
 COMMON .......... COMMON    115236101       374      14330 SHARES                 X                  1      14330      0       0
BROWN-FORMAN CORP
 CL B ............ COMMON    115637209       691      10592 SHARES                 X                  1      10422      0     170
BROWN-FORMAN CORP
 CL B ............ COMMON    115637209        67       1029 SHARES                          X         1       1029      0       0
CA INC ........... COMMON    12673P105       131       5080 SHARES                 X                  1       5080      0       0
CABOT OIL & GAS
 CORP ............ COMMON    127097103       336       7482 SHARES                 X                  1       7482      0       0
CALLAWAY GOLF CO
 COM ............. COMMON    131193104         0         23 SHARES                 X                  1         23      0       0
CAMDEN PROPERTY
 TRUST (REIT) .... COMMON    133131102         6       1000 SHARES                 X                  1       1000      0       0
CAMERON
 INTERNATIONAL
 CORP ............ COMMON    13342B105      2766      49325 SHARES                 X                  1      48749      0     576
CAMERON
 INTERNATIONAL
 CORP ............ COMMON    13342B105        76       1362 SHARES                          X         1       1362      0       0
CAMPBELL SOUP CO
 COM ............. COMMON    134429109        38       1100 SHARES                 X                  1       1100      0       0
CAMPBELL SOUP CO
 COM ............. COMMON    134429109       106       3050 SHARES                          X         1       3050      0       0
CAPITAL ONE
 FINANCIAL CORP .. COMMON    14040H105       390       6844 SHARES                 X                  1       6844      0       0
CAPITAL ONE
 FINANCIAL CORP .. COMMON    14040H105       519       9100 SHARES                          X         1       8600      0     500
CARDINAL HEALTH
 INC ............. COMMON    14149Y108       321       8247 SHARES                 X                  1       8247      0       0


                                    3 of 30




                                                                                   
CARDINAL HEALTH
 INC ............. COMMON    14149Y108        47       1210 SHARES                          X         1       1210      0       0
CAREFUSION CORP .. COMMON    14170T101         6        205 SHARES                          X         1        205      0       0
CARLISLE
 COMPANIES INC ... COMMON    142339100        19        370 SHARES                 X                  1        370      0       0
CARLISLE
 COMPANIES INC ... COMMON    142339100        51       1000 SHARES                          X         1       1000      0       0
CARMAX INC ....... COMMON    143130102      1665      58847 SHARES                 X                  1      57689      0    1158
CARMAX INC ....... COMMON    143130102        72       2536 SHARES                          X         1       2536      0       0
CARNIVAL
 CORPORATION ..... COMMON    143658300       569      15622 SHARES                 X                  1      15622      0       0
CARNIVAL
 CORPORATION ..... COMMON    143658300       224       6150 SHARES                          X         1       5150      0    1000
CARPENTER
 TECHNOLOGY CORP
 COM ............. COMMON    144285103        41        776 SHARES                          X         1        776      0       0
CATERPILLAR INC .. COMMON    149123101      7444      86513 SHARES                 X                  1      84782      0    1731
CATERPILLAR INC .. COMMON    149123101      2475      28769 SHARES                          X         1      25974      0    2795
CBRE GROUP INC ... COMMON    12504L109       487      26473 SHARES                 X                  1      26473      0       0
CBRE GROUP INC ... COMMON    12504L109         7        388 SHARES                          X         1        388      0       0
CBS CORP  CL A ... COMMON    124857103         6        155 SHARES                 X                  1        155      0       0
CBS CORP CL B .... COMMON    124857202       943      25948 SHARES                 X                  1      25448      0     500
CBS CORP CL B .... COMMON    124857202        99       2711 SHARES                          X         1       2386      0     325
CELANESE CORP .... COMMON    150870103         1         28 SHARES                 X                  1         28      0       0
CELGENE CORP COM . COMMON    151020104      1125      14725 SHARES                 X                  1      14385      0     340
CELGENE CORP COM . COMMON    151020104       233       3050 SHARES                          X         1       2150      0     900
CENTURYLINK INC .. COMMON    156700106      3552      87923 SHARES                 X                  1      87923      0       0
CENTURYLINK INC .. COMMON    156700106       335       8294 SHARES                          X         1       7774      0     520
CERNER CORP ...... COMMON    156782104      4105      53055 SHARES                 X                  1      52471      0     584
CERNER CORP ...... COMMON    156782104       933      12054 SHARES                          X         1      10954      0    1100
CF INDUSTRIES
 HOLDINGS INC .... COMMON    125269100        28        125 SHARES                          X         1        125      0       0
CH ENERGY GROUP
 INC COM ......... COMMON    12541M102         7        100 SHARES                 X                  1        100      0       0
CH ENERGY GROUP
 INC COM ......... COMMON    12541M102       124       1900 SHARES                          X         1       1900      0       0
CH ROBINSON
 WORLDWIDE INC ... COMMON    12541W209       394       6725 SHARES                 X                  1       6725      0       0
CHESAPEAKE ENERGY
 CORP COM ........ COMMON    165167107        54       2875 SHARES                 X                  1       2875      0       0
CHESAPEAKE ENERGY
 CORP COM ........ COMMON    165167107        52       2775 SHARES                          X         1       2775      0       0
CHEVRON CORP ..... COMMON    166764100     32437     278283 SHARES                 X                  1     275278      0    3005
CHEVRON CORP ..... COMMON    166764100     20574     176506 SHARES                          X         1     165812      0   10694
CHIMERA
 INVESTMENT CORP . COMMON    16934Q109         3       1250 SHARES                 X                  1       1250      0       0
CHIPOTLE MEXICAN
 GRILL-CL A ...... COMMON    169656105      1373       4324 SHARES                 X                  1       4252      0      72
CHIPOTLE MEXICAN
 GRILL-CL A ...... COMMON    169656105        41        130 SHARES                          X         1        130      0       0
CHUBB CORP ....... COMMON    171232101       484       6345 SHARES                 X                  1       6345      0       0
CHUBB CORP ....... COMMON    171232101        53        700 SHARES                          X         1        700      0       0
CHURCH & DWIGHT
 CO INC .......... COMMON    171340102       448       8290 SHARES                 X                  1       8290      0       0
CHURCH & DWIGHT
 CO INC .......... COMMON    171340102         3         50 SHARES                          X         1         50      0       0
CIGNA CORP ....... COMMON    125509109       145       3080 SHARES                          X         1       3080      0       0
CINCINNATI
 FINANCIAL CORP
 COMMON .......... COMMON    172062101         7        184 SHARES                 X                  1        184      0       0
CINCINNATI
 FINANCIAL CORP
 COMMON .......... COMMON    172062101        21        550 SHARES                          X         1        550      0       0
CINEMARK HOLDINGS
 INC ............. COMMON    17243V102        17        750 SHARES                 X                  1        750      0       0
CIRRUS LOGIC INC . COMMON    172755100         8        200 SHARES                 X                  1        200      0       0
CISCO SYSTEMS INC  COMMON    17275R102      8327     436078 SHARES                 X                  1     427955      0    8123
CISCO SYSTEMS INC  COMMON    17275R102      3191     167132 SHARES                          X         1     154375      0   12757
CIT GROUP INC .... COMMON    125581801         2         40 SHARES                 X                  1         40      0       0
CITI TRENDS INC .. COMMON    17306X102         1         81 SHARES                 X                  1         81      0       0
CITIGROUP INC .... COMMON    172967424       163       4976 SHARES                 X                  1       4976      0       0
CITIGROUP INC .... COMMON    172967424        60       1837 SHARES                          X         1       1451      0     386
CITRIX SYSTEMS
 INC COM ......... COMMON    177376100      2977      38899 SHARES                 X                  1      38433      0     466
CITRIX SYSTEMS
 INC COM ......... COMMON    177376100        82       1066 SHARES                          X         1       1066      0       0
CLIFFS NATURAL
 RESOURCES INC ... COMMON    18683K101       750      19171 SHARES                 X                  1      19171      0       0
CLIFFS NATURAL
 RESOURCES INC ... COMMON    18683K101        65       1670 SHARES                          X         1       1270      0     400
CLOROX COMPANY ... COMMON    189054109       738      10253 SHARES                 X                  1      10253      0       0
CLOROX COMPANY ... COMMON    189054109       431       5979 SHARES                          X         1       3979      0    2000
CME GROUP INC .... COMMON    12572Q105        40        700 SHARES                 X                  1        700      0       0
CME GROUP INC .... COMMON    12572Q105         3         50 SHARES                          X         1         50      0       0
COACH INC COMMON . COMMON    189754104       907      16192 SHARES                 X                  1      14692      0    1500
COACH INC COMMON . COMMON    189754104       265       4737 SHARES                          X         1       4737      0       0
COCA COLA CO COM . COMMON    191216100     15336     404312 SHARES                 X                  1     398078      0    6234
COCA COLA CO COM . COMMON    191216100      7507     197924 SHARES                          X         1     190098      0    7826
COCA-COLA
 ENTERPRISES INC . COMMON    19122T109        31       1000 SHARES                 X                  1       1000      0       0
CODORUS VALLEY
 BANCORP INC ..... COMMON    192025104        21      14650 SHARES                 X                  1      14650      0       0
CODORUS VALLEY
 BANCORP INC ..... COMMON    192025104       104       7274 SHARES                          X         1       7274      0       0
COGNIZANT
 TECHNOLOGY
 SOLUTIONS CORP .. COMMON    192446102      2223      31802 SHARES                 X                  1      31358      0     444
COGNIZANT
 TECHNOLOGY
 SOLUTIONS CORP .. COMMON    192446102       285       4080 SHARES                          X         1       4080      0       0
COHU INCORPORATED  COMMON    192576106        11       1200 SHARES                 X                  1       1200      0       0


                                    4 of 30




                                                                                   
COLFAX
 CORPORATION ..... COMMON    194014106        44       1200 SHARES                 X                  1       1200      0       0
COLGATE PALMOLIVE
 CO COM .......... COMMON    194162103      5945      55443 SHARES                 X                  1      55443      0       0
COLGATE PALMOLIVE
 CO COM .......... COMMON    194162103      4244      39582 SHARES                          X         1      35532      0    4050
COLLECTORS
 UNIVERSE INC .... COMMON    19421R200         2        150 SHARES                 X                  1        150      0       0
COMCAST CORP NEW
 A ............... COMMON    20030N101      7392     206795 SHARES                 X                  1     206010      0     785
COMCAST CORP NEW
 A ............... COMMON    20030N101      1112      31100 SHARES                          X         1      25209      0    5891
COMCAST CORP-
 SPECIAL CL A .... COMMON    20030N200        85       2438 SHARES                 X                  1       2438      0       0
COMCAST CORP-
 SPECIAL CL A .... COMMON    20030N200       125       3597 SHARES                          X         1       3597      0       0
COMMONWEALTH REIT  COMMON    203233101         6        400 SHARES                          X         1        400      0       0
COMMUNITY BANK
 SYSTEM INC ...... COMMON    203607106        73       2600 SHARES                 X                  1        100      0    2500
COMMUNITY HEALTH
 SYSTEMS INC ..... COMMON    203668108         5        160 SHARES                 X                  1        160      0       0
COMPUTER TASK
 GROUP ........... COMMON    205477102       951      58750 SHARES                 X                  1      58750      0       0
COMVERSE
 TECHNOLOGY INC
 COM ............. COMMON    205862402         1        200 SHARES                 X                  1        200      0       0
CON-WAY INC ...... COMMON    205944101         1         41 SHARES                 X                  1         41      0       0
CONAGRA FOODS INC  COMMON    205887102        10        360 SHARES                 X                  1        360      0       0
CONAGRA FOODS INC  COMMON    205887102        37       1346 SHARES                          X         1       1346      0       0
CONOCOPHILLIPS ... COMMON    20825C104     10944     191399 SHARES                 X                  1     189468      0    1931
CONOCOPHILLIPS ... COMMON    20825C104      3405      59554 SHARES                          X         1      55155      0    4399
CONSOL ENERGY INC  COMMON    20854P109         3        100 SHARES                 X                  1        100      0       0
CONSOL ENERGY INC  COMMON    20854P109        25        850 SHARES                          X         1          0      0     850
CONSOLIDATED
 EDISON INC ...... COMMON    209115104       137       2288 SHARES                 X                  1       2288      0       0
CONSOLIDATED
 EDISON INC ...... COMMON    209115104        43        724 SHARES                          X         1        474      0     250
CONSTELLATION
 BRANDS INC CL A . COMMON    21036P108         9        270 SHARES                          X         1        270      0       0
CONTINENTAL
 RESOURCES INC ... COMMON    212015101        42        550 SHARES                          X         1        500      0      50
CORNING INC ...... COMMON    219350105      2467     187599 SHARES                 X                  1     185043      0    2556
CORNING INC ...... COMMON    219350105       387      29463 SHARES                          X         1      23063      0    6400
COSTCO WHOLESALE
 CORP COM ........ COMMON    22160K105       755       7541 SHARES                 X                  1       7541      0       0
COSTCO WHOLESALE
 CORP COM ........ COMMON    22160K105       274       2737 SHARES                          X         1       2737      0       0
COVANCE INC COM .. COMMON    222816100        47       1000 SHARES                          X         1       1000      0       0
CRANE CO ......... COMMON    224399105       280       7000 SHARES                 X                  1       7000      0       0
CREE RESEARCH INC
 COM ............. COMMON    225447101        19        750 SHARES                          X         1          0      0     750
CROWN CASTLE INTL
 CORP COM ........ COMMON    228227104       112       1744 SHARES                 X                  1       1744      0       0
CROWN CASTLE INTL
 CORP COM ........ COMMON    228227104         2         36 SHARES                          X         1         36      0       0
CROWN HOLDINGS
 INC ............. COMMON    228368106       511      13903 SHARES                 X                  1      13903      0       0
CSX CORP COMMON .. COMMON    126408103      2383     114842 SHARES                 X                  1     114842      0       0
CSX CORP COMMON .. COMMON    126408103      1344      64794 SHARES                          X         1      64194      0     600
CUMMINS INC COM .. COMMON    231021106      1389      15062 SHARES                 X                  1      14837      0     225
CUMMINS INC COM .. COMMON    231021106       167       1807 SHARES                          X         1       1507      0     300
CURTISS WRIGHT
 CORP ............ COMMON    231561101        18        552 SHARES                 X                  1        552      0       0
CVS/CAREMARK CORP  COMMON    126650100      2665      55029 SHARES                 X                  1      55029      0       0
CVS/CAREMARK CORP  COMMON    126650100      1106      22836 SHARES                          X         1      22252      0     584
CYTEC INDUSTRIES
 INC COM ......... COMMON    232820100         6        105 SHARES                 X                  1        105      0       0
D R HORTON INC ... COMMON    23331A109      1336      64771 SHARES                 X                  1      63771      0    1000
D R HORTON INC ... COMMON    23331A109       237      11500 SHARES                          X         1       8525      0    2975
DANAHER CORP COM . COMMON    235851102      1652      29948 SHARES                 X                  1      29948      0       0
DANAHER CORP COM . COMMON    235851102       277       5015 SHARES                          X         1       3875      0    1140
DARDEN
 RESTAURANTS INC
 COM ............. COMMON    237194105      1050      18836 SHARES                 X                  1      18836      0       0
DARDEN
 RESTAURANTS INC
 COM ............. COMMON    237194105       138       2470 SHARES                          X         1       2470      0       0
DAVITA INC COMMON  COMMON    23918K108        10        100 SHARES                          X         1          0      0     100
DEERE & CO COMMON  COMMON    244199105      2400      29105 SHARES                 X                  1      28505      0     600
DEERE & CO COMMON  COMMON    244199105       455       5520 SHARES                          X         1       4034      0    1486
DELL INC ......... COMMON    24702R101      1028     104313 SHARES                 X                  1     102013      0    2300
DELL INC ......... COMMON    24702R101        85       8583 SHARES                          X         1       6783      0    1800
DELTA AIR LINES
 INC ............. COMMON    247361702       423      46229 SHARES                 X                  1      46229      0       0
DENTSPLY
 INTERNATIONAL
 INC COM ......... COMMON    249030107       999      26199 SHARES                 X                  1      25999      0     200
DENTSPLY
 INTERNATIONAL
 INC COM ......... COMMON    249030107       156       4100 SHARES                          X         1       4100      0       0
DEVON ENERGY CORP  COMMON    25179M103        65       1070 SHARES                 X                  1       1070      0       0
DEVON ENERGY CORP  COMMON    25179M103       111       1836 SHARES                          X         1       1836      0       0
DIAMOND OFFSHORE
 DRILLING COM .... COMMON    25271C102        36        550 SHARES                 X                  1        550      0       0
DIEBOLD INC
 COMMON .......... COMMON    253651103         3         90 SHARES                 X                  1         90      0       0
DINEEQUITY INC ... COMMON    254423106       369       6596 SHARES                 X                  1       6596      0       0
DIRECTV .......... COMMON    25490A309       191       3636 SHARES                 X                  1       3636      0       0
DIRECTV .......... COMMON    25490A309       338       6446 SHARES                          X         1       6446      0       0
DISCOVER
 FINANCIAL
 SERVICES ........ COMMON    254709108        13        321 SHARES                          X         1        165      0     156
DISCOVERY
 COMMUNICATIONS
 INC ............. COMMON    25470F104        14        234 SHARES                 X                  1        234      0       0
DISCOVERY
 COMMUNICATIONS
 INC ............. COMMON    25470F104        41        696 SHARES                          X         1        696      0       0
DISCOVERY
 COMMUNICATIONS
 INC - C ......... COMMON    25470F302        13        234 SHARES                 X                  1        234      0       0


                                    5 of 30




                                                                                   
DISCOVERY
 COMMUNICATIONS
 INC - C ......... COMMON    25470F302        69       1239 SHARES                          X         1       1239      0       0
DISH NETWORK CORP
 CL A ............ COMMON    25470M109        13        428 SHARES                 X                  1        428      0       0
DISNEY WALT CO ... COMMON    254687106      5374     102796 SHARES                 X                  1     102496      0     300
DISNEY WALT CO ... COMMON    254687106      2366      45271 SHARES                          X         1      40021      0    5250
DNB FINANCIAL
 CORPORATION ..... COMMON    233237106        30       1878 SHARES                 X                  1       1878      0       0
DOLBY
 LABORATORIES INC
 CL A ............ COMMON    25659T107         0         27 SHARES                 X                  1         27      0       0
DOLLAR GENERAL
 CORPORATION ..... COMMON    256677105        47        904 SHARES                 X                  1        904      0       0
DOLLAR GENERAL
 CORPORATION ..... COMMON    256677105         2         48 SHARES                          X         1         48      0       0
DOLLAR TREE INC .. COMMON    256746108      1614      33432 SHARES                 X                  1      32982      0     450
DOLLAR TREE INC .. COMMON    256746108        65       1340 SHARES                          X         1       1340      0       0
DOMINION
 RESOURCES INC ... COMMON    25746U109      5976     112881 SHARES                 X                  1     111617      0    1264
DOMINION
 RESOURCES INC ... COMMON    25746U109      3150      59494 SHARES                          X         1      50394      0    9100
DOVER CORP COMMON  COMMON    260003108       639      10734 SHARES                 X                  1      10734      0       0
DOVER CORP COMMON  COMMON    260003108        23        394 SHARES                          X         1        394      0       0
DOW CHEMICAL CO .. COMMON    260543103      2726      94148 SHARES                 X                  1      94148      0       0
DOW CHEMICAL CO .. COMMON    260543103      1338      46216 SHARES                          X         1      46216      0       0
DR PEPPER SNAPPLE
 GROUP INC ....... COMMON    2.61E+113         1         26 SHARES                 X                  1         26      0       0
DTE ENERGY
 COMPANY COMMON .. COMMON    233331107       147       2450 SHARES                 X                  1       2450      0       0
DTE ENERGY
 COMPANY COMMON .. COMMON    233331107        60       1001 SHARES                          X         1       1001      0       0
DUKE ENERGY
 HOLDING CORP .... COMMON    26441C204      2428      37482 SHARES                 X                  1      36620      0     862
DUKE ENERGY
 HOLDING CORP .... COMMON    26441C204       741      11443 SHARES                          X         1      10389      0    1054
DUN & BRADSTREET
 CORP ............ COMMON    2.65E+104        21        266 SHARES                 X                  1        266      0       0
DUN & BRADSTREET
 CORP ............ COMMON    2.65E+104        27        343 SHARES                          X         1        343      0       0
E I DUPONT DE
 NEMOURS & CO
 COMMON .......... COMMON    263534109      9609     191150 SHARES                 X                  1     190585      0     565
E I DUPONT DE
 NEMOURS & CO
 COMMON .......... COMMON    263534109      6337     126062 SHARES                          X         1     118787      0    7275
EASTERN INSURANCE
 HOLDINGS ........ COMMON    276534104         8        500 SHARES                 X                  1        500      0       0
EASTMAN CHEMICAL
 COMPANY COM ..... COMMON    277432100         0          8 SHARES                 X                  1          8      0       0
EASTMAN CHEMICAL
 COMPANY COM ..... COMMON    277432100        57       1000 SHARES                          X         1          0      0    1000
EATON CORP COM ... COMMON    278058102       489      10336 SHARES                 X                  1      10336      0       0
EATON CORP COM ... COMMON    278058102        28        600 SHARES                          X         1        600      0       0
EATON VANCE CORP . COMMON    278265103      1937      66913 SHARES                 X                  1      65763      0    1150
EATON VANCE CORP . COMMON    278265103        91       3148 SHARES                          X         1       3148      0       0
EBAY INC COM ..... COMMON    278642103      2039      42164 SHARES                 X                  1      41514      0     650
EBAY INC COM ..... COMMON    278642103        51       1046 SHARES                          X         1       1046      0       0
ECOLAB INC COM ... COMMON    278865100      1146      17686 SHARES                 X                  1      17686      0       0
ECOLAB INC COM ... COMMON    278865100       130       2000 SHARES                          X         1       2000      0       0
EDISON
 INTERNATIONAL
 COM ............. COMMON    281020107        45        992 SHARES                 X                  1        992      0       0
EDISON
 INTERNATIONAL
 COM ............. COMMON    281020107        46       1000 SHARES                          X         1       1000      0       0
EDWARDS
 LIFESCIENCES
 CORP COM ........ COMMON    2.82E+112        48        450 SHARES                 X                  1        450      0       0
ELECTRONICS ARTS
 COM ............. COMMON    285512109        10        785 SHARES                 X                  1        785      0       0
ELECTRONICS ARTS
 COM ............. COMMON    285512109        16       1250 SHARES                          X         1         50      0    1200
EMC CORP MASS COM  COMMON    268648102      8695     318861 SHARES                 X                  1     315137      0    3724
EMC CORP MASS COM  COMMON    268648102      1276      46786 SHARES                          X         1      46336      0     450
EMERSON ELECTRIC
 CO .............. COMMON    291011104      4790      99251 SHARES                 X                  1      98451      0     800
EMERSON ELECTRIC
 CO .............. COMMON    291011104      4420      87440 SHARES                          X         1      75440      0   12000
ENERGIZER HLDGS
 INC COM ......... COMMON    29266R108      1768      23703 SHARES                 X                  1      23267      0     436
ENERGIZER HLDGS
 INC COM ......... COMMON    29266R108        80       1074 SHARES                          X         1       1074      0       0
ENTERGY CORP COM
 NEW ............. COMMON    29364G103       120       1729 SHARES                 X                  1       1729      0       0
ENTERGY CORP COM
 NEW ............. COMMON    29364G103       109       1575 SHARES                          X         1       1575      0       0
EOG RESOURCES INC
 COM ............. COMMON    26875P101       270       2408 SHARES                 X                  1       2408      0       0
EOG RESOURCES INC
 COM ............. COMMON    26875P101        76        681 SHARES                          X         1        681      0       0
EQT CORPORATION .. COMMON    26884L109        54        915 SHARES                 X                  1        915      0       0
EQT CORPORATION .. COMMON    26884L109        65       1100 SHARES                          X         1       1100      0       0
EQUIFAX INC COM .. COMMON    294429105        56       1200 SHARES                          X         1       1200      0       0
EQUINIX INC ...... COMMON    29444U502       153        759 SHARES                 X                  1        759      0       0
EQUINIX INC ...... COMMON    29444U502         4         22 SHARES                          X         1         22      0       0
EQUITY
 RESIDENTIAL REIT  COMMON    29476L107        26        444 SHARES                 X                  1        444      0       0
EQUITY
 RESIDENTIAL REIT  COMMON    29476L107       154       2675 SHARES                          X         1       2675      0       0
ERIE INDEMNITY CO
 CL A ............ COMMON    29530P102        80       1250 SHARES                 X                  1       1250      0       0
ESSEX PROPERTY
 TRUST INC (REIT)  COMMON    297178105         2         14 SHARES                 X                  1         14      0       0
ESTEE LAUDER
 COMPANIES INC ... COMMON    518439104      1092      17731 SHARES                 X                  1      17731      0       0
ESTEE LAUDER
 COMPANIES INC ... COMMON    518439104       142       2300 SHARES                          X         1       2300      0       0
EXELIS ........... COMMON    30162A108        27       2620 SHARES                          X         1       2620      0       0
EXELON CORP ...... COMMON    30161N101      2794      78526 SHARES                 X                  1      78526      0       0
EXELON CORP ...... COMMON    30161N101      1990      55939 SHARES                          X         1      53959      0    1980
EXPEDITORS INTL
 WASH INC COM .... COMMON    302130109       495      13608 SHARES                 X                  1      13608      0       0
EXPEDITORS INTL
 WASH INC COM .... COMMON    302130109         9        248 SHARES                          X         1         48      0     200


                                    6 of 30




                                                                                   
EXPRESS SCRIPTS
 HOLDING C ....... COMMON    30219G108     14700     234718 SHARES                 X                  1     232712      0    2006
EXPRESS SCRIPTS
 HOLDING C ....... COMMON    30219G108      5418      86505 SHARES                          X         1      78515      0    7990
EXXON MOBIL CORP . COMMON    30231G102      6069     663650 SHARES                 X                  1     657481      0    6169
EXXON MOBIL CORP . COMMON    30231G102     50421     551358 SHARES                          X         1     476759      0   74599
FACEBOOK INC-A ... COMMON    30303M102        37       1700 SHARES                 X                  1       1700      0       0
FACTSET RESEARCH
 SYSTEMS INC ..... COMMON    303075105       139       1444 SHARES                 X                  1       1444      0       0
FACTSET RESEARCH
 SYSTEMS INC ..... COMMON    303075105        48        500 SHARES                          X         1        500      0       0
FAMILY DOLLAR
 STORES .......... COMMON    307000109         3         39 SHARES                 X                  1         39      0       0
FAMILY DOLLAR
 STORES .......... COMMON    307000109         5         75 SHARES                          X         1         75      0       0
FASTENAL CO ...... COMMON    311900104      1256      29276 SHARES                 X                  1      28976      0     300
FASTENAL CO ...... COMMON    311900104       103       2392 SHARES                          X         1       2392      0       0
FEDERAL REALTY
 INV TR (REIT) ... COMMON    313747206       105       1000 SHARES                          X         1       1000      0       0
FEDEX CORP COM ... COMMON    31428X106      1562      18454 SHARES                 X                  1      17534      0     920
FEDEX CORP COM ... COMMON    31428X106       161       1901 SHARES                          X         1       1901      0       0
FIDELITY NATL
 INFORMATION
 SERVICES ........ COMMON    31620M106        51       1620 SHARES                 X                  1       1620      0       0
FIFTH THIRD
 BANCORP COM ..... COMMON    316773100       158      10219 SHARES                 X                  1      10219      0       0
FIRST NIAGARA
 FINANCIAL GROUP . COMMON    33582V108        14       1767 SHARES                 X                  1       1767      0       0
FIRST NIAGARA
 FINANCIAL GROUP . COMMON    33582V108         2        225 SHARES                          X         1        225      0       0
FIRST POTOMAC
 REALTY TRUST .... COMMON    33610F109        30       2320 SHARES                 X                  1       2320      0       0
FIRSTENERGY CORP . COMMON    337932107       160       3638 SHARES                 X                  1       3638      0       0
FIRSTENERGY CORP . COMMON    337932107       119       2709 SHARES                          X         1       2509      0     200
FISERV INC ....... COMMON    337738108         4         50 SHARES                 X                  1         50      0       0
FISERV INC ....... COMMON    337738108        15        200 SHARES                          X         1          0      0     200
FLIR SYSTEMS INC . COMMON    302445101         0         40 SHARES                 X                  1         40      0       0
FLOWERS FOODS INC
 COM ............. COMMON    343498101        15        750 SHARES                 X                  1        750      0       0
FLOWSERVE CORP
 COM ............. COMMON    34354P105         5         40 SHARES                 X                  1         40      0       0
FLUOR CORP ....... COMMON    343412102         4         73 SHARES                 X                  1         73      0       0
FLUOR CORP ....... COMMON    343412102       169       3000 SHARES                          X         1       3000      0       0
FMC CORPORATION
 COMMON NEW ...... COMMON    302491303        15        272 SHARES                 X                  1        272      0       0
FMC TECHNOLOGIES
 INC COM ......... COMMON    30249U101       213       4605 SHARES                 X                  1       4605      0       0
FNB CORP PA ...... COMMON    302520101        72       6463 SHARES                 X                  1       6463      0       0
FNB CORP PA ...... COMMON    302520101        55       4907 SHARES                          X         1          0      0    4907
FOOT LOCKER INC .. COMMON    344849104        69       1960 SHARES                 X                  1       1960      0       0
FOOT LOCKER INC .. COMMON    344849104         2         62 SHARES                          X         1         62      0       0
FORD MOTOR CO .... COMMON    345370860       885      89735 SHARES                 X                  1      89385      0     350
FORD MOTOR CO .... COMMON    345370860       242      24588 SHARES                          X         1      20533      0    4055
FOREST LABS INC
 COM ............. COMMON    345838106        56       1575 SHARES                 X                  1       1575      0       0
FOREST LABS INC
 COM ............. COMMON    345838106        58       1630 SHARES                          X         1       1630      0       0
FORESTAR GROUP
 INC ............. COMMON    346233109         0         42 SHARES                 X                  1         42      0       0
FORTUNE HOME
 BRANDS HOME &
 SEC INC ......... COMMON    34964C106        31       1160 SHARES                 X                  1       1160      0       0
FORTUNE HOME
 BRANDS HOME &
 SEC INC ......... COMMON    34964C106        56       2083 SHARES                          X         1       2083      0       0
FRANKLIN
 RESOURCES INC ... COMMON    354613101        45        360 SHARES                 X                  1        360      0       0
FREEPORT-MCMORAN
 COPPER & GOLD
 INC ............. COMMON    35671D857      4858     122728 SHARES                 X                  1     121473      0    1255
FREEPORT-MCMORAN
 COPPER & GOLD
 INC ............. COMMON    35671D857       676      17083 SHARES                          X         1      13233      0    3850
FRONTIER
 COMMUNICATIONS
 CORP ............ COMMON    35906A108        28       5656 SHARES                 X                  1       5656      0       0
FRONTIER
 COMMUNICATIONS
 CORP ............ COMMON    35906A108        45       9139 SHARES                          X         1       8407      0     732
FULTON FINANCIAL
 CORP ............ COMMON    360271100       770      78263 SHARES                 X                  1      78263      0       0
FULTON FINANCIAL
 CORP ............ COMMON    360271100       110      11132 SHARES                          X         1      10790      0     342
F5 NETWORKS INC .. COMMON    315616102       754       7210 SHARES                 X                  1       7210      0       0
F5 NETWORKS INC .. COMMON    315616102       114       1094 SHARES                          X         1       1094      0       0
GALLAGHER ARTHUR
 J. & CO ......... COMMON    363576109       597      16668 SHARES                 X                  1      16668      0       0
GALLAGHER ARTHUR
 J. & CO ......... COMMON    363576109        56       1552 SHARES                          X         1       1552      0       0
GAMESTOP CORP -
 CLASS A ......... COMMON    36467W109       311      14825 SHARES                 X                  1      14825      0       0
GANNET CO COMMON . COMMON    364730101        36       2000 SHARES                          X         1       2000      0       0
GAP INC COM ...... COMMON    364760108        54       1500 SHARES                 X                  1       1500      0       0
GAP INC COM ...... COMMON    364760108        89       2500 SHARES                          X         1       2500      0       0
GENERAL DYNAMICS
 CORP COM ........ COMMON    369550108      1673      25306 SHARES                 X                  1      25306      0       0
GENERAL DYNAMICS
 CORP COM ........ COMMON    369550108       605       9155 SHARES                          X         1       9155      0       0
GENERAL ELECTRIC
 COMPANY ......... COMMON    369604103     25353    1116390 SHARES                 X                  1    1099615      0   16775
GENERAL ELECTRIC
 COMPANY ......... COMMON    369604103     26254    1156042 SHARES                          X         1    1111019      0   45023
GENERAL MILLS INC  COMMON    370334104      3018      75732 SHARES                 X                  1      75732      0       0
GENERAL MILLS INC  COMMON    370334104      1618      40613 SHARES                          X         1      39713      0     900
GENERAL MOTORS CO  COMMON    37045V100         2         87 SHARES                 X                  1         87      0       0
GENUINE PARTS INC  COMMON    372460105       117       1925 SHARES                 X                  1       1925      0       0
GENUINE PARTS INC  COMMON    372460105        76       1250 SHARES                          X         1       1250      0       0
GERON CORP ....... COMMON    374163103         0        200 SHARES                 X                  1        200      0       0
GILEAD SCIENCES
 INC COM ......... COMMON    375558103      2036      30702 SHARES                 X                  1      30702      0       0


                                    7 of 30




                                                                                   
GILEAD SCIENCES
 INC COM ......... COMMON    375558103       638       9620 SHARES                          X         1       8831      0     789
GLACIER BANCORP
 INC NEW ......... COMMON    37637Q105       341      21847 SHARES                 X                  1      21847      0       0
GLACIER BANCORP
 INC NEW ......... COMMON    37637Q105        37       2369 SHARES                          X         1       2369      0       0
GLATFELTER ....... COMMON    377316104        27      15025 SHARES                 X                  1      15025      0       0
GLOBAL PAYMENTS
 INC ............. COMMON    37940X102       292       6979 SHARES                 X                  1       6979      0       0
GOLDMAN SACHS
 GROUP INC COM ... COMMON    38141G104      3303      29064 SHARES                 X                  1      28114      0     950
GOLDMAN SACHS
 GROUP INC COM ... COMMON    38141G104       417       3666 SHARES                          X         1       3332      0     334
GOOGLE INC CL A .. COMMON    38259P508      9667      12813 SHARES                 X                  1      12793      0      20
GOOGLE INC CL A .. COMMON    38259P508       924       1225 SHARES                          X         1        937      0     288
GOVERNMENT
 PROPERTIES
 INCOME TRUST .... COMMON    38376A103        23       1000 SHARES                 X                  1       1000      0       0
GOVERNMENT
 PROPERTIES
 INCOME TRUST .... COMMON    38376A103        70       3000 SHARES                          X         1       3000      0       0
GRACO INC COM .... COMMON    384109104       461       9178 SHARES                 X                  1       9178      0       0
GRACO INC COM .... COMMON    384109104         3         50 SHARES                          X         1         50      0       0
GREAT PLAINS
 ENERGY INC ...... COMMON    391164100        17        770 SHARES                 X                  1        770      0       0
GREEN DOT CORP CL
 A ............... COMMON    39304D102         0         18 SHARES                 X                  1         18      0       0
GREEN MOUNTAIN
 COFFEE ROASTERS
 INC ............. COMMON    393122106       234       9865 SHARES                 X                  1       9865      0       0
GUESS? INC ....... COMMON    401617105         3         94 SHARES                 X                  1         94      0       0
H & R BLOCK
 COMMON .......... COMMON     93671105       239      13825 SHARES                 X                  1      13825      0       0
H & R BLOCK
 COMMON .......... COMMON     93671105       138       7936 SHARES                          X         1       7936      0       0
HALLIBURTON HLDG
 CO COM .......... COMMON    406216101       222       6602 SHARES                 X                  1       6602      0       0
HALLIBURTON HLDG
 CO COM .......... COMMON    406216101       168       5000 SHARES                          X         1       5000      0       0
HANESBRANDS INC .. COMMON    410345102        13        400 SHARES                          X         1          0      0     400
HANGER INC ....... COMMON    41043F208        16        550 SHARES                 X                  1        550      0       0
HARLEY DAVIDSON
 COMMON .......... COMMON    412822108       229       5403 SHARES                 X                  1       5403      0       0
HARLEY DAVIDSON
 COMMON .......... COMMON    412822108       144       3400 SHARES                          X         1        200      0    3200
HARRIS CORP
 COMMON .......... COMMON    413875105       257       5025 SHARES                          X         1       5025      0       0
HARSCO CORP
 COMMON .......... COMMON    415864107      2496     121569 SHARES                 X                  1     121569      0       0
HARSCO CORP
 COMMON .......... COMMON    415864107       847      41261 SHARES                          X         1      41261      0       0
HARTFORD
 FINANCIAL SVCS
 GRP INC ......... COMMON    416515104        50       2584 SHARES                 X                  1       2584      0       0
HARTFORD
 FINANCIAL SVCS
 GRP INC ......... COMMON    416515104        31       1570 SHARES                          X         1       1480      0      90
HASBRO COMMON .... COMMON    418056107         2         53 SHARES                 X                  1         53      0       0
HATTERAS
 FINANCIAL CORP .. COMMON    41902R103       979      34733 SHARES                 X                  1      34111      0     622
HATTERAS
 FINANCIAL CORP .. COMMON    41902R103        44       1576 SHARES                          X         1       1576      0       0
HAWAIIAN ELECTRIC
 INDUSTRIES
 COMMON .......... COMMON    419870100        19        714 SHARES                 X                  1        714      0       0
HCP INCORPORATED
 REITS ........... COMMON    40414L109       105       2362 SHARES                 X                  1       2362      0       0
HCP INCORPORATED
 REITS ........... COMMON    40414L109         9        208 SHARES                          X         1        208      0       0
HEALTH CARE REIT
 INC ............. COMMON    42217K106        78       1345 SHARES                 X                  1       1345      0       0
HEALTH CARE REIT
 INC ............. COMMON    42217K106        11        190 SHARES                          X         1        190      0       0
HEALTH
 MANAGEMENT-CLASS
 A ............... COMMON    421933102         0         50 SHARES                          X         1         50      0       0
HEALTH NET INC
 COM ............. COMMON    42222G108         0         20 SHARES                 X                  1         20      0       0
HEICO CORPORATION
 - CLASS A ....... COMMON    422806208       248       8143 SHARES                 X                  1       8143      0       0
HEINZ H J CO COM . COMMON    423074103      1658      29627 SHARES                 X                  1      29627      0       0
HEINZ H J CO COM . COMMON    423074103       571      10219 SHARES                          X         1      10219      0       0
HENRY SCHEIN INC
 COM ............. COMMON    806407102        91       1149 SHARES                 X                  1       1149      0       0
HERCULES
 TECHNOLOGY
 GROWTH .......... COMMON    427096508         9        812 SHARES                 X                  1        812      0       0
HESS CORPORATION . COMMON    42809H107        12        217 SHARES                 X                  1        217      0       0
HESS CORPORATION . COMMON    42809H107        54       1000 SHARES                          X         1       1000      0       0
HEWLETT-PACKARD
 CO .............. COMMON    428236103       956      56063 SHARES                 X                  1      56063      0       0
HEWLETT-PACKARD
 CO .............. COMMON    428236103       544      31868 SHARES                          X         1      28668      0    3200
HILLSHIRE BRANDS
 COMPANY ......... COMMON    432589109         4        160 SHARES                 X                  1        160      0       0
HILLSHIRE BRANDS
 COMPANY ......... COMMON    432589109        29       1085 SHARES                          X         1        445      0     640
HOLOGIC INC COM .. COMMON    436440101        67       3400 SHARES                          X         1          0      0    3400
HOME DEPOT INC
 COM ............. COMMON    437076102      7122     117982 SHARES                 X                  1     116882      0    1100
HOME DEPOT INC
 COM ............. COMMON    437076102      4929      81653 SHARES                          X         1      77513      0    4140
HOME PROPERTIES
 INC (REIT) ...... COMMON    437306103       153       2500 SHARES                          X         1          0      0    2500
HONEYWELL INTL
 INC COM ......... COMMON    438516106       840      14056 SHARES                 X                  1      14056      0       0
HONEYWELL INTL
 INC COM ......... COMMON    438516106      1769      29599 SHARES                          X         1      29599      0       0
HOSPIRA INC ...... COMMON    441060100        71       2155 SHARES                 X                  1       2155      0       0
HOSPIRA INC ...... COMMON    441060100        30        924 SHARES                          X         1        924      0       0
HUGOTON ROYALTY
 TRUST ........... COMMON    444717102         0        150 SHARES                          X         1          0      0     150
HUNTINGTON
 INGALLS
 INDUSTRIES WI ... COMMON    446413106         1        249 SHARES                          X         1        249      0       0
IBM CORPORATION .. COMMON    459200101     44236     213240 SHARES                 X                  1     211220      0    2020
IBM CORPORATION .. COMMON    459200101     18979      91488 SHARES                          X         1      83092      0    8396
IDEXX LABS COMMON  COMMON    45168D104         0          9 SHARES                 X                  1          9      0       0
ILLINOIS TOOL WKS
 INC COM ......... COMMON    452308109       260       4380 SHARES                 X                  1       4380      0       0
ILLINOIS TOOL WKS
 INC COM ......... COMMON    452308109        71       1200 SHARES                          X         1       1200      0       0
ILLUMINA INC ..... COMMON    452327109         8        174 SHARES                 X                  1        174      0       0


                                    8 of 30




                                                                                   
IMMUNOGEN INC .... COMMON    45253H101         1        100 SHARES                          X         1          0      0     100
INGREDION INC .... COMMON    457187102        22        400 SHARES                          X         1        400      0       0
INTEGRYS ENERGY
 GROUP INC ....... COMMON    45822P105        18        350 SHARES                          X         1        350      0       0
INTEL CORP COM ... COMMON    458140100     11047     487629 SHARES                 X                  1     482653      0    4976
INTEL CORP COM ... COMMON    458140100     55274     243983 SHARES                          X         1     215993      0   27990
INTERCONTINENTAL
 EXCHANGE INC .... COMMON    45865V100       783       5868 SHARES                 X                  1       5868      0       0
INTERDIGITAL INC . COMMON    45867G101        19        500 SHARES                 X                  1        500      0       0
INTERNATIONAL
 PAPER CO COM .... COMMON    460146103       143       3952 SHARES                 X                  1       3952      0       0
INTERNATIONAL
 PAPER CO COM .... COMMON    460146103       146       4023 SHARES                          X         1       2087      0    1936
INTERNATIONAL
 SPEEDWAY CORP CL
 A ............... COMMON    460335201         1         50 SHARES                 X                  1         50      0       0
INTL FLAVORS &
 FRAGRANCES INC
 COM ............. COMMON    459506101         4        700 SHARES                 X                  1        700      0       0
INTUIT INC COM ... COMMON    461202103        53        900 SHARES                 X                  1        900      0       0
INTUITIVE
 SURGICAL INC .... COMMON    46120E602      5515      11127 SHARES                 X                  1      11007      0     120
INTUITIVE
 SURGICAL INC .... COMMON    46120E602       265        535 SHARES                          X         1        535      0       0
IPG PHOTONICS
 CORP ............ COMMON    44980X109       371       6482 SHARES                 X                  1       6482      0       0
IRON MTN INC PA
 COM ............. COMMON    462846106        11        329 SHARES                          X         1        329      0       0
ISIS
 PHARMACEUTICALS
 COM ............. COMMON    464330109         5        350 SHARES                 X                  1        350      0       0
ITT CORP ......... COMMON    450911201        26       1310 SHARES                          X         1       1310      0       0
ITT EDUCATIONAL
 SERVICES INC COM  COMMON    45068B109       141       4377 SHARES                 X                  1       4377      0       0
J B HUNT
 TRANSPORT
 SERVICES INC .... COMMON    445658107         5         95 SHARES                 X                  1         95      0       0
J C PENNEY
 COMPANY COMMON .. COMMON    708160106        47       1940 SHARES                 X                  1       1940      0       0
JACOBS
 ENGINEERING
 GROUP INC COM ... COMMON    469814107        95       2350 SHARES                 X                  1       2350      0       0
JACOBS
 ENGINEERING
 GROUP INC COM ... COMMON    469814107        52       1290 SHARES                          X         1       1290      0       0
JETBLUE AIRWAYS
 CORPORATION ..... COMMON    477143101         0        100 SHARES                 X                  1        100      0       0
JM SMUCKER CO .... COMMON    832696405        63        725 SHARES                 X                  1        725      0       0
JM SMUCKER CO .... COMMON    832696405       283       3278 SHARES                          X         1       2680      0     598
JOHNSON & JOHNSON  COMMON    478160104     23057     334601 SHARES                 X                  1     331101      0    3500
JOHNSON & JOHNSON  COMMON    478160104     19598     284398 SHARES                          X         1     271597      0   12801
JOHNSON CONTROLS
 INC COM ......... COMMON    478366107       364      13293 SHARES                 X                  1      13293      0       0
JOHNSON CONTROLS
 INC COM ......... COMMON    478366107       211       7700 SHARES                          X         1       7700      0       0
JOY GLOBAL
 INCORPORATED .... COMMON    481165108      1405      25067 SHARES                 X                  1      24567      0     500
JOY GLOBAL
 INCORPORATED .... COMMON    481165108       114       2035 SHARES                          X         1       1710      0     325
JPMORGAN CHASE &
 CO .............. COMMON    46625H100     11863     293063 SHARES                 X                  1     291113      0    1950
JPMORGAN CHASE &
 CO .............. COMMON    46625H100      4675     115492 SHARES                          X         1     105294      0   10198
JUNIPER NETWORKS
 INC ............. COMMON    48203R104        45       2605 SHARES                 X                  1       2605      0       0
JUNIPER NETWORKS
 INC ............. COMMON    48203R104         6        350 SHARES                          X         1        350      0       0
KELLOGG CO COM ... COMMON    487836108       850      16455 SHARES                 X                  1      16455      0       0
KELLOGG CO COM ... COMMON    487836108       642      12423 SHARES                          X         1      12323      0     100
KIMBERLY CLARK
 CORP ............ COMMON    494368103      2881      33586 SHARES                 X                  1      33586      0       0
KIMBERLY CLARK
 CORP ............ COMMON    494368103      2929      34144 SHARES                          X         1      30994      0    3150
KINDRED
 HEALTHCARE INC .. COMMON    494580103         3        225 SHARES                 X                  1        225      0       0
KKR & CO LP ...... COMMON    48248M102         5        320 SHARES                 X                  1        320      0       0
KOHLS CORP COM ... COMMON    500255104       109       2123 SHARES                 X                  1       2123      0       0
KOHLS CORP COM ... COMMON    500255104       109       2130 SHARES                          X         1       2130      0       0
KRAFT FOODS INC
 CL A ............ COMMON    50075N104     10123     244815 SHARES                 X                  1     244315      0     500
KRAFT FOODS INC
 CL A ............ COMMON    50075N104      3712      89771 SHARES                          X         1      86021      0    3750
KROGER COMPANY
 COMMON .......... COMMON    501044101       134       5686 SHARES                 X                  1       5686      0       0
KROGER COMPANY
 COMMON .......... COMMON    501044101        12        500 SHARES                          X         1          0      0     500
LABORATORY CRP OF
 AMER HLDGS COM
 NEW ............. COMMON    50540R409        18        200 SHARES                 X                  1        200      0       0
LAM RESEARCH CORP
 COMMON .......... COMMON    512807108       334      10523 SHARES                 X                  1      10523      0       0
LAS VEGAS SANDS
 CORP ............ COMMON    517834107         1         30 SHARES                 X                  1         30      0       0
LEGG MASON INC ... COMMON    524901105        15        588 SHARES                 X                  1        588      0       0
LEGG MASON INC ... COMMON    524901105         4        175 SHARES                          X         1        175      0       0
LEGGETT & PLATT
 INC ............. COMMON    524660107       447      17854 SHARES                 X                  1      17854      0       0
LEGGETT & PLATT
 INC ............. COMMON    524660107        23        922 SHARES                          X         1        922      0       0
LEXINGTON REALTY
 TRUST ........... COMMON    529043101        32       3315 SHARES                 X                  1       3315      0       0
LIBERTY GLOBAL
 INC - CL A ...... COMMON    530555101        13        213 SHARES                 X                  1        213      0       0
LIBERTY GLOBAL
 INC - CL A ...... COMMON    530555101        53        877 SHARES                          X         1        877      0       0
LIBERTY GLOBAL
 INC CL C ........ COMMON    530555309        12        216 SHARES                 X                  1        216      0       0
LIBERTY GLOBAL
 INC CL C ........ COMMON    530555309        80       1420 SHARES                          X         1       1420      0       0
LIBERTY GLOBAL
 INC-CL B ........ COMMON    530555200        33        543 SHARES                          X         1        543      0       0
LIBERTY
 INTERACTIV
 CORPORATION ..... COMMON    53071M104         9        500 SHARES                 X                  1        500      0       0
LIBERTY
 INTERACTIV
 CORPORATION ..... COMMON    53071M104        73       3967 SHARES                          X         1       3967      0       0
LIBERTY
 INTERACTIVE
 CORPORATION ..... COMMON    53071M203        50       2714 SHARES                          X         1       2714      0       0
LIBERTY MEDIA
 CORP ............ COMMON    530322205        56        543 SHARES                          X         1        543      0       0
LIBERTY MEDIA
 CORP - LIBERTY A  COMMON    530322106        43        415 SHARES                 X                  1        415      0       0
LIBERTY MEDIA
 CORP - LIBERTY A  COMMON    530322106       108       1037 SHARES                          X         1       1037      0       0


                                    9 of 30




                                                                                   
LIBERTY VENTUR-A . COMMON    53071M880         1         25 SHARES                 X                  1         25      0       0
LIBERTY VENTUR-A . COMMON    53071M880         9        198 SHARES                          X         1        198      0       0
LIBERTY VENTUR-B . COMMON    53071M872         7        135 SHARES                          X         1        135      0       0
LIFE TECHNOLOGIES
 CORP ............ COMMON    53217V109       285       5830 SHARES                 X                  1       5830      0       0
LILLY ELI &
 COMPANY COMMON .. COMMON    532457108      4202      88640 SHARES                 X                  1      88440      0     200
LILLY ELI &
 COMPANY COMMON .. COMMON    532457108      3796      80087 SHARES                          X         1      78644      0    1443
LIMITED BRANDS,
 INC COM ......... COMMON    532716107      1298      26361 SHARES                 X                  1      25911      0     450
LIMITED BRANDS,
 INC COM ......... COMMON    532716107        76       1544 SHARES                          X         1        294      0    1250
LINCOLN NATIONAL
 CORP COMMON ..... COMMON    534187109        27       1100 SHARES                 X                  1       1100      0       0
LINEAR TECHNOLOGY
 CORP COM ........ COMMON    535678106        19        600 SHARES                 X                  1        600      0       0
LINEAR TECHNOLOGY
 CORP COM ........ COMMON    535678106         3        110 SHARES                          X         1          0      0     110
LINKEDIN CORP A .. COMMON    53578A108        12        100 SHARES                 X                  1        100      0       0
LKQ CORPORATION .. COMMON    501889208       516      27912 SHARES                 X                  1      27912      0       0
LOCKHEED MARTIN
 CORPORATION COM . COMMON    539830109      3074      32918 SHARES                 X                  1      32918      0       0
LOCKHEED MARTIN
 CORPORATION COM . COMMON    539830109       922       9875 SHARES                          X         1       9875      0       0
LOEWS CORP ....... COMMON    540424108       163       3950 SHARES                 X                  1       3950      0       0
LOEWS CORP ....... COMMON    540424108        17        405 SHARES                          X         1        405      0       0
LORILLARD INC .... COMMON    544147101        82        702 SHARES                 X                  1        702      0       0
LORILLARD INC .... COMMON    544147101         7         60 SHARES                          X         1         60      0       0
LOWES COMPANIES
 INC ............. COMMON    548661107      2609      86274 SHARES                 X                  1      85798      0     476
LOWES COMPANIES
 INC ............. COMMON    548661107       330      10926 SHARES                          X         1       9826      0    1100
LSI CORPORATION .. COMMON    502161102         0         14 SHARES                          X         1         14      0       0
LUFKIN INDUSTRIES
 INC ............. COMMON    549764108       234       4352 SHARES                 X                  1       4352      0       0
M & T BANK CORP .. COMMON    55261F104    126949    1334059 SHARES                 X                  1       7879      0 1326180
M & T BANK CORP .. COMMON    55261F104     12472     131064 SHARES                          X         1       2070      0  128994
MACY'S INC ....... COMMON    55616P104       185       4908 SHARES                 X                  1       4908      0       0
MACY'S INC ....... COMMON    55616P104         3         72 SHARES                          X         1         72      0       0
MAGNUM HUNTER
 RESOURCES CORP .. COMMON    55973B102         0        100 SHARES                          X         1          0      0     100
MAKO SURGICAL
 CORP ............ COMMON    560879108         5        300 SHARES                          X         1        300      0       0
MANITOWOC CO INC
 COM ............. COMMON    563571108        10        750 SHARES                 X                  1        750      0       0
MANPOWER INC WIS . COMMON    56418H100        55       1500 SHARES                 X                  1       1500      0       0
MAP
 PHARMACEUTICALS
 INC ............. COMMON    56509R108       254      16332 SHARES                 X                  1      16332      0       0
MARATHON OIL CORP  COMMON    565849106       139       4690 SHARES                 X                  1       4690      0       0
MARATHON OIL CORP  COMMON    565849106        32       1076 SHARES                          X         1       1076      0       0
MARATHON
 PETROLEUM
 CORPORATION ..... COMMON    56585A102       175       3204 SHARES                 X                  1       3204      0       0
MARATHON
 PETROLEUM
 CORPORATION ..... COMMON    56585A102        29        537 SHARES                          X         1        537      0       0
MARRIOTT INTL INC
 CL A ............ COMMON    571903202        20        500 SHARES                 X                  1        500      0       0
MARSH & MCLENNAN
 COS INC COM ..... COMMON    571748102        61       1800 SHARES                          X         1       1800      0       0
MASCO CORP ....... COMMON    574599106         3        217 SHARES                 X                  1        217      0       0
MASCO CORP ....... COMMON    574599106        15       1000 SHARES                          X         1       1000      0       0
MASTERCARD INC CL
 A ............... COMMON    57636Q104       457       1012 SHARES                 X                  1       1012      0       0
MASTERCARD INC CL
 A ............... COMMON    57636Q104        38         84 SHARES                          X         1         84      0       0
MATSON INC ....... COMMON    57686G105       625      29891 SHARES                 X                  1      29257      0     634
MATSON INC ....... COMMON    57686G105        29       1392 SHARES                          X         1       1392      0       0
MATTEL COMMON .... COMMON    577081102       611      17232 SHARES                 X                  1      17232      0       0
MATTEL COMMON .... COMMON    577081102        54       1530 SHARES                          X         1       1530      0       0
MAXIM INTEGRATED
 PRODS INC COM ... COMMON    57772K101       317      11920 SHARES                 X                  1      11920      0       0
MAXIM INTEGRATED
 PRODS INC COM ... COMMON    57772K101        26        978 SHARES                          X         1        978      0       0
MCCORMICK & CO-
 NON VTG SHS ..... COMMON    579780206      3122      50325 SHARES                 X                  1      50325      0       0
MCCORMICK & CO-
 NON VTG SHS ..... COMMON    579780206       181       2925 SHARES                          X         1       2925      0       0
MCDERMOTT INTL
 INC ............. COMMON    580037109        25       2050 SHARES                 X                  1       2050      0       0
MCDERMOTT INTL
 INC ............. COMMON    580037109         7        550 SHARES                          X         1        550      0       0
MCDONALD'S
 CORPORATION ..... COMMON    580135101      7700      83924 SHARES                 X                  1      83849      0      75
MCDONALD'S
 CORPORATION ..... COMMON    580135101      4027      43887 SHARES                          X         1      41822      0    2065
MCGRAW HILL
 COMPANIES INC
COMMON ........... COMMON    580645109       264       4830 SHARES                 X                  1       4830      0       0
MCGRAW HILL
 COMPANIES INC
 COMMON .......... COMMON    580645109       970      17770 SHARES                          X         1      14770      0    3000
MCKESSON
 CORPORATION COM . COMMON    58155Q103         0         11 SHARES                 X                  1         11      0       0
MCKESSON
 CORPORATION COM . COMMON    58155Q103        34        400 SHARES                          X         1        400      0       0
MCMORAN
 EXPLORATION CO .. COMMON    582411104       118      10000 SHARES                          X         1      10000      0       0
MDC HOLDINGS INC . COMMON    552676108       307       7962 SHARES                 X                  1       7962      0       0
MDC HOLDINGS INC . COMMON    552676108        30        804 SHARES                          X         1        804      0       0
MEAD JOHNSON
 NUTRITION CO .... COMMON    582839106       982      13406 SHARES                 X                  1      13178      0     228
MEAD JOHNSON
 NUTRITION CO .... COMMON    582839106        32        438 SHARES                          X         1        438      0       0
MEADWESTVACO CORP
 COMMON .......... COMMON    583334107      1324      43280 SHARES                 X                  1      42562      0     718
MEADWESTVACO CORP
 COMMON .......... COMMON    583334107        60       1970 SHARES                          X         1       1970      0       0
MEDIDATA
 SOLUTIONS INC ... COMMON    58471A105         8        200 SHARES                 X                  1        200      0       0
MEDTRONIC INC .... COMMON    585055106       785      18213 SHARES                 X                  1      18013      0     200


                                    10 of 30




                                                                                   
MEDTRONIC INC .... COMMON    585055106      1059      24550 SHARES                          X         1      21300      0    3250
MERCK & CO INC ... COMMON    58933Y105     14338     317944 SHARES                 X                  1     316629      0    1315
MERCK & CO INC ... COMMON    58933Y105      7181     159239 SHARES                          X         1     144383      0   14856
METLIFE INC ...... COMMON    59156R108      4631     134403 SHARES                 X                  1     133903      0     500
METLIFE INC ...... COMMON    59156R108       373      10827 SHARES                          X         1       7650      0    3177
METROPCS
 COMMUNICATIONS
 INC. ............ COMMON    591708102         2        143 SHARES                 X                  1        143      0       0
MGM RESORTS
 INTERNATIONAL ... COMMON    552953101         1        135 SHARES                 X                  1        135      0       0
MICROCHIP
 TECHNOLOGY INC
 COM ............. COMMON    595017104       437      13342 SHARES                 X                  1      13342      0       0
MICROCHIP
 TECHNOLOGY INC
 COM ............. COMMON    595017104       162       4962 SHARES                          X         1       4962      0       0
MICRON TECHNOLOGY
 INC COM ......... COMMON    595112103         0         95 SHARES                 X                  1         95      0       0
MICROSOFT CORP ... COMMON    594918104     16906     568089 SHARES                 X                  1     561162      0    6927
MICROSOFT CORP ... COMMON    594918104      7118     239203 SHARES                          X         1     212253      0   26950
MID PENN BANCORP
 INCORPORATED .... COMMON    59540G107        10       1000 SHARES                 X                  1       1000      0       0
MKS INSTRUMENTS
 INC ............. COMMON    55306N104       274      10745 SHARES                 X                  1      10745      0       0
MOLSON COORS
 BREWING COMPANY . COMMON    60871R209         3         76 SHARES                 X                  1         76      0       0
MOLSON COORS
 BREWING COMPANY . COMMON    60871R209        27        600 SHARES                          X         1        600      0       0
MONSANTO COMPANY . COMMON    61166W101      2771      30442 SHARES                 X                  1      30024      0     418
MONSANTO COMPANY . COMMON    61166W101      1026      11273 SHARES                          X         1      11073      0     200
MONSTER BEVERAGE
 CORP ............ COMMON    611740101        15        274 SHARES                 X                  1        274      0       0
MOODYS CORP ...... COMMON    615369105        48       1085 SHARES                 X                  1       1085      0       0
MOODYS CORP ...... COMMON    615369105         8        170 SHARES                          X         1        170      0       0
MOOG INC CL A .... COMMON    615394202       114        300 SHARES                 X                  1        300      0       0
MORGAN STANLEY
 GROUP INC ....... COMMON    617446448       289      17238 SHARES                 X                  1      17238      0       0
MORGAN STANLEY
 GROUP INC ....... COMMON    617446448       106       6350 SHARES                          X         1       4055      0    2295
MOSAIC CO THE .... COMMON    61945C103       575       9975 SHARES                 X                  1       9975      0       0
MOSAIC CO THE .... COMMON    61945C103        67       1167 SHARES                          X         1        667      0     500
MOTOROLA
 SOLUTIONS INC ... COMMON    620076307        65       1288 SHARES                 X                  1       1288      0       0
MOTOROLA
 SOLUTIONS INC ... COMMON    620076307       105       2085 SHARES                          X         1       2085      0       0
MURPHY OIL CORP
 COMMON .......... COMMON    626717102        35        650 SHARES                 X                  1        650      0       0
MURPHY OIL CORP
 COMMON .......... COMMON    626717102        81       1500 SHARES                          X         1       1500      0       0
MV OIL TRUST ..... COMMON    553859109         7        200 SHARES                          X         1        200      0       0
MYLAN INC ........ COMMON    628530107        13        533 SHARES                 X                  1        533      0       0
MYRIAD GENETICS
 INC ............. COMMON    62855J104         8        300 SHARES                 X                  1        300      0       0
NATIONAL FUEL GAS
 CO COMMON ....... COMMON    636180101         9       1700 SHARES                          X         1       1700      0       0
NATIONAL
 INSTRUMENTS CORP
 COM ............. COMMON    636518102       248       9875 SHARES                 X                  1       9875      0       0
NATIONAL OILWELL
 VARCO INC ....... COMMON    637071101      4847      60499 SHARES                 X                  1      59924      0     575
NATIONAL OILWELL
 VARCO INC ....... COMMON    637071101       401       5009 SHARES                          X         1       3185      0    1824
NATIONAL PENN
 BANCSHARES INC .. COMMON    637138108        14       1500 SHARES                 X                  1       1500      0       0
NATIONAL RETAIL
 PROPERTIES INC .. COMMON    637417106        84       2750 SHARES                 X                  1       2750      0       0
NAVISTAR
 INTERNATIONAL
 CORP ............ COMMON    6.39E+112         2        100 SHARES                 X                  1        100      0       0
NETAPP APPLIANCE
 INC ............. COMMON    64110D104        12        376 SHARES                 X                  1        376      0       0
NEUROCRINE
 BIOSCIENCES INC . COMMON    64125C109         4        500 SHARES                          X         1          0      0     500
NEW YORK
 COMMUNITY
 BANCORP INC ..... COMMON    649445103       665      46994 SHARES                 X                  1      46994      0       0
NEW YORK
 COMMUNITY
 BANCORP INC ..... COMMON    649445103       109       7731 SHARES                          X         1       7731      0       0
NEWELL RUBBERMAID
 INC COM ......... COMMON    651229106         7        350 SHARES                 X                  1        350      0       0
NEWELL RUBBERMAID
 INC COM ......... COMMON    651229106        57       3000 SHARES                          X         1       3000      0       0
NEWFIELD
 EXPLORATION CO
 COMMON .......... COMMON    651290108         2         59 SHARES                 X                  1         59      0       0
NEWFIELD
 EXPLORATION CO
 COMMON .......... COMMON    651290108         2         65 SHARES                          X         1         65      0       0
NEWMARKET
 CORPORATION ..... COMMON    651587107      3214      13039 SHARES                 X                  1      12811      0     228
NEWMARKET
 CORPORATION ..... COMMON    651587107      1933       7842 SHARES                          X         1       7842      0       0
NEWMONT MINING
 CORP COMMON ..... COMMON    651639106        29        526 SHARES                 X                  1        526      0       0
NEWMONT MINING
 CORP COMMON ..... COMMON    651639106        50        900 SHARES                          X         1          0      0     900
NEWS CORP INC-A .. COMMON    6.52E+108        21        854 SHARES                 X                  1        854      0       0
NEWS CORP INC-A .. COMMON    6.52E+108        26       1073 SHARES                          X         1       1073      0       0
NEXTERA ENERGY
 INC ............. COMMON    65339F101      4538      64519 SHARES                 X                  1      64444      0      75
NEXTERA ENERGY
 INC ............. COMMON    65339F101      3558      50595 SHARES                          X         1      44045      0    6550
NIKE INC CL B .... COMMON    654106103      1687      17779 SHARES                 X                  1      17779      0       0
NIKE INC CL B .... COMMON    654106103      2227       2346 SHARES                          X         1       2051      0     295
NISOURCE INC ..... COMMON    65473P105       152       5972 SHARES                 X                  1       5972      0       0
NISOURCE INC ..... COMMON    65473P105       103       4061 SHARES                          X         1       4061      0       0
NOBLE ENERGY INC . COMMON    655044105       506       5459 SHARES                 X                  1       5459      0       0
NORDSTROM INC COM  COMMON    655664100       709      12857 SHARES                 X                  1      12857      0       0
NORFOLK SOUTHERN
 CORP ............ COMMON    655844108      1299      20410 SHARES                 X                  1      20210      0     200
NORFOLK SOUTHERN
 CORP ............ COMMON    655844108       362       5690 SHARES                          X         1       2990      0    2700
NORTHEAST
 UTILITIES COM ... COMMON    664397106        18        461 SHARES                 X                  1        461      0       0
NORTHERN TRUST
 CORP COM ........ COMMON    665859104         4         79 SHARES                 X                  1         79      0       0
NORTHROP GRUMMAN
 CORP ............ COMMON    666807102       136       2052 SHARES                 X                  1       2052      0       0


                                    11 of 30




                                                                                   
NORTHROP GRUMMAN
 CORP ............ COMMON    666807102       126       1898 SHARES                          X         1       1898      0       0
NORTHWEST
 BANCSHARES INC .. COMMON    667340103        54       4417 SHARES                 X                  1       4417      0       0
NOVAVAX INC ...... COMMON    670002104        21      10000 SHARES                 X                  1      10000      0       0
NUANCE
 COMMUNICATIONS
 INC ............. COMMON    67020Y100        15        612 SHARES                 X                  1        612      0       0
NUCOR CORP COMMON  COMMON    670346105        45       1178 SHARES                 X                  1       1178      0       0
NUCOR CORP COMMON  COMMON    670346105       442      11550 SHARES                          X         1      11550      0       0
NV ENERGY INC .... COMMON    67073Y106         1         80 SHARES                 X                  1         80      0       0
NV ENERGY INC .... COMMON    67073Y106        17        920 SHARES                          X         1        920      0       0
NVE CORPORATION .. COMMON    629445206         6        100 SHARES                 X                  1        100      0       0
NVIDIA CORP COM .. COMMON    67066G104        25       1881 SHARES                 X                  1       1881      0       0
NVR INC .......... COMMON    62944T105         0          1 SHARES                 X                  1          1      0       0
O'REILLY
 AUTOMOTIVE INC .. COMMON    67103H107        10        122 SHARES                 X                  1        122      0       0
OCCIDENTAL
 PETROLEUM CORP
 COMMON .......... COMMON    674599105       591       6870 SHARES                 X                  1       6870      0       0
OCCIDENTAL
 PETROLEUM CORP
 COMMON .......... COMMON    674599105       406       4721 SHARES                          X         1       4721      0       0
ODYSSEY MARINE ... COMMON    676118102        16       5000 SHARES                 X                  1       5000      0       0
OGE ENERGY CORP
 COM ............. COMMON    670837103        26        475 SHARES                 X                  1        475      0       0
OGE ENERGY CORP
 COM ............. COMMON    670837103        22        400 SHARES                          X         1        400      0       0
OLD LINE
 BANCSHARES INC .. COMMON    67984M100        14       1250 SHARES                 X                  1       1250      0       0
OLD NATIONAL
 BANCORP COM ..... COMMON    680033107        27       2000 SHARES                 X                  1       2000      0       0
OLD REPUBLIC INTL
 CORP COM ........ COMMON    680223104       408      43893 SHARES                 X                  1      43893      0       0
OLD REPUBLIC INTL
 CORP COM ........ COMMON    680223104        43       4576 SHARES                          X         1       4576      0       0
OLIN CORP COM .... COMMON    680665205        16        750 SHARES                 X                  1        750      0       0
OMNICOM GROUP INC
 COM ............. COMMON    681919106       307       5963 SHARES                 X                  1       5963      0       0
OMNICOM GROUP INC
 COM ............. COMMON    681919106        49        950 SHARES                          X         1        950      0       0
ONEOK INC ........ COMMON    682680103        68       1400 SHARES                 X                  1       1400      0       0
ORACLE
 CORPORATION COM . COMMON    68389X105      5714     181630 SHARES                 X                  1     179740      0    1890
ORACLE
 CORPORATION COM . COMMON    68389X105       816      25937 SHARES                          X         1      21342      0    4595
OSHKOSH
 CORPORATION ..... COMMON    688239201         5        200 SHARES                 X                  1        200      0       0
OXIGENE INC ...... COMMON    691828305         0        250 SHARES                 X                  1        250      0       0
P G & E CORP ..... COMMON    69331C108       134       3135 SHARES                 X                  1       3135      0       0
P G & E CORP ..... COMMON    69331C108       157       3688 SHARES                          X         1       2188      0    1500
PACCAR INC ....... COMMON    693718108        10        250 SHARES                 X                  1        250      0       0
PACKAGING CORP OF
 AMER COM ........ COMMON    695156109       229       6301 SHARES                 X                  1       6301      0       0
PACKAGING CORP OF
 AMER COM ........ COMMON    695156109        24        663 SHARES                          X         1        663      0       0
PALL CORP COM .... COMMON    696429307       265       4180 SHARES                 X                  1       4180      0       0
PANERA BREAD CO
 CL-A ............ COMMON    69840W108       393       2302 SHARES                 X                  1       2302      0       0
PARKER HANNIFIN
 CORP ............ COMMON    701094104       264       3158 SHARES                 X                  1       3158      0       0
PARKER HANNIFIN
 CORP ............ COMMON    701094104       102       1216 SHARES                          X         1       1216      0       0
PATTERSON-UTI
 ENERGY INC ...... COMMON    703481101         3        210 SHARES                 X                  1        210      0       0
PAYCHEX INC COM .. COMMON    704326107      1651      49602 SHARES                 X                  1      49602      0       0
PAYCHEX INC COM .. COMMON    704326107       187       5610 SHARES                          X         1       5610      0       0
PEABODY ENERGY
 CORP ............ COMMON    704549104       396      17762 SHARES                 X                  1      17762      0       0
PEABODY ENERGY
 CORP ............ COMMON    704549104        73       3260 SHARES                          X         1       3260      0       0
PEETS COFFEE &
 TEA INC COM ..... COMMON    705560100        15        200 SHARES                 X                  1        200      0       0
PENN NATL GAMING
 INC ............. COMMON    707569109        43       1000 SHARES                 X                  1       1000      0       0
PENNS WOODS
 BANCORP INC. .... COMMON    708430103        44       1000 SHARES                 X                  1       1000      0       0
PENTAIR INC COM .. COMMON    709631105       177       4000 SHARES                          X         1       4000      0       0
PEOPLES UNITED
 FINANCIAL INC ... COMMON    712704105       523      43141 SHARES                 X                  1      43141      0       0
PEOPLES UNITED
 FINANCIAL INC ... COMMON    712704105        51       4186 SHARES                          X         1       4186      0       0
PEPCO HOLDINGS
 INC ............. COMMON    713291102       279      14773 SHARES                 X                  1      14010      0     763
PEPCO HOLDINGS
 INC ............. COMMON    713291102       168       8912 SHARES                          X         1       6629      0    2283
PEPSICO INC COM .. COMMON    713448108     20838     294440 SHARES                 X                  1     292585      0    1855
PEPSICO INC COM .. COMMON    713448108     10819     152877 SHARES                          X         1     141392      0   11485
PERKINELMER INC
 COM ............. COMMON    714046109       111       3750 SHARES                          X         1       3750      0       0
PERRIGO COMPANY .. COMMON    714290103      2766      23808 SHARES                 X                  1      23538      0     270
PERRIGO COMPANY .. COMMON    714290103        84        720 SHARES                          X         1        720      0       0
PETSMART INC
 COMMON .......... COMMON    716768106       181       2625 SHARES                 X                  1       2625      0       0
PETSMART INC
 COMMON .......... COMMON    716768106        38        550 SHARES                          X         1        550      0       0
PFD SUNPOWER CORP
 "ONE" ........... COMMON    867652406         0        200 SHARES                 X                  1        200      0       0
PFIZER INC ....... COMMON    717081103     16670     670863 SHARES                 X                  1     668996      0    1867
PFIZER INC ....... COMMON    717081103     10383     417820 SHARES                          X         1     373445      0   44375
PHILIP MORRIS
 INTL INC ........ COMMON    718172109     22313     248085 SHARES                 X                  1     246169      0    1916
PHILIP MORRIS
 INTL INC ........ COMMON    718172109      9049     100616 SHARES                          X         1      94431      0    6185
PHILLIPS 66 ...... COMMON    718546104      4129      89045 SHARES                 X                  1      88614      0     431
PHILLIPS 66 ...... COMMON    718546104      1150      24812 SHARES                          X         1      22107      0    2705
PHOENIX COMPANIES
 INC ............. COMMON    71902E604         1         53 SHARES                 X                  1         53      0       0
PICO HOLDINGS INC
 COM ............. COMMON    693366205         1         57 SHARES                 X                  1         57      0       0


                                    12 of 30




                                                                                   
PIEDMONT NAT GAS
 INC ............. COMMON    720186105        58       1780 SHARES                 X                  1       1780      0       0
PIEDMONT NAT GAS
 INC ............. COMMON    720186105        13        400 SHARES                          X         1        400      0       0
PIEDMONT OFFICE
 REALTY TRUST-A .. COMMON    720190206       187      10792 SHARES                 X                  1      10792      0       0
PINNACLE WEST
 CAPITAL CORP .... COMMON    723484101         5        100 SHARES                          X         1        100      0       0
PITNEY BOWES INC
 COM ............. COMMON    724479100         2        118 SHARES                 X                  1        118      0       0
PLUM CREEK TIMBER
 CO INC .......... COMMON    729251108       146       3340 SHARES                 X                  1       3340      0       0
PNC FINANCIAL
 SERVICES GROUP
 INC ............. COMMON    693475105      7146     113247 SHARES                 X                  1     111947      0    1300
PNC FINANCIAL
 SERVICES GROUP
 INC ............. COMMON    693475105      1389      22008 SHARES                          X         1      17678      0    4330
POLYPORE
 INTERNATIONAL
 INC ............. COMMON    73179V103        22        630 SHARES                 X                  1        630      0       0
POLYPORE
 INTERNATIONAL
 INC ............. COMMON    73179V103         6        166 SHARES                          X         1        166      0       0
POST HOLDINGS INC  COMMON    737446104         1         36 SHARES                 X                  1         36      0       0
POST HOLDINGS INC  COMMON    737446104         0         22 SHARES                          X         1         22      0       0
POWERSHARES
 GLOBAL WATER
 PORTFOLIO ....... COMMON    73935X575        25       1300 SHARES                 X                  1       1300      0       0
PPG INDUSTRIES
 COMMON .......... COMMON    693506107      1249      10879 SHARES                 X                  1      10079      0     800
PPG INDUSTRIES
 COMMON .......... COMMON    693506107       881       7671 SHARES                          X         1       6771      0     900
PPL CORP COM ..... COMMON    69351T106      5193     178764 SHARES                 X                  1     177464      0    1300
PPL CORP COM ..... COMMON    69351T106       973      33479 SHARES                          X         1      28054      0    5425
PRAXAIR INC COM .. COMMON    74005P104       264       2543 SHARES                 X                  1       2543      0       0
PRAXAIR INC COM .. COMMON    74005P104       308       2971 SHARES                          X         1       2771      0     200
PRECISION
 CASTPARTS CORP
 COM ............. COMMON    740189105       944       5777 SHARES                 X                  1       5777      0       0
PRECISION
 CASTPARTS CORP
 COM ............. COMMON    740189105         6         40 SHARES                          X         1         40      0       0
PRICELINE.COM
 INCORPORATED .... COMMON    741503403      1585       2561 SHARES                 X                  1       2525      0      36
PRICELINE.COM
 INCORPORATED .... COMMON    741503403        61         98 SHARES                          X         1         98      0       0
PRINCIPAL
 FINANCIAL GROUP
 COMMON .......... COMMON    74251V102        21        795 SHARES                 X                  1        795      0       0
PROCTER & GAMBLE
 CO COM .......... COMMON    742718109     25338     365309 SHARES                 X                  1     364679      0     630
PROCTER & GAMBLE
 CO COM .......... COMMON    742718109     27319     393873 SHARES                          X         1     312045      0   81828
PROGRESSIVE CORP
 COM ............. COMMON    743315103        85       4087 SHARES                 X                  1       4087      0       0
PROGRESSIVE CORP
 COM ............. COMMON    743315103        15        711 SHARES                          X         1        711      0       0
PROLOGIS INC ..... COMMON    74340W103         1         38 SHARES                 X                  1         38      0       0
PROSPECT CAPITAL
 CORPORATION ..... COMMON    74348T102        30       2583 SHARES                 X                  1        583      0    2000
PROVIDENT NEW
 YORK BANCORP .... COMMON    744028101        20       2225 SHARES                          X         1       2225      0       0
PRUDENTIAL
 FINANCIAL INC ... COMMON    744320102       192       3540 SHARES                 X                  1       3540      0       0
PRUDENTIAL
 FINANCIAL INC ... COMMON    744320102        37        683 SHARES                          X         1        683      0       0
PUBLIC SVC
 ENTERPRISE GROUP
 INC ............. COMMON    744573106       192       5972 SHARES                 X                  1       5972      0       0
PUBLIC SVC
 ENTERPRISE GROUP
 INC ............. COMMON    744573106       152       4708 SHARES                          X         1       4708      0       0
PVH CORP ......... COMMON    693656100       633       6757 SHARES                 X                  1       6757      0       0
QEP RESOURCES INC  COMMON    74733V100         7        200 SHARES                 X                  1        200      0       0
QEP RESOURCES INC  COMMON    74733V100       101       3200 SHARES                          X         1       3200      0       0
QUALCOMM INC COM . COMMON    747525103     10421     166813 SHARES                 X                  1     165855      0     958
QUALCOMM INC COM . COMMON    747525103       947      15165 SHARES                          X         1      12627      0    2538
QUALITY SYSTEMS
 INCORPORATED .... COMMON    747582104        83       4500 SHARES                 X                  1       4500      0       0
QUEST DIAGNOSTICS
 INC ............. COMMON    74834L100         1         20 SHARES                 X                  1         20      0       0
QUEST DIAGNOSTICS
 INC ............. COMMON    74834L100       146       2300 SHARES                          X         1       2000      0     300
QUESTAR CORP ..... COMMON    748356102        24       1200 SHARES                 X                  1       1200      0       0
QUESTAR CORP ..... COMMON    748356102        77       3800 SHARES                          X         1       3800      0       0
QUESTCOR
 PHARMACEUTICALS
 INC ............. COMMON    74835Y101        17        900 SHARES                 X                  1        900      0       0
QUIDEL
 CORPORATION ..... COMMON    74838J101        19       1000 SHARES                 X                  1       1000      0       0
RALCORP HOLDINGS
 INC ............. COMMON    751028101         5         73 SHARES                 X                  1         73      0       0
RALCORP HOLDINGS
 INC ............. COMMON    751028101         3         45 SHARES                          X         1         45      0       0
RALPH LAUREN CORP  COMMON    751212101        15         98 SHARES                 X                  1         98      0       0
RAYMOND JAMES
 FINANCIAL INC ... COMMON    754730109       517      14115 SHARES                 X                  1      14115      0       0
RAYONIER INC COM . COMMON    754907103        28        562 SHARES                          X         1        562      0       0
RAYTHEON CO COM
 NEW ............. COMMON    755111507        22        393 SHARES                 X                  1        393      0       0
RAYTHEON CO COM
 NEW ............. COMMON    755111507       207       3625 SHARES                          X         1       3625      0       0
REALTY INCOME
 CORP ............ COMMON    756109104        53       1309 SHARES                          X         1       1309      0       0
RED HAT INC COM .. COMMON    756577102        11        200 SHARES                 X                  1        200      0       0
REGENERON
 PHARMACEUTICALS . COMMON    75886F107       264       1730 SHARES                 X                  1       1730      0       0
REGIONS FINANCIAL
 CORP ............ COMMON    7591EP100        31       4271 SHARES                          X         1       4271      0       0
REPUBLIC SERVICES
 INC COMMON ...... COMMON    760759100         1         41 SHARES                 X                  1         41      0       0
RESMED INC ....... COMMON    761152107       366       9045 SHARES                 X                  1       9045      0       0
REYNOLDS AMERICAN
 INC ............. COMMON    761713106        79       1820 SHARES                 X                  1       1820      0       0
REYNOLDS AMERICAN
 INC ............. COMMON    761713106        55       1272 SHARES                          X         1       1272      0       0
RF MICRO DEVICES
 INC COM ......... COMMON    749941100         0        140 SHARES                 X                  1        140      0       0
RGC RESOURCES INC  COMMON    74955L103        27       1500 SHARES                 X                  1       1500      0       0
RGC RESOURCES INC  COMMON    74955L103         9        500 SHARES                          X         1        500      0       0
RITE AID CORP COM  COMMON    767754104        45      38300 SHARES                 X                  1      37000      0    1300
ROBERT HALF INTL
 INC COM ......... COMMON    770323103        16        605 SHARES                          X         1        500      0     105


                                    13 of 30




                                                                                   
ROCKWELL
 AUTOMATION INC. . COMMON    773903109       912      13116 SHARES                 X                  1      13116      0       0
ROCKWELL
 AUTOMATION INC. . COMMON    773903109       311       4475 SHARES                          X         1       4325      0     150
ROCKWELL COLLINS
 COM ............. COMMON    774341101       208       3882 SHARES                 X                  1       3882      0       0
ROCKWELL COLLINS
 COM ............. COMMON    774341101       111       2075 SHARES                          X         1       1995      0      80
ROPER INDUSTRIES
 INC ............. COMMON    776696106         8         77 SHARES                 X                  1         77      0       0
ROSS STORES INC
 COM ............. COMMON    778296103       133       2058 SHARES                 X                  1       2058      0       0
ROSS STORES INC
 COM ............. COMMON    778296103       307       4752 SHARES                          X         1       4752      0       0
RPM INTERNATIONAL
 INC COMMON ...... COMMON    749685103       747      26181 SHARES                 X                  1      26181      0       0
RPM INTERNATIONAL
 INC COMMON ...... COMMON    749685103        78       2738 SHARES                          X         1       2738      0       0
RYDER SYS INC COM  COMMON    783549108        31        815 SHARES                 X                  1        815      0       0
SAFEWAY INC COM .. COMMON    786514208        14        879 SHARES                 X                  1        879      0       0
SAFEWAY INC COM .. COMMON    786514208        24       1500 SHARES                          X         1          0      0    1500
SALESFORCE.COM
 INC ............. COMMON    79466L302        51        333 SHARES                 X                  1        333      0       0
SALLY BEAUTY
 COMPANY INC ..... COMMON    7.95E+108         3        100 SHARES                 X                  1        100      0       0
SAN JUAN BASIN
 ROYALTY TR ...... COMMON    798241105         2        150 SHARES                          X         1          0      0     150
SANDISK CORP COM . COMMON    80004C101         4        100 SHARES                 X                  1        100      0       0
SANDY SPRING
 BANCORP INC ..... COMMON    800363103       232      12067 SHARES                          X         1      12067      0       0
SAREPTA
 THERAPEUTICS INC  COMMON    803607100        31       1999 SHARES                 X                  1       1999      0       0
SCANA CORP NEW
 COM ............. COMMON    80589M102       120       2476 SHARES                 X                  1       2476      0       0
SCANA CORP NEW
 COM ............. COMMON    80589M102       104       2150 SHARES                          X         1       2150      0       0
SCHWAB CHARLES
 CORP NEW COM .... COMMON    808513105       191      14950 SHARES                 X                  1      14950      0       0
SCOTTS MIRACLE-
 GRO COMPANY ..... COMMON    810186106       410       9427 SHARES                 X                  1       9427      0       0
SEALED AIR CORP
 NEW COM ......... COMMON    81211K100         3        230 SHARES                 X                  1        230      0       0
SEALED AIR CORP
 NEW COM ......... COMMON    81211K100        60       3908 SHARES                          X         1       3908      0       0
SEARS HOLDINGS
 CORP ............ COMMON    812350106        19        350 SHARES                          X         1        350      0       0
SEATTLE GENETICS
 INC ............. COMMON    812578102         4        150 SHARES                 X                  1        150      0       0
SEI CORP COM ..... COMMON    784117103         4        175 SHARES                 X                  1        175      0       0
SELECTIVE INS
 GROUP INC ....... COMMON    816300107        71       3712 SHARES                 X                  1       3712      0       0
SEMPRA ENERGY COM  COMMON    816851109         9        150 SHARES                 X                  1        150      0       0
SENIOR HOUSING
 PROPERTIES TR
 (REIT) .......... COMMON    81721M109         2        100 SHARES                          X         1          0      0     100
SHERWIN WILLIAMS
 CO COM .......... COMMON    824348106        31        211 SHARES                 X                  1        211      0       0
SHERWIN WILLIAMS
 CO COM .......... COMMON    824348106       745       5000 SHARES                          X         1          0      0    5000
SIGMA-ALDRICH
 CORP COMMON ..... COMMON    826552101         1         18 SHARES                 X                  1         18      0       0
SIMON PROPERTY
 GRP INC (REIT) .. COMMON    828806109      1118       7365 SHARES                 X                  1       7365      0       0
SIMON PROPERTY
 GRP INC (REIT) .. COMMON    828806109       798       5255 SHARES                          X         1       5055      0     200
SIRIUS XM RADIO
 INC ............. COMMON    82967N108        19       7588 SHARES                 X                  1       7588      0       0
SNYDERS-LANCE INC  COMMON    833551104      1473      58948 SHARES                 X                  1      58948      0       0
SONOCO PRODUCTS
 CO COM .......... COMMON    835495102       340      10982 SHARES                 X                  1      10982      0       0
SONOCO PRODUCTS
 CO COM .......... COMMON    835495102        30        973 SHARES                          X         1        973      0       0
SOURCEFIRE INC ... COMMON    83616T108       270       5511 SHARES                 X                  1       5511      0       0
SOUTHERN CO COM .. COMMON    842587107      2004      43476 SHARES                 X                  1      42426      0    1050
SOUTHERN CO COM .. COMMON    842587107      1573      34125 SHARES                          X         1      33725      0     400
SOUTHERN COPPER
 CORP ............ COMMON    84265V105       450      13106 SHARES                 X                  1      12500      0     606
SOUTHERN COPPER
 CORP ............ COMMON    84265V105       132       3834 SHARES                          X         1       3834      0       0
SOUTHWEST
 AIRLINES CO COM . COMMON    844741108         3        300 SHARES                 X                  1        300      0       0
SOUTHWEST
 AIRLINES CO COM . COMMON    844741108         3        300 SHARES                          X         1        300      0       0
SOUTHWESTERN
 ENERGY COMPANY .. COMMON    845467109       112       3212 SHARES                 X                  1       3212      0       0
SOUTHWESTERN
 ENERGY COMPANY .. COMMON    845467109         3        100 SHARES                          X         1        100      0       0
SPECTRA ENERGY
 CORP ............ COMMON    847560109       871      29654 SHARES                 X                  1      29654      0       0
SPECTRA ENERGY
 CORP ............ COMMON    847560109       281       9577 SHARES                          X         1       9177      0     400
SPIRIT
 AEROSYSTEMS
 HOLD-CL A ....... COMMON    848574109         3        155 SHARES                 X                  1        155      0       0
SPX CORP COM ..... COMMON    784635104         1         20 SHARES                 X                  1         20      0       0
SPX CORP COM ..... COMMON    784635104       229       3500 SHARES                          X         1       3500      0       0
ST JOE COMPANY
 COMMON .......... COMMON    790148100         4        200 SHARES                          X         1        200      0       0
ST JUDE MEDICAL
 INC COM ......... COMMON    790849103        17        392 SHARES                 X                  1        392      0       0
ST JUDE MEDICAL
 INC COM ......... COMMON    790849103        42       1000 SHARES                          X         1       1000      0       0
STANDARD REGISTER
 COMPANY ......... COMMON    853887107         9      13000 SHARES                 X                  1      13000      0       0
STANLEY BLACK &
 DECKER INC ...... COMMON    854502101       166       2177 SHARES                 X                  1       2177      0       0
STANLEY BLACK &
 DECKER INC ...... COMMON    854502101       828      10858 SHARES                          X         1      10858      0       0
STAPLES INC COM .. COMMON    855030102       462      40161 SHARES                 X                  1      40161      0       0
STAPLES INC COM .. COMMON    855030102       209      18222 SHARES                          X         1      18122      0     100
STARBUCKS CORP
 COM ............. COMMON    855244109      3561      70224 SHARES                 X                  1      69300      0     924
STARBUCKS CORP
 COM ............. COMMON    855244109       161       3180 SHARES                          X         1       3180      0       0
STARWOOD HOTELS &
 RESORTS
 WORLDWIDE ....... COMMON    85590A401      1567      27035 SHARES                 X                  1      26687      0     348
STARWOOD HOTELS &
 RESORTS
 WORLDWIDE ....... COMMON    85590A401        55        946 SHARES                          X         1        946      0       0
STARWOOD PROPERTY
 TRUST INC ....... COMMON    85571B105       324      13937 SHARES                 X                  1      13937      0       0
STARWOOD PROPERTY
 TRUST INC ....... COMMON    85571B105        33       1420 SHARES                          X         1       1420      0       0


                                    14 of 30




                                                                                   
STATE STREET CORP  COMMON    857477103        38        900 SHARES                 X                  1        900      0       0
STATE STREET CORP  COMMON    857477103      2669      63600 SHARES                          X         1      63600      0       0
STELLARONE CORP .. COMMON    85856G100        23       1731 SHARES                          X         1       1731      0       0
STERICYCLE INC
 COM ............. COMMON    858912108         4         42 SHARES                 X                  1         42      0       0
STRATASYS
 INCORPORATED .... COMMON    862685104       247       4547 SHARES                 X                  1       4547      0       0
STRYKER CORP COM . COMMON    863667101       341       6129 SHARES                 X                  1       6129      0       0
STRYKER CORP COM . COMMON    863667101       198       3555 SHARES                          X         1       2555      0    1000
STURM RUGER & CO
 INC COM ......... COMMON    864159108        12        250 SHARES                 X                  1        250      0       0
STURM RUGER & CO
 INC COM ......... COMMON    864159108        49       1000 SHARES                          X         1       1000      0       0
SUNOCO INC COM ... COMMON    86764P109         3         63 SHARES                 X                  1         63      0       0
SUNTRUST BANKS
 INC ............. COMMON    867914103       215       7603 SHARES                 X                  1       7603      0       0
SUNTRUST BANKS
 INC ............. COMMON    867914103       128       4521 SHARES                          X         1       2821      0    1700
SUPERVALU INC
 COMMON .......... COMMON    868536103         3       1372 SHARES                 X                  1       1372      0       0
SUPERVALU INC
 COMMON .......... COMMON    868536103         2        750 SHARES                          X         1        750      0       0
SUSQUEHANNA
 BANCSHARES INC
 PA COM .......... COMMON    869099101       427      40864 SHARES                 X                  1      38369      0    2495
SUSQUEHANNA
 BANCSHARES INC
 PA COM .......... COMMON    869099101        99       9440 SHARES                          X         1       9440      0       0
SVB FINANCIAL
 GROUP ........... COMMON    78486Q101       165       2730 SHARES                 X                  1       2730      0       0
SYMANTEC CORP COM  COMMON    871503108        62       3468 SHARES                 X                  1       3468      0       0
SYSCO CORP COMMON  COMMON    871829107      2568      82121 SHARES                 X                  1      82021      0     100
SYSCO CORP COMMON  COMMON    871829107      2268      72517 SHARES                          X         1      70417      0    2100
T ROWE PRICE
 GROUP INC COMMON  COMMON    74144T108      9023     142544 SHARES                 X                  1     141879      0     665
T ROWE PRICE
 GROUP INC COMMON  COMMON    74144T108      1847      29181 SHARES                          X         1      25127      0    4054
TARGET CORP COM .. COMMON    8.76E+110      7431     117090 SHARES                 X                  1     117090      0       0
TARGET CORP COM .. COMMON    8.76E+110       688      10844 SHARES                          X         1      10189      0     655
TECH DATA CORP
 COM ............. COMMON    878237106        23        500 SHARES                          X         1        500      0       0
TECO ENERGY INC .. COMMON    872375100        36       2049 SHARES                 X                  1       2049      0       0
TECO ENERGY INC .. COMMON    872375100        68       3814 SHARES                          X         1       3814      0       0
TELLABS INC COM .. COMMON    879664100         1        384 SHARES                 X                  1        384      0       0
TERADATA CORP .... COMMON    88076W103      1232      16336 SHARES                 X                  1      16056      0     280
TERADATA CORP .... COMMON    88076W103        40        534 SHARES                          X         1        534      0       0
TEREX CORP ....... COMMON    880779103         7        289 SHARES                 X                  1        289      0       0
TEXAS CAPITAL
 BANCSHARES INC .. COMMON    88224Q107       207       4168 SHARES                 X                  1       4168      0       0
TEXAS INSTRUMENTS
 INC ............. COMMON    882508104      1275      46263 SHARES                 X                  1      46263      0       0
TEXAS INSTRUMENTS
 INC ............. COMMON    882508104      1171      42489 SHARES                          X         1      39889      0    2600
TEXTRON INC COM .. COMMON    883203101       192       7336 SHARES                 X                  1       7336      0       0
THE HERSHEY
 COMPANY ......... COMMON    427866108      2632      37135 SHARES                 X                  1      36179      0     956
THE HERSHEY
 COMPANY ......... COMMON    427866108      1439      20302 SHARES                          X         1      16602      0    3700
THE TRAVELERS
 COMPANIES INC ... COMMON    8.94E+113      3723      54547 SHARES                 X                  1      54547      0       0
THE TRAVELERS
 COMPANIES INC ... COMMON    8.94E+113       862      12629 SHARES                          X         1      12104      0     525
THE WENDY'S
 COMPANY ......... COMMON    95058W100        62      13600 SHARES                 X                  1      13600      0       0
THERMO FISHER
 SCIENTIFIC INC .. COMMON    883556102         9        151 SHARES                 X                  1        151      0       0
THERMO FISHER
 SCIENTIFIC INC .. COMMON    883556102        35        600 SHARES                          X         1          0      0     600
TIBCO SOFTWARE
 INC COM ......... COMMON    88632Q103         1         40 SHARES                 X                  1         40      0       0
TIDEWATER COMMON . COMMON    886423102        48       1000 SHARES                 X                  1       1000      0       0
TIFFANY & CO ..... COMMON    886547108        51        820 SHARES                 X                  1        820      0       0
TIFFANY & CO ..... COMMON    886547108        99       1600 SHARES                          X         1       1600      0       0
TIME WARNER CABLE
 INC ............. COMMON    88732J207        30        311 SHARES                 X                  1        311      0       0
TIME WARNER CABLE
 INC ............. COMMON    88732J207        25        265 SHARES                          X         1        265      0       0
TIME WARNER INC .. COMMON    887317303       248       5478 SHARES                 X                  1       5478      0       0
TIME WARNER INC .. COMMON    887317303        77       1708 SHARES                          X         1       1708      0       0
TJX COMPANIES COM  COMMON    872540109       142       3178 SHARES                 X                  1       3178      0       0
TJX COMPANIES COM  COMMON    872540109       159       3554 SHARES                          X         1       3554      0       0
TOLL BROTHERS
 COMMON .......... COMMON    889478103        71       2124 SHARES                 X                  1       2124      0       0
TOLL BROTHERS
 COMMON .......... COMMON    889478103        19        568 SHARES                          X         1         68      0     500
TOMPKINS
 FINANCIAL CORP .. COMMON    890110109        15        365 SHARES                 X                  1        365      0       0
TOOTSIE ROLL
 INDUSTRIES ...... COMMON    890516107        75       2781 SHARES                 X                  1       2781      0       0
TRACTOR SUPPLY
 COMPANY ......... COMMON    892356106      1546      15630 SHARES                 X                  1      15368      0     262
TRACTOR SUPPLY
 COMPANY ......... COMMON    892356106        54        550 SHARES                          X         1        550      0       0
TRANSACT
 TECHNOLOGIES INC
 COM ............. COMMON    892918103         7       1000 SHARES                 X                  1       1000      0       0
TREDEGAR CORP .... COMMON    894650100        26       1500 SHARES                 X                  1       1500      0       0
TUPPERWARE BRANDS
 CORP ............ COMMON    899896104        24        450 SHARES                          X         1        450      0       0
TYSON FOODS INC
 COM ............. COMMON    902494103         0         59 SHARES                 X                  1         59      0       0
TYSON FOODS INC
 COM ............. COMMON    902494103        10        625 SHARES                          X         1        625      0       0
U S BANCORP DEL
 COM NEW ......... COMMON    902973304      6572     191607 SHARES                 X                  1     190857      0     750
U S BANCORP DEL
 COM NEW ......... COMMON    902973304       612      17840 SHARES                          X         1      14745      0    3095
UDR INC COM ...... COMMON    902653104      1300      52389 SHARES                 X                  1      51511      0     878
UDR INC COM ...... COMMON    902653104        54       2162 SHARES                          X         1       2162      0       0


                                    15 of 30




                                                                                   
UGI CORP NEW
 COMMON .......... COMMON    902681105       239       7537 SHARES                 X                  1       7537      0       0
UGI CORP NEW
 COMMON .......... COMMON    902681105        95       3000 SHARES                          X         1       3000      0       0
UIL HOLDINGS
 CORPORATION ..... COMMON    902748102        42       1180 SHARES                 X                  1       1180      0       0
ULTA SALON
 COSMETICS &
 FRAGRANCE ....... COMMON    90384S303        72        750 SHARES                 X                  1        750      0       0
ULTA SALON
 COSMETICS &
 FRAGRANCE ....... COMMON    90384S303         3         32 SHARES                          X         1         32      0       0
UNDER ARMOUR INC-
 CLASS A ......... COMMON    904311107        78       1400 SHARES                 X                  1       1400      0       0
UNDER ARMOUR INC-
 CLASS A ......... COMMON    904311107         8        140 SHARES                          X         1        140      0       0
UNION PACIFIC
 CORP COM ........ COMMON    907818108      5263      44340 SHARES                 X                  1      44088      0     252
UNION PACIFIC
 CORP COM ........ COMMON    907818108      1174       9888 SHARES                          X         1       9594      0     294
UNITED PARCEL
 SERVICE CL B .... COMMON    911312106      5487      76670 SHARES                 X                  1      76445      0     225
UNITED PARCEL
 SERVICE CL B .... COMMON    911312106      1056      14763 SHARES                          X         1      13125      0    1638
UNITED STS STL
 CORP NEW ........ COMMON    912909108        50       2650 SHARES                 X                  1       2650      0       0
UNITED STS STL
 CORP NEW ........ COMMON    912909108         3        144 SHARES                          X         1        144      0       0
UNITED
 TECHNOLOGIES
 CORP COM ........ COMMON    913017109      8100     103467 SHARES                 X                  1     102417      0    1050
UNITED
 TECHNOLOGIES
 CORP COM ........ COMMON    913017109      3302      42182 SHARES                          X         1      40532      0    1650
UNITEDHEALTH
 GROUP INC ....... COMMON    91324P102      1290      23290 SHARES                 X                  1      22940      0     350
UNITEDHEALTH
 GROUP INC ....... COMMON    91324P102       220       3970 SHARES                          X         1       2570      0    1400
UNIVERSAL DISPLAY
 CORP ............ COMMON    91347P105        45       1300 SHARES                 X                  1       1300      0       0
UNIVERSAL HEALTH
 REALTY INCOME
 TRUST ........... COMMON    9.14E+109        18        400 SHARES                          X         1        400      0       0
UNIVEST CORP OF
 PA .............. COMMON    915271100        40       2210 SHARES                          X         1       2210      0       0
URSTADT BIDDLE
 PPTYS INC CL A
 (REIT) .......... COMMON    917286205        36       1800 SHARES                 X                  1       1800      0       0
URSTADT BIDDLE
 PPTYS INC CL A
 (REIT) .......... COMMON    917286205        61       3000 SHARES                          X         1       3000      0       0
V F CORP ......... COMMON    918204108       275       1723 SHARES                 X                  1       1723      0       0
V F CORP ......... COMMON    918204108        20        125 SHARES                          X         1        125      0       0
VALERO ENERGY
 CORP COM ........ COMMON    91913Y100        20        645 SHARES                 X                  1        645      0       0
VALERO ENERGY
 CORP COM ........ COMMON    91913Y100        32       1000 SHARES                          X         1       1000      0       0
VCA ANTECH INC ... COMMON    918194101         1         53 SHARES                 X                  1         53      0       0
VENTAS INC COM ... COMMON    92276F100         7        110 SHARES                 X                  1        110      0       0
VERISIGN INC COM . COMMON    9.23E+106        88       1816 SHARES                 X                  1       1816      0       0
VERISIGN INC COM . COMMON    9.23E+106         2         46 SHARES                          X         1         46      0       0
VERIZON
 COMMUNICATIONS
 COM ............. COMMON    92343V104     18035     395768 SHARES                 X                  1     389111      0    6657
VERIZON
 COMMUNICATIONS
 COM ............. COMMON    92343V104      8443     185284 SHARES                          X         1     174615      0   10669
VERTEX
 PHARMACEUTICALS
 INC ............. COMMON    92532F100      1094      19576 SHARES                 X                  1      19234      0     342
VERTEX
 PHARMACEUTICALS
 INC ............. COMMON    92532F100        42        752 SHARES                          X         1        752      0       0
VIACOM INC-CLASS
 B ............... COMMON    92553P201       141       2634 SHARES                 X                  1       2634      0       0
VIACOM INC-CLASS
 B ............... COMMON    92553P201       249       4646 SHARES                          X         1       2246      0    2400
VIROPHARMA INC ... COMMON    928241108         3        100 SHARES                 X                  1        100      0       0
VIRTUALSCOPICS
 INC ............. COMMON    928269109         7       8400 SHARES                 X                  1          0      0    8400
VISA INC ......... COMMON    92826C839      4252      31668 SHARES                 X                  1      31188      0     480
VISA INC ......... COMMON    92826C839       597       4446 SHARES                          X         1       4446      0       0
VITAMIN SHOPPE
 INC ............. COMMON    9.28E+105       396       6799 SHARES                 X                  1       6799      0       0
VIVUS INC ........ COMMON    928551100         8        500 SHARES                          X         1          0      0     500
VMWARE INC ....... COMMON    928563402        29        300 SHARES                 X                  1        300      0       0
VULCAN MATERIAL
 COM ............. COMMON    929160109        14        302 SHARES                 X                  1        302      0       0
W P CAREY & CO
 LLC ............. COMMON    92930Y107         9        200 SHARES                 X                  1        200      0       0
W P CAREY & CO
 LLC ............. COMMON    92930Y107        20        400 SHARES                          X         1        400      0       0
W W GRAINGER INC
 COM ............. COMMON    384802104      1000       4800 SHARES                 X                  1       4800      0       0
W W GRAINGER INC
 COM ............. COMMON    384802104       448       2150 SHARES                          X         1       2150      0       0
WAL MART STORES
 INC COM ......... COMMON    931142103      9596     130025 SHARES                 X                  1     128615      0    1410
WAL MART STORES
 INC COM ......... COMMON    931142103      4435      60095 SHARES                          X         1      55991      0    4104
WALGREEN COMPANY
 COMMON .......... COMMON    931422109       408      11207 SHARES                 X                  1      11207      0       0
WALGREEN COMPANY
 COMMON .......... COMMON    931422109       191       5268 SHARES                          X         1       5198      0      70
WALTER ENERGY INC  COMMON    93317Q105       157       4824 SHARES                 X                  1       4824      0       0
WASHINGTON REAL
 ESTATE INVT
 (REIT) .......... COMMON    939653101        40       1500 SHARES                          X         1       1000      0     500
WASTE CONNECTIONS
 INC ............. COMMON    941053100       270       8946 SHARES                 X                  1       8946      0       0
WASTE MANAGEMENT
 INC ............. COMMON    94106L109       440      13738 SHARES                 X                  1      13738      0       0
WASTE MANAGEMENT
 INC ............. COMMON    94106L109       282       8810 SHARES                          X         1       4510      0    4300
WATERS CORP
 COMMON .......... COMMON    941848103       209       2511 SHARES                 X                  1       2511      0       0
WATSON
 PHARMACEUTICALS
 INC COM ......... COMMON    942683103        65        763 SHARES                          X         1        763      0       0
WD 40 CO COM ..... COMMON    929236107       105        200 SHARES                 X                  1        200      0       0
WD 40 CO COM ..... COMMON    929236107       105        200 SHARES                          X         1        200      0       0
WEIS MARKETS INC . COMMON    948849104        49       1150 SHARES                 X                  1        900      0     250
WELLPOINT INC .... COMMON    94973V107        35        607 SHARES                 X                  1        607      0       0
WELLS FARGO & CO . COMMON    949746101     12763     369618 SHARES                 X                  1     367408      0    2210
WELLS FARGO & CO . COMMON    949746101      3167      91713 SHARES                          X         1      87426      0    4287
WESTAR ENERGY INC  COMMON    95709T100       236       7947 SHARES                 X                  1       7947      0       0
WESTAR ENERGY INC  COMMON    95709T100        26        860 SHARES                          X         1        860      0       0


                                    16 of 30




                                                                                   
WESTERN UNION
 COMPANY ......... COMMON    959802109       132       7247 SHARES                 X                  1       7247      0       0
WESTERN UNION
 COMPANY ......... COMMON    959802109        97       5327 SHARES                          X         1       5327      0       0
WEYERHAEUSER CO
 COM ............. COMMON    962166104        62       2370 SHARES                 X                  1       2370      0       0
WEYERHAEUSER CO
 COM ............. COMMON    962166104       209       8014 SHARES                          X         1       5915      0    2099
WHIRLPOOL CORP
 COM ............. COMMON    963320106         2         30 SHARES                 X                  1         30      0       0
WHIRLPOOL CORP
 COM ............. COMMON    963320106        21        254 SHARES                          X         1        254      0       0
WHITING PETROLEUM
 CORPORATION ..... COMMON    966387102       466       9836 SHARES                 X                  1       9836      0       0
WHOLE FOODS MKT
 INC COM ......... COMMON    966837106       145       1493 SHARES                 X                  1       1493      0       0
WHOLE FOODS MKT
 INC COM ......... COMMON    966837106         4         38 SHARES                          X         1         38      0       0
WILLIAMS COMPANY
 INC (THE) ....... COMMON    969457100        90       2582 SHARES                 X                  1       2582      0       0
WILLIAMS COMPANY
 INC (THE) ....... COMMON    969457100        44       1268 SHARES                          X         1         68      0    1200
WINDSTREAM CORP .. COMMON    97381W104        98       9793 SHARES                 X                  1       9793      0       0
WINDSTREAM CORP .. COMMON    97381W104        56       5572 SHARES                          X         1       5272      0     300
WISCONSIN ENERGY
 CORP COM ........ COMMON    976657106       236       6260 SHARES                 X                  1       6260      0       0
WISCONSIN ENERGY
 CORP COM ........ COMMON    976657106        94       2500 SHARES                          X         1       2500      0       0
WORLD FUEL
 SERVICES
 CORPORATION ..... COMMON    981475106        69       1950 SHARES                 X                  1       1950      0       0
WORTHINGTON INDS
 INC COM ......... COMMON    981811102       282      13000 SHARES                          X         1          0      0   13000
WPX ENERGY INC-
 W/I ............. COMMON    98212B103         0         59 SHARES                 X                  1         59      0       0
WPX ENERGY INC-
 W/I ............. COMMON    98212B103         7        400 SHARES                          X         1          0      0     400
WR GRACE & CO .... COMMON    38388F108       387       6546 SHARES                 X                  1       6546      0       0
WYNDHAM WORLDWIDE
 CORP ............ COMMON    98310W108       107       2030 SHARES                 X                  1       2030      0       0
WYNDHAM WORLDWIDE
 CORP ............ COMMON    98310W108        20        381 SHARES                          X         1        381      0       0
WYNN RESORTS
 LIMITED ......... COMMON    983134107        11        100 SHARES                 X                  1        100      0       0
XCEL ENERGY INC
 COM ............. COMMON    98389B100       127       4585 SHARES                 X                  1       4585      0       0
XCEL ENERGY INC
 COM ............. COMMON    98389B100        68       2464 SHARES                          X         1       2464      0       0
XEROX CORPORATION
 COMMON .......... COMMON    984121103        18       2475 SHARES                 X                  1       2475      0       0
XILINX COM ....... COMMON    983919101        19        568 SHARES                 X                  1        568      0       0
XYLEM INC-W/I .... COMMON    98419M100        14        557 SHARES                 X                  1        557      0       0
XYLEM INC-W/I .... COMMON    98419M100        66       2620 SHARES                          X         1       2620      0       0
YAHOO INC COM .... COMMON    984332106         7        445 SHARES                 X                  1        445      0       0
YAHOO INC COM .... COMMON    984332106        15       1000 SHARES                          X         1       1000      0       0
YORK WATER
 COMPANY ......... COMMON    987184108      1077      58725 SHARES                 X                  1      58725      0       0
YORK WATER
 COMPANY ......... COMMON    987184108       711      38744 SHARES                          X         1      38494      0     250
YUM! BRANDS INC .. COMMON    988498101       588       8868 SHARES                 X                  1       8868      0       0
YUM! BRANDS INC .. COMMON    988498101       699      10550 SHARES                          X         1       8350      0    2200
ZIMMER HOLDINGS
 INC COMMON ...... COMMON    98956P102       491       7264 SHARES                 X                  1       7264      0       0
ZIMMER HOLDINGS
 INC COMMON ...... COMMON    98956P102       434       6421 SHARES                          X         1       5371      0    1050
ZIONS
 BANCORPORATION
 COM ............. COMMON    989701107        32       1555 SHARES                 X                  1       1555      0       0
ZIONS
 BANCORPORATION
 COM ............. COMMON    989701107         0         25 SHARES                          X         1         25      0       0
3M CO ............ COMMON    88579Y101      9732     105303 SHARES                 X                  1     104878      0     425
3M CO ............ COMMON    88579Y101      8238      89133 SHARES                          X         1      79917      0    9216
ABB LTD SPON ADR . COMMON       375204         5        285 SHARES                 X                  1        285      0       0
ABB LTD SPON ADR . COMMON       375204        38       2060 SHARES                          X         1       2060      0       0
ACCENTURE PLC- CL
 A ............... COMMON    G1151C101       584       8350 SHARES                 X                  1       8250      0     100
ACCENTURE PLC- CL
 A ............... COMMON    G1151C101       725      10360 SHARES                          X         1      10225      0     135
ACE LIMITED ...... COMMON    H0023R105       971      12850 SHARES                 X                  1      12850      0       0
ACE LIMITED ...... COMMON    H0023R105       356       4716 SHARES                          X         1       4699      0      17
ADR TIM
 PARTICIPACOES SA  COMMON    88706P205         7        394 SHARES                 X                  1        394      0       0
ADVANCED
 SEMICONDUCTOR E
 ADR ............. COMMON    00756M404         8       2258 SHARES                 X                  1       2258      0       0
AEGON NV ORD AMER
 REG SHS ......... COMMON      7924103        13       2404 SHARES                          X         1       2404      0       0
AERCAP HOLDINGS
 NV .............. COMMON    N00985106         6        500 SHARES                 X                  1        500      0       0
AGNICO EAGLE
 MINES LTD ....... COMMON      8474108         2         50 SHARES                 X                  1         50      0       0
ALCATEL-LUCENT -
 SPON ADR ........ COMMON     13904305         0        175 SHARES                 X                  1        175      0       0
ALCATEL-LUCENT -
 SPON ADR ........ COMMON     13904305         0        253 SHARES                          X         1        253      0       0
AMDOCS LIMITED ... COMMON    G02602103        12        375 SHARES                 X                  1        375      0       0
AMERICA MOVIL SA
 - SPONS ADR SER
 L ............... COMMON    02364W105        50       1981 SHARES                 X                  1       1981      0       0
AMERICA MOVIL SA
 - SPONS ADR SER
 L ............... COMMON    02364W105       307      12100 SHARES                          X         1       6600      0    5500
ANHEUSER-BUSCH
 INBEV NV ........ COMMON    03524A108         2         28 SHARES                 X                  1         28      0       0
ANHEUSER-BUSCH
 INBEV NV ........ COMMON    03524A108        31        365 SHARES                          X         1        365      0       0
ARCELORMITTAL-NY
 REGISTERED ...... COMMON    03938L104         4        300 SHARES                 X                  1        300      0       0
ARM HOLDINGS PLC . COMMON     42068106       125       4474 SHARES                 X                  1       4474      0       0
ARM HOLDINGS PLC . COMMON     42068106         2         72 SHARES                          X         1         72      0       0
ASML HOLDING NV -
 NY REG SHS ...... COMMON    N07059186        81       1510 SHARES                 X                  1       1510      0       0
ASML HOLDING NV -
 NY REG SHS ...... COMMON    N07059186         2         40 SHARES                          X         1         40      0       0
ASPEN INSURANCE
 HOLDINGS LTD .... COMMON    G05384105         2         90 SHARES                 X                  1         90      0       0
ASTRAZENECA GROUP
 PLC SPONSORED
 ADR ............. COMMON     46353108        96       2019 SHARES                 X                  1       2019      0       0
ASTRAZENECA GROUP
 PLC SPONSORED
 ADR ............. COMMON     46353108        70       1480 SHARES                          X         1       1480      0       0


                                    17 of 30




                                                                                   
BAIDU INC-SPON
 ADR ............. COMMON     56752108      1202      10288 SHARES                 X                  1      10158      0     130
BAIDU INC-SPON
 ADR ............. COMMON     56752108        36        312 SHARES                          X         1        312      0       0
BANCO BILBAO
 VIZCAYA
 ARGENTARIA ADR .. COMMON    05946K101         4        576 SHARES                 X                  1        576      0       0
BANCO BRADESCO -
 SPONS ADR ....... COMMON     59460303        10        606 SHARES                 X                  1        606      0       0
BANCO SANTANDER
 SA - SPONS ADR .. COMMON    05964H105         0        111 SHARES                 X                  1        111      0       0
BANCO SANTANDER
 SA - SPONS ADR .. COMMON    05964H105        13       1700 SHARES                          X         1       1700      0       0
BANCOLOMBIA SA
 SPONS ADR ....... COMMON    05968L102        12        210 SHARES                 X                  1        210      0       0
BARCLAYS PLC -
 SPONS ADR ....... COMMON    6.74E+207         4        320 SHARES                 X                  1        320      0       0
BARCLAYS PLC -
 SPONS ADR ....... COMMON    6.74E+207        10        755 SHARES                          X         1        755      0       0
BARRICK GOLD CORP  COMMON     67901108        13        319 SHARES                 X                  1        319      0       0
BARRICK GOLD CORP  COMMON     67901108       134       3220 SHARES                          X         1       3220      0       0
BCE INC .......... COMMON    05534B760       177       4036 SHARES                 X                  1       4036      0       0
BCE INC .......... COMMON    05534B760        29        664 SHARES                          X         1        664      0       0
BHP BILLITON LTD
 SPONSORED ADR ... COMMON     88606108       386       5626 SHARES                 X                  1       5626      0       0
BHP BILLITON LTD
 SPONSORED ADR ... COMMON     88606108       403       5875 SHARES                          X         1       4403      0    1472
BP PLC SPONSORED
 ADR ............. COMMON     55622104       772      18226 SHARES                 X                  1      18226      0       0
BP PLC SPONSORED
 ADR ............. COMMON     55622104       590      13926 SHARES                          X         1      13326      0     600
BRITISH AMERICAN
 TOBACCO-SP ADR .. COMMON    110448107        18        175 SHARES                 X                  1        175      0       0
CAMECO
 CORPORATION ..... COMMON    13321L108         4        200 SHARES                 X                  1        200      0       0
CANADIAN IMPERIAL
 BANK OF COMMERCE  COMMON    136069101         8        100 SHARES                 X                  1        100      0       0
CANADIAN NATIONAL
 RAILWAY COMPANY . COMMON    136375102         8         95 SHARES                 X                  1         95      0       0
CANADIAN NATURAL
 RESOURCES LTD ... COMMON    136385101         6        192 SHARES                 X                  1        192      0       0
CANADIAN NATURAL
 RESOURCES LTD ... COMMON    136385101        10        322 SHARES                          X         1        322      0       0
CANON INC SPONS
 ADR ............. COMMON    138006309        18        555 SHARES                          X         1        555      0       0
CATAMARAN
 CORPORATION ..... COMMON    148887102        61        624 SHARES                 X                  1        624      0       0
CEMEX SAB SPONS
 ADR PART CER .... COMMON    151290889         0          3 SHARES                 X                  1          3      0       0
CENOVUS ENERGY
 INC ............. COMMON    15135U109        10        300 SHARES                          X         1        300      0       0
CENTRAIS
 ELETRICAS BRAS-
 SP ADR CM ....... COMMON    15234Q207         9       1540 SHARES                          X         1       1540      0       0
CERAGON NETWORKS
 LTD ............. COMMON    M22013102         3        588 SHARES                 X                  1        588      0       0
CHECK POINT
 SOFTWARE TECH
 COM ............. COMMON    M22465104         6        131 SHARES                 X                  1        131      0       0
CHICAGO BRIDGE &
 IRON CO N V COM . COMMON    167250109         0         25 SHARES                          X         1         25      0       0
CHINA MOBILE LTD
 SPON ADR ........ COMMON    16941M109        28        510 SHARES                 X                  1        510      0       0
CHINA MOBILE LTD
 SPON ADR ........ COMMON    16941M109        35        625 SHARES                          X         1        625      0       0
CNOOC LTD -ADR ... COMMON    126132109        22        108 SHARES                 X                  1        108      0       0
COOPER INDUSTRIES
 PLC CL A ........ COMMON    G24140108         1         17 SHARES                 X                  1         17      0       0
CORE LABORATORIES
 N V ............. COMMON    N22717107       391       3226 SHARES                 X                  1       3226      0       0
COVIDIEN PLC ..... COMMON    G2554F113       145       2445 SHARES                 X                  1       2370      0      75
COVIDIEN PLC ..... COMMON    G2554F113       103       1732 SHARES                          X         1        929      0     803
CREDIT SUISSE
 GROUP SPONSORED
 ADR ............. COMMON    225401108        16        750 SHARES                 X                  1        750      0       0
CREDIT SUISSE
 GROUP SPONSORED
 ADR ............. COMMON    225401108        14        675 SHARES                          X         1        675      0       0
CRH PLC SPONSORED
 ADR ............. COMMON    12626K203         1         77 SHARES                 X                  1         77      0       0
DELHAIZE GROUP
 SPONSORED ADR ... COMMON    29759W101         4        100 SHARES                 X                  1        100      0       0
DESARROLLADORA
 HOMEX ADR ....... COMMON    25030W100         0         24 SHARES                 X                  1         24      0       0
DEUTSCHE BANK AG-
 REG ............. COMMON    D18190898         3         70 SHARES                 X                  1         70      0       0
DIAGEO PLC
 SPONSORED ADR ... COMMON    25243Q205       314       2790 SHARES                 X                  1       2790      0       0
DIAGEO PLC
 SPONSORED ADR ... COMMON    25243Q205        14        125 SHARES                          X         1        125      0       0
DRYSHIPS INC ..... COMMON    Y2109Q101         2       1000 SHARES                 X                  1       1000      0       0
ENBRIDGE INC ..... COMMON    29250N105       864      22145 SHARES                 X                  1      22145      0       0
ENBRIDGE INC ..... COMMON    29250N105        64       1655 SHARES                          X         1       1655      0       0
ENCANA CORP ...... COMMON    292505104        33       1500 SHARES                          X         1       1500      0       0
ENI SPA-SPONS ADR  COMMON    26874R108        17        380 SHARES                          X         1        380      0       0
ENSCO PLC CL A ... COMMON    G3157S106        15        282 SHARES                 X                  1        282      0       0
ENSCO PLC CL A ... COMMON    G3157S106        44        800 SHARES                          X         1          0      0     800
ERICCSON (LM)
 TEL-SP ADR ...... COMMON    294821608        28       3082 SHARES                 X                  1       3082      0       0
ERICCSON (LM)
 TEL-SP ADR ...... COMMON    294821608        19       2115 SHARES                          X         1       2115      0       0
EVEREST RE GROUP
 LTD COM ......... COMMON    G3223R108        11        104 SHARES                 X                  1        104      0       0
FLEXTRONICS INTL
 LTD ............. COMMON    Y2573F102        10       1700 SHARES                          X         1       1700      0       0
FOMENTO ECONOMICO
 MEXICANA ADR .... COMMON    344419106         1         14 SHARES                 X                  1         14      0       0
FOSTER WHEELER AG  COMMON    H27178104        73       3034 SHARES                 X                  1       3034      0       0
FOSTER WHEELER AG  COMMON    H27178104        24       1020 SHARES                          X         1       1020      0       0
FRESENIUS MEDICAL
 CARE AG-ADR ..... COMMON    358029106        35        479 SHARES                          X         1        479      0       0
GLAXOSMITHKLINE
 PLC ADR ......... COMMON    37733W105       720      15586 SHARES                 X                  1      15586      0       0
GLAXOSMITHKLINE
 PLC ADR ......... COMMON    37733W105      1170      25311 SHARES                          X         1      19811      0    5500
GOLDCORP INC ..... COMMON    380956409         2         50 SHARES                 X                  1         50      0       0
GRUPO TELEVISA SA
 SPONS ADR ....... COMMON    40049J206         7        297 SHARES                          X         1        297      0       0
HERBALIFE LTD .... COMMON    G4412G101       367       7763 SHARES                 X                  1       7763      0       0
HONDA MTR LTD
 AMERN SHS ....... COMMON    438128308         9        314 SHARES                 X                  1        314      0       0


                                    18 of 30




                                                                                   
HONDA MTR LTD
 AMERN SHS ....... COMMON    438128308        20        675 SHARES                          X         1        675      0       0
HSBC HOLDINGS PLC
 SPON ADR ........ COMMON    404280406        52       1116 SHARES                 X                  1       1116      0       0
HSBC HOLDINGS PLC
 SPON ADR ........ COMMON    404280406        15        323 SHARES                          X         1        323      0       0
IAMGOLD CORP ..... COMMON    450913108         1        100 SHARES                          X         1        100      0       0
ICICI BANK
 LIMITED
 SPONSORED ADR ... COMMON    45104G104         7        174 SHARES                 X                  1        174      0       0
ICON PLC
 SPONSORED ADR ... COMMON    45103T107        12        504 SHARES                 X                  1        504      0       0
IMPERIAL OIL LTD . COMMON    453038408       115       2500 SHARES                          X         1       2500      0       0
INFOSYS LIMITED .. COMMON    456788108         9        200 SHARES                 X                  1        200      0       0
ING GROEP NV
 SPONSORED ADR ... COMMON    456837103        11       1450 SHARES                          X         1       1450      0       0
INGERSOLL-RAND
 PUBLIC LTD CO ... COMMON    G47791101         1         29 SHARES                 X                  1         29      0       0
INGERSOLL-RAND
 PUBLIC LTD CO ... COMMON    G47791101       209       4670 SHARES                          X         1       4670      0       0
INVESCO LIMITED .. COMMON    G491BT108        12        466 SHARES                 X                  1        466      0       0
ITAU UNIBANCO
 HOLDING SA -
 PREF ADR ........ COMMON    465562106         7        496 SHARES                 X                  1        496      0       0
KINROSS GOLD
 CORPORATION ..... COMMON    496902404         4        419 SHARES                 X                  1        419      0       0
KONINKLIJKE
 PHILIPS ELEC N V
 NY SHR .......... COMMON    500472303        13        579 SHARES                 X                  1        579      0       0
KOREA ELECTRIC
 POWER CORP SP
 ADR ............. COMMON    500631106         8        655 SHARES                          X         1        655      0       0
KT CORPORATION SP
 ADR ............. COMMON    48268K101         3        235 SHARES                          X         1        235      0       0
KUBOTA CORP-SPONS
 ADR ............. COMMON    501173207        11        214 SHARES                 X                  1        214      0       0
LIHUA
 INTERNATIONAL
 INC ............. COMMON    532352101         7       2000 SHARES                          X         1       2000      0       0
LLOYDS BANKING
 GROUP PLC ....... COMMON    539439109         3       1430 SHARES                 X                  1       1430      0       0
LULULEMON
 ATHLETICA INC-
 W/I ............. COMMON    550021109      2023      27367 SHARES                 X                  1      27049      0     318
LULULEMON
 ATHLETICA INC-
 W/I ............. COMMON    550021109        60        818 SHARES                          X         1        818      0       0
LUXOTTICA GROUP
 SPA-SPON ADR .... COMMON    55068R202        13        358 SHARES                 X                  1        358      0       0
LYONDELLBASELL
 INDUSTRIES NV ... COMMON    N53745100         1         20 SHARES                 X                  1         20      0       0
LYONDELLBASELL
 INDUSTRIES NV ... COMMON    N53745100       103       2000 SHARES                          X         1       2000      0       0
MAGNA
 INTERNATIONAL ... COMMON    559222401        17        400 SHARES                          X         1        400      0       0
MANCHESTER UNITED
 PLC-CL A ........ COMMON    G5784H106         1        100 SHARES                 X                  1        100      0       0
MANULIFE
 FINANCIAL CORP .. COMMON    56501R106        37       3116 SHARES                 X                  1       3116      0       0
MANULIFE
 FINANCIAL CORP .. COMMON    56501R106        22       1832 SHARES                          X         1       1832      0       0
MARVEL TECHNOLOGY
 GROUP LTD ....... COMMON    G5876H105         2        200 SHARES                          X         1        200      0       0
MCEWEN MINING INC  COMMON    58039P107         2        400 SHARES                 X                  1        400      0       0
MELLANOX
 TECHNOLOGIES LTD  COMMON    M51363113        10        100 SHARES                 X                  1        100      0       0
MINDRAY MEDICAL
 INTL LTD-ADR .... COMMON    602675100        14        410 SHARES                 X                  1        410      0       0
MITSUBISHI UFJ
 FINANCIAL GRP-
 ADR ............. COMMON    606822104        15       3180 SHARES                          X         1       3180      0       0
MIZUHO FINANCIAL
 GROUP INC ....... COMMON    60687Y109         4       1415 SHARES                          X         1       1415      0       0
NABORS INDUSTRIES
 LTD ............. COMMON    G6359F103       115       8260 SHARES                 X                  1       8260      0       0
NABORS INDUSTRIES
 LTD ............. COMMON    G6359F103       117       8395 SHARES                          X         1       8395      0       0
NATIONAL GRID
 GROUP PLC-ADR ... COMMON    636274300        96       1736 SHARES                 X                  1       1736      0       0
NATIONAL GRID
 GROUP PLC-ADR ... COMMON    636274300        87       1566 SHARES                          X         1       1566      0       0
NEXEN INC ........ COMMON    65334H102         3        122 SHARES                 X                  1        122      0       0
NIPPON TELEGRAPH
 & TELE ADR ...... COMMON    654624105         2         70 SHARES                 X                  1         70      0       0
NIPPON TELEGRAPH
 & TELE ADR ...... COMMON    654624105        17        745 SHARES                          X         1        745      0       0
NOBLE CORPORATION  COMMON    H5833N103        84       2350 SHARES                 X                  1       2350      0       0
NOBLE CORPORATION  COMMON    H5833N103        23        650 SHARES                          X         1        650      0       0
NOKIA CORP
 SPONSORED ADR ... COMMON    654902204         8       3260 SHARES                 X                  1       3260      0       0
NOKIA CORP
 SPONSORED ADR ... COMMON    654902204        10       4045 SHARES                          X         1       4045      0       0
NOMURA HLDGS INC . COMMON    65535H208         3        875 SHARES                          X         1        875      0       0
NOVARTIS AG ADR .. COMMON    66987V109      1587      25906 SHARES                 X                  1      25769      0     137
NOVARTIS AG ADR .. COMMON    66987V109       619      10107 SHARES                          X         1      10022      0      85
OI SA ............ COMMON    670851104         0        122 SHARES                          X         1        122      0       0
OI SA ADR ........ COMMON    670851203         4        984 SHARES                          X         1        984      0       0
ONCOTHYREON INC .. COMMON    682324108         4        833 SHARES                 X                  1        150      0     683
ONEBEACON
 INSURANCE GROUP
 LTD ............. COMMON    G67742109       280      20807 SHARES                 X                  1      20807      0       0
ONEBEACON
 INSURANCE GROUP
 LTD ............. COMMON    G67742109        30       2247 SHARES                          X         1       2247      0       0
PAN AMERICAN
 SILVER CORP ..... COMMON    697900108         3        150 SHARES                 X                  1        150      0       0
PANASONIC CORP
 SPONS ADR ....... COMMON    69832A205         6        875 SHARES                          X         1        875      0       0
PENN WEST ENERGY
 PETROLEUM LTD ... COMMON    707887105        57       4000 SHARES                          X         1       4000      0       0
PETROCHINA CO LTD
 ADR ............. COMMON    7.16E+104        16        125 SHARES                          X         1        125      0       0
PETROLEO
 BRASILEIRO SA
 SPNS ADR ........ COMMON    71654V408        53       2332 SHARES                 X                  1       2332      0       0
PETROLEO
 BRASILEIRO SA
 SPNS ADR ........ COMMON    71654V408        17        760 SHARES                          X         1        760      0       0
PORTUGAL TELECOM
 SGPS S A SPONS
 ADR ............. COMMON    737273102         8       1614 SHARES                          X         1       1614      0       0
POSCO - ADR ...... COMMON    693483109         8        106 SHARES                 X                  1        106      0       0
POTASH CORP OF
 SASKATCHEWAN INC  COMMON    73755L107       335       7717 SHARES                 X                  1       7717      0       0
POTASH CORP OF
 SASKATCHEWAN INC  COMMON    73755L107        70       1604 SHARES                          X         1       1604      0       0
PRECISION
 DRILLING TRUST .. COMMON    74022D308        16       2000 SHARES                          X         1       2000      0       0
PRUDENTIAL PLC-
 ADR ............. COMMON    74435K204        14        558 SHARES                 X                  1        558      0       0
QLT INC .......... COMMON    746927102        15       2000 SHARES                 X                  1       2000      0       0


                                    19 of 30




                                                                                   
REED ELSEVIER NV
 SPONSORED ADR ... COMMON    758204200         2         72 SHARES                 X                  1         72      0       0
RESEARCH IN
 MOTION LIMITED .. COMMON    760975102        27       3617 SHARES                 X                  1       3617      0       0
RIO TINTO PLC
 SPONSORED ADR ... COMMON    767204100        14        302 SHARES                 X                  1        302      0       0
RIO TINTO PLC
 SPONSORED ADR ... COMMON    767204100        19        400 SHARES                          X         1        400      0       0
ROGERS
 COMMUNICATIONS
 INC CL B ........ COMMON    775109200         8        198 SHARES                 X                  1        198      0       0
ROYAL BANK
 SCOTLAND-SPON
 ADR ............. COMMON    780097689         2        281 SHARES                          X         1        281      0       0
ROYAL BK CANADA .. COMMON    780087102        43        755 SHARES                 X                  1        755      0       0
ROYAL BK CANADA .. COMMON    780087102        57       1000 SHARES                          X         1       1000      0       0
ROYAL DUTCH SHELL
 PLC-ADR A ....... COMMON    780259206      3078      44346 SHARES                 X                  1      44346      0       0
ROYAL DUTCH SHELL
 PLC-ADR A ....... COMMON    780259206      2689      38747 SHARES                          X         1      34297      0    4450
ROYAL DUTCH SHELL
 PLC-ADR B ....... COMMON    780259107       112       1572 SHARES                 X                  1       1572      0       0
ROYAL DUTCH SHELL
 PLC-ADR B ....... COMMON    780259107        26        364 SHARES                          X         1        364      0       0
SANOFI-ADR ....... COMMON    80105N105        39        900 SHARES                 X                  1        900      0       0
SANOFI-ADR ....... COMMON    80105N105        97       2250 SHARES                          X         1       2250      0       0
SAP AG SPONS ADR . COMMON    803054204        35        500 SHARES                 X                  1        500      0       0
SCHLUMBERGER LTD . COMMON    806857108     16746     231532 SHARES                 X                  1     230385      0    1147
SCHLUMBERGER LTD . COMMON    806857108      5186      71709 SHARES                          X         1      65589      0    6120
SEADRILL LTD ..... COMMON    G7945E105         8        215 SHARES                 X                  1        215      0       0
SEADRILL LTD ..... COMMON    G7945E105        22        550 SHARES                          X         1        550      0       0
SEAGATE
 TECHNOLOGY ...... COMMON    G7945M107        72       2326 SHARES                 X                  1       2326      0       0
SEAGATE
 TECHNOLOGY ...... COMMON    G7945M107         2         78 SHARES                          X         1         78      0       0
SEASPAN CORP ..... COMMON    Y75638109        79       5050 SHARES                          X         1       5050      0       0
SENSATA
 TECHNOLOGIES
 HLDG NV ......... COMMON    N7902X106         3        120 SHARES                 X                  1        120      0       0
SHIRE PLC - ADR .. COMMON    82481R106        14        162 SHARES                 X                  1        162      0       0
SIEMENS A G
 SPONSORED ADR ... COMMON    826197501        21        212 SHARES                 X                  1        212      0       0
SIEMENS A G
 SPONSORED ADR ... COMMON    826197501       135       1350 SHARES                          X         1       1350      0       0
SILVER WHEATON
 CORPORATION ..... COMMON    828336107        13        350 SHARES                 X                  1        350      0       0
SILVER WHEATON
 CORPORATION ..... COMMON    828336107       163       4100 SHARES                          X         1       4100      0       0
SILVERCORP METALS
 INC ............. COMMON    82835P103         4        600 SHARES                 X                  1        600      0       0
SK TELECOM CO LTD
 - ADR ........... COMMON    78440P108        15       1020 SHARES                          X         1       1020      0       0
SMITH & NEPHEW
 PLC - SPONS ADR . COMMON    83175M205         2         46 SHARES                 X                  1         46      0       0
SONY CORP -
 SPONSORED ADR ... COMMON    835699307         2        210 SHARES                 X                  1        210      0       0
STATOIL ASA
 SPONSORED ADR ... COMMON    85771P102         9        382 SHARES                 X                  1        382      0       0
STUDENT
 TRANSPORTATION
 INC ............. COMMON    86388A108        14       2100 SHARES                 X                  1       2100      0       0
SUMITOMO TRUST
 AND BANKING CO .. COMMON    86562M209        12       2012 SHARES                          X         1       2012      0       0
SUN LIFE FINL INC  COMMON    866796105        60       2567 SHARES                 X                  1       2567      0       0
SUNCOR ENERGY INC  COMMON    867224107        34       1036 SHARES                 X                  1       1036      0       0
SUNCOR ENERGY INC  COMMON    867224107       448      13665 SHARES                          X         1      13665      0       0
SYNGENTA AG ADR .. COMMON    87160A100       150       2000 SHARES                          X         1       2000      0       0
TAIWAN
 SEMICONDUCTOR
 SPON ADR ........ COMMON    874039100         9        574 SHARES                 X                  1        574      0       0
TAIWAN
 SEMICONDUCTOR
 SPON ADR ........ COMMON    874039100        18       1139 SHARES                          X         1        125      0    1014
TALISMAN ENERGY
 INC ............. COMMON    8.74E+107         5        397 SHARES                 X                  1        397      0       0
TALISMAN ENERGY
 INC ............. COMMON    8.74E+107         3        210 SHARES                          X         1          0      0     210
TANZANIAN ROYALTY
 EXPLORATION ..... COMMON    87600U104         1        250 SHARES                 X                  1        250      0       0
TE CONNECTIVITY
 LTD ............. COMMON    H84989104        43       1275 SHARES                 X                  1       1275      0       0
TE CONNECTIVITY
 LTD ............. COMMON    H84989104        27        815 SHARES                          X         1        815      0       0
TECK RESOURCES
 LTD- CL B ....... COMMON    878742204        29       1000 SHARES                          X         1       1000      0       0
TELECOM ITALIA
 SPA ............. COMMON    87927Y102        15       1519 SHARES                          X         1       1519      0       0
TELEFONICA
 BRASIL/S ADR .... COMMON    87936R106         4        192 SHARES                          X         1        192      0       0
TELEFONICA S A
 SPONSORED ADR ... COMMON    879382208        10        776 SHARES                 X                  1        776      0       0
TELEFONICA S A
 SPONSORED ADR ... COMMON    879382208        32       2477 SHARES                          X         1       2477      0       0
TEVA
 PHARMACEUTICAL
 SPONS ADR ....... COMMON    881624209        43      10513 SHARES                 X                  1      10513      0       0
TEVA
 PHARMACEUTICAL
 SPONS ADR ....... COMMON    881624209       634      15320 SHARES                          X         1      15320      0       0
TIM HORTONS INC .. COMMON    88706M103       225       4333 SHARES                 X                  1       4333      0       0
TORONTO-DOMINION
 BANK ............ COMMON    891160509         7         82 SHARES                 X                  1         82      0       0
TORONTO-DOMINION
 BANK ............ COMMON    891160509        32        382 SHARES                          X         1        300      0      82
TOTAL SA
 SPONSORED ADR ... COMMON    8.92E+113       212       4232 SHARES                 X                  1       4232      0       0
TOTAL SA
 SPONSORED ADR ... COMMON    8.92E+113        48        952 SHARES                          X         1        952      0       0
TOYOTA MOTOR CORP
 SPON ADR ........ COMMON    892331307        12        150 SHARES                 X                  1        150      0       0
TOYOTA MOTOR CORP
 SPON ADR ........ COMMON    892331307        16        200 SHARES                          X         1        200      0       0
TRANSOCEAN
 LIMITED ......... COMMON    H8817H100      1100      24505 SHARES                 X                  1      23290      0    1215
TRANSOCEAN
 LIMITED ......... COMMON    H8817H100       249       5555 SHARES                          X         1       4004      0    1551
TYCO
 INTERNATIONAL
 LTD ............. COMMON    H89128104        95       1688 SHARES                 X                  1       1688      0       0
TYCO
 INTERNATIONAL
 LTD ............. COMMON    H89128104        76       1349 SHARES                          X         1        546      0     803
UBS AG ........... COMMON    H89231338        11        906 SHARES                 X                  1        906      0       0
UBS AG ........... COMMON    H89231338         5        450 SHARES                          X         1        450      0       0
UNILEVER NV NY
 SHARES .......... COMMON    904784709       192       5421 SHARES                 X                  1       5421      0       0


                                    20 of 30




                                                                                   
UNILEVER NV NY
 SHARES .......... COMMON    904784709        95       2680 SHARES                          X         1       2680      0       0
UNILEVER PLC
 SPONSORED ADR ... COMMON    904767704       799      21890 SHARES                 X                  1      21890      0       0
UNILEVER PLC
 SPONSORED ADR ... COMMON    904767704       254       6955 SHARES                          X         1       3955      0    3000
VALE SA .......... COMMON    9.19E+109        10        600 SHARES                 X                  1        600      0       0
VALE SA .......... COMMON    9.19E+109        14        800 SHARES                          X         1        800      0       0
VALIDUS HOLDINGS
 LTD ............. COMMON    G9319H102         1         36 SHARES                 X                  1         36      0       0
VODAFONE GROUP
 PLC - SP ADR .... COMMON    92857W209      3390     118975 SHARES                 X                  1     116975      0    2000
VODAFONE GROUP
 PLC - SP ADR .... COMMON    92857W209       333      11716 SHARES                          X         1      10465      0    1251
WEATHERFORD INTL
 LTD SWITZERLAND . COMMON    H27013103        67       5310 SHARES                 X                  1       5310      0       0
WEATHERFORD INTL
 LTD SWITZERLAND . COMMON    H27013103        85       6704 SHARES                          X         1       6704      0       0
WHITE MOUNTAINS
 INSURANCE GROUP
 LTD ............. COMMON    G9618E107      1115       2173 SHARES                 X                  1       2095      0      78
WHITE MOUNTAINS
 INSURANCE GROUP
 LTD ............. COMMON    G9618E107        89        174 SHARES                          X         1        174      0       0
XL GROUP PLC ..... COMMON    G98290102         7        300 SHARES                          X         1        300      0       0
YAMANA GOLD INC .. COMMON    98462Y100         0         50 SHARES                          X         1          0      0      50
AMERICAN INTL
 CW21
 1/19/21 ......... COMMON     26874156         2        146 SHARES                 X                  1        146      0       0
AMERICAN INTL
 CW21
 1/19/21 ......... COMMON     26874156         0         22 SHARES                          X         1         22      0       0
GM CO WARRANTS
 7/10/19 ......... COMMON    37045V126         3        386 SHARES                 X                  1        386      0       0
GM CO WARRANTS
 7/10/16 ......... COMMON    37045V118         5        386 SHARES                 X                  1        386      0       0
KINDER MORGAN INC
 DEL-WTS
 5/25/17 ......... COMMON    49456B119         0         98 SHARES                 X                  1         98      0       0
LIBERTY VENTURES
 RIGHTS .......... COMMON    53071M112         0          9 SHARES                 X                  1          9      0       0
LIBERTY VENTURES
 RIGHTS .......... COMMON    53071M112         0        112 SHARES                          X         1        112      0       0
SANOFI-CVR
 12/31/20 ........ COMMON    80105N113         4       2700 SHARES                 X                  1       2700      0       0
SANOFI-CVR
 12/31/20 ........ COMMON    80105N113         0        400 SHARES                          X         1        400      0       0
SEARS INC-RIGHTS
 10/08/12 ........ COMMON    812350114         0        350 SHARES                          X         1        350      0       0
CYS INVESTMENTS
 INC ............. COMMON    12673A108        15       1050 SHARES                          X         1       N.A.   N.A.    N.A.
EQUITY ONE
 INCORPORATED .... COMMON    294752100         6        300 SHARES                 X                  1       N.A.   N.A.    N.A.
WHITESTONE REIT .. COMMON    966084204        26       2000 SHARES                 X                  1       N.A.   N.A.    N.A.
BARCLAYS BANK PFD
 7.1% SER 3 ...... PREFERRED 06739H776        25       1000 SHARES                 X                  1       N.A.   N.A.    N.A.
COMPANHIA DE
 BEBIDAS DAS
 AMERICAS ........ PREFERRED 20441W203        30        778 SHARES                 X                  1       N.A.   N.A.    N.A.
HSBC HOLDINGS PLC
 PFD 6.2SER A .... PREFERRED 404280604        25       1000 SHARES                 X                  1       N.A.   N.A.    N.A.
ROYAL BANK
 SCOTLAND PFD
 6.35% SER N ..... PREFERRED 780097770        20       1000 SHARES                 X                  1       N.A.   N.A.    N.A.
AES TRUST III
 6.750% CONV PFD . PREFERRED 00808N202        20        400 SHARES                 X                  1       N.A.   N.A.    N.A.
AES TRUST III
 6.750% CONV PFD . PREFERRED 00808N202        16        325 SHARES                          X         1       N.A.   N.A.    N.A.
APACHE CORP
 6.000% CONV PFD . PREFERRED  37411808        10        200 SHARES                          X         1       N.A.   N.A.    N.A.
BK OF AMERICA
 7.250% CONV PFD
 SER L ........... PREFERRED  60505682        54         50 SHARES                          X         1       N.A.   N.A.    N.A.
CAPSTEAD MTG CORP
 CONV PFD SER B .. PREFERRED 14067E308        37       2400 SHARES                 X                  1       N.A.   N.A.    N.A.
WELLS FARGO
 7.500% CONV PFD
 SER L ........... PREFERRED 949746804        62         50 SHARES                          X         1       N.A.   N.A.    N.A.
ALPINE GLBL
 PREMIER
 PROPERTIES FUND . PREFERRED 02083A103      3333     455380 SHARES                 X                  1       N.A.   N.A.    N.A.
ALPINE GLBL
 PREMIER
 PROPERTIES FUND . PREFERRED 02083A103       948     129507 SHARES                          X         1       N.A.   N.A.    N.A.
CBRE CLARION GLBL
 REAL ESTATE
 INCOME .......... PREFERRED 12504G100      5903     665502 SHARES                 X                  1       N.A.   N.A.    N.A.
CBRE CLARION GLBL
 REAL ESTATE
 INCOME .......... PREFERRED 12504G100      2044     230469 SHARES                          X         1       N.A.   N.A.    N.A.
EATON VANCE TAX-
 MAN GLBL BUY-WRT
 CES ............. PREFERRED 27829C105        11       1000 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P GLOBAL
 NAT RESOURCES
 ETF ............. PREFERRED 78463X541        95       1875 SHARES                          X         1       N.A.   N.A.    N.A.
WELLS FARGO
 GLOBAL DIV
 OPPORTUNITY ..... PREFERRED 94987C103         7        800 SHARES                 X                  1       N.A.   N.A.    N.A.
WELLS FARGO
 MULTI-SECTOR
 INCOME FUND ..... PREFERRED 94987D101         0         15 SHARES                 X                  1       N.A.   N.A.    N.A.
APOLLO INVESTMENT
 CORPORATION ..... PREFERRED 03761U106        24       3000 SHARES                 X                  1       N.A.   N.A.    N.A.
APOLLO INVESTMENT
 CORPORATION ..... PREFERRED 03761U106         6        800 SHARES                          X         1       N.A.   N.A.    N.A.
BLACKROCK ENERGY
 & RESOURCES
 TRUST ........... PREFERRED 09250U101        11        438 SHARES                          X         1       N.A.   N.A.    N.A.
BLACKROCK HEALTH
 SCIENCES TRUST .. PREFERRED 09250W107       132       4650 SHARES                          X         1       N.A.   N.A.    N.A.
BLACKROCK REAL
 ASSET EQUITY
 TRUST ........... PREFERRED 09254B109        21       2000 SHARES                 X                  1       N.A.   N.A.    N.A.
CALAMOS STRATEGIC
 TOT RET FD ...... PREFERRED 128125101        51       5000 SHARES                          X         1       N.A.   N.A.    N.A.
CLOUGH GLOBAL
 OPPORTUNITIES ... PREFERRED 1.89E+110       124      10613 SHARES                 X                  1       N.A.   N.A.    N.A.
COHEN & STEERS
 REIT & PFD INC
 ETF ............. PREFERRED 19247X100         0          7 SHARES                 X                  1       N.A.   N.A.    N.A.
COHEN & STEERS
 REIT & PFD INC
 ETF ............. PREFERRED 19247X100        28       1600 SHARES                          X         1       N.A.   N.A.    N.A.
DIREXION DAILY
 DEV MKTS BULL 3X
 FUND ............ PREFERRED 25459W789         5        138 SHARES                 X                  1       N.A.   N.A.    N.A.
DIREXION DAILY
 EME MKT BU 3X ... PREFERRED 25459Y686         5         53 SHARES                 X                  1       N.A.   N.A.    N.A.
DIREXION DAILY
 S&P 500 BULL 3X
 SHRS ............ PREFERRED 25459W862         5         55 SHARES                 X                  1       N.A.   N.A.    N.A.
DIREXION DAILY
 SMALL CAP BEAR
 3X ETF .......... PREFERRED 25459W110         1        100 SHARES                          X         1       N.A.   N.A.    N.A.
DIREXION MID CAP
 BULL 3X FUND .... PREFERRED 25459W730         2         53 SHARES                 X                  1       N.A.   N.A.    N.A.
DIREXION SHS ETF
 TR .............. PREFERRED 25459W755         2         35 SHARES                 X                  1       N.A.   N.A.    N.A.
DNP SELECT INCOME
 FUND ............ PREFERRED 23325P104        10       1000 SHARES                          X         1       N.A.   N.A.    N.A.
FIRST TRUST
 ENHANCED EQUITY
 INCOME .......... PREFERRED 337318109        27       2200 SHARES                          X         1       N.A.   N.A.    N.A.
GABELLI DIVIDEND
 & INCOME TRUST .. PREFERRED 36242H104         7        439 SHARES                 X                  1       N.A.   N.A.    N.A.
GUGGENHEIM
 RUSSELL TOP 50
 ETF ............. PREFERRED 78355W205         7         67 SHARES                 X                  1       N.A.   N.A.    N.A.
GUGGENHEIM S&P
 GBL WATER IDX
 ETF ............. PREFERRED 18383Q507         2        100 SHARES                          X         1       N.A.   N.A.    N.A.
INDIA FUND ....... PREFERRED 454089103        66       2851 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES DJ SELECT
 DIVIDEND ETF .... PREFERRED 464287168       102       1760 SHARES                 X                  1       N.A.   N.A.    N.A.


                                    21 of 30




                                                                                   
ISHARES DJ US
 BASIC MATERIALS
 ETF ............. PREFERRED 464287838        51        750 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES DJ US
 FINANCIAL SECTOR
 ETF ............. PREFERRED 464287788        31        540 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES DJ US
 UTILITIES SECTOR
 ETF ............. PREFERRED 464287697         5         60 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES GOLD
 TRUST ........... PREFERRED 464285105      1309      75809 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES GOLD
 TRUST ........... PREFERRED 464285105         0         50 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES HIGH
 DIVIDEND EQUITY
 ETF ............. PREFERRED 46429B663     28483     467469 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES HIGH
 DIVIDEND EQUITY
 ETF ............. PREFERRED 46429B663      1673      27467 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES MSCI USA
 ESG SLCT SOCIAL
 ETF ............. PREFERRED 464288802        19        316 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES NASDAQ
 BIOTECHNOLOGY
 ETF ............. PREFERRED 464287556         4         30 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 MID CAP GROWTH
 ETF ............. PREFERRED 464287481         3         52 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 MID CAP INDEX
 ETF ............. PREFERRED 464287499        22        200 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 MID CAP VALUE
 ETF ............. PREFERRED 464287473         2         44 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 1000 GROWTH INDX
 ETF ............. PREFERRED 464287614     10288     154246 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 1000 GROWTH INDX
 ETF ............. PREFERRED 464287614      2326      34876 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 1000 INDEX ETF .. PREFERRED 464287622      4353      54769 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 1000 VALUE INDEX
 ETF ............. PREFERRED 464287598      8112     112391 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 1000 VALUE INDEX
 ETF ............. PREFERRED 464287598      1899      26306 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 2000 GROWTH INDX
 ETF ............. PREFERRED 464287648      6249      65364 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 2000 GROWTH INDX
 ETF ............. PREFERRED 464287648       470       4923 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 2000 INDEX ETF .. PREFERRED 464287655       131       1570 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 2000 INDEX ETF .. PREFERRED 464287655        22        260 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES RUSSELL
 2000 VALUE INDEX
 ETF ............. PREFERRED 464287630         1         14 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P GSCI
 COMMODITY TRUST . PREFERRED 46428R107        17        500 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P
 MIDCAP 400 BARRA
 GRW ETF ......... PREFERRED 464287606       766       6841 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P
 MIDCAP 400 BARRA
 VAL ETF ......... PREFERRED 464287705       519       6107 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P
 MIDCAP 400 INDEX
 ETF ............. PREFERRED 464287507        43        440 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P SMALL
 CAP 600 GROWTH
 ETF ............. PREFERRED 464287887      1405      16800 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P SMALL
 CAP 600 INDEX
 ETF ............. PREFERRED 464287804      1430      18564 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P US
 PREFERRED STOCK
 ETF ............. PREFERRED 464288687        64       1600 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P US
 PREFERRED STOCK
 ETF ............. PREFERRED 464288687       104       2600 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES S&P 500
 BARRA GRWTH INDX
 ETF ............. PREFERRED 464287309        14        182 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P 500
 BARRA VALUE INDX
 ETF ............. PREFERRED 464287408         9        132 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P 500
 INDEX ETF ....... PREFERRED 464287200      9780      67735 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P 500
 INDEX ETF ....... PREFERRED 464287200       968       6702 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES SILVER
 TRUST ........... PREFERRED 46428Q109        25        750 SHARES                 X                  1       N.A.   N.A.    N.A.
JOHN HANCOCK BANK
 AND THRIFT OPP
 FD .............. PREFERRED 409735206         6        317 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN EQUITY
 PREMIUM
 ADVANTAGE FUND .. PREFERRED 6706ET107         2        200 SHARES                 X                  1       N.A.   N.A.    N.A.
POWERSHARES DB
 COMM IDX
 TRACKING ETF .... PREFERRED 73935S105       397      13859 SHARES                 X                  1       N.A.   N.A.    N.A.
POWERSHARES DB
 COMM IDX
 TRACKING ETF .... PREFERRED 73935S105        14        478 SHARES                          X         1       N.A.   N.A.    N.A.
POWERSHARES DB US
 DOLLAR BEARISH
 ETF ............. PREFERRED 73936D206        54       2000 SHARES                 X                  1       N.A.   N.A.    N.A.
POWERSHARES
 FINANCIAL
 PREFERRED ETF ... PREFERRED 73935X229        52       2800 SHARES                          X         1       N.A.   N.A.    N.A.
POWERSHARES QQQ .. PREFERRED 73935A104        81       1180 SHARES                 X                  1       N.A.   N.A.    N.A.
PROSHARES
 ULTRASHORT S&P
 500 ETF ......... PREFERRED 74347R883         4        300 SHARES                          X         1       N.A.   N.A.    N.A.
SECTOR SPDR
 HEALTH CARE ..... PREFERRED 81369Y209         2         60 SHARES                 X                  1       N.A.   N.A.    N.A.
SECTOR SPDR
 TECHNOLOGY ...... PREFERRED 81369Y803         3        936 SHARES                 X                  1       N.A.   N.A.    N.A.
SMALL CAP BULL 3X
 SHARES .......... PREFERRED 25459W847         2         31 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR CONSUMER
 DISCRETIONARY
 ETF ............. PREFERRED 81369Y407         2         41 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR CONSUMER
 STAPLES ETF ..... PREFERRED 81369Y308         2         54 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR DJ
 INDUSTRIAL AVG
 ETF ............. PREFERRED 78467X109      5559      41470 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR DJ REIT ETF . PREFERRED 78464A607       232       3235 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR ENERGY
 SELECT SECTOR
 ETF ............. PREFERRED 81369Y506        13        176 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR ENERGY
 SELECT SECTOR
 ETF ............. PREFERRED 81369Y506        13        185 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR FINANCIAL
 SELECT SECTOR
 ETF ............. PREFERRED 81369Y605       934      59952 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR FINANCIAL
 SELECT SECTOR
 ETF ............. PREFERRED 81369Y605       667      42803 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR GOLD SHARES . PREFERRED 78463V107      2581      15017 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR GOLD SHARES . PREFERRED 78463V107       429       2496 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR INDUSTRIAL
 SELECT SECTOR
 ETF ............. PREFERRED 81369Y704         2         48 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR MATERIALS
 SELECT SECTOR
 ETF ............. PREFERRED 81369Y100         0         11 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P BIOTECH
 ETF ............. PREFERRED 78464A870       467       5000 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR S&P DIVIDEND
 ETF ............. PREFERRED 78464A763     29015     499393 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P DIVIDEND
 ETF ............. PREFERRED 78464A763      4308      74162 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR S&P MIDCAP
 400 ETF ......... PREFERRED 78467Y107       108        600 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P MIDCAP
 400 ETF ......... PREFERRED 78467Y107      2927      16270 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR S&P OIL &
 GAS EQUIP & SVCS
 ETF ............. PREFERRED 78464A748         7        200 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P OIL &
 GAS EXPL & PROD
 ETF ............. PREFERRED 78464A730        40        720 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR S&P REGIONAL
 BANKING ETF ..... PREFERRED 78464A698        11        400 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P REGIONAL
 BANKING ETF ..... PREFERRED 78464A698         6        200 SHARES                          X         1       N.A.   N.A.    N.A.


                                    22 of 30




                                                                                   
SPDR S&P 400 MID
 CAP VALUE ETF ... PREFERRED 78464A839         3        460 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR S&P 500 ETF . PREFERRED 78462F103      8972      62317 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P 500 ETF . PREFERRED 78462F103      5017      34851 SHARES                          X         1       N.A.   N.A.    N.A.
SPDR S&P 600
 SMALL CAP VALUE
 ETF ............. PREFERRED 78464A300        29        380 SHARES                          X         1       N.A.   N.A.    N.A.
TORTOISE ENERGY
 CAPITAL CORP COM  PREFERRED 89147U100        28       1000 SHARES                          X         1       N.A.   N.A.    N.A.
UNITED STATES OIL
 ETF ............. PREFERRED 91232N108        17        500 SHARES                 X                  1       N.A.   N.A.    N.A.
UNITED STATES 12
 MNTH NATRAL GAS
 ETF ............. PREFERRED 91288X109        25       1330 SHARES                 X                  1       N.A.   N.A.    N.A.
US NATURAL GAS
 ETF ............. PREFERRED 912318201        26       1205 SHARES                 X                  1       N.A.   N.A.    N.A.
UTILITIES SELECT
 SECTOR SPDR ETF . PREFERRED 81369Y886      1792      49239 SHARES                 X                  1       N.A.   N.A.    N.A.
UTILITIES SELECT
 SECTOR SPDR ETF . PREFERRED 81369Y886       273       7501 SHARES                          X         1       N.A.   N.A.    N.A.
VANGUARD DIVIDEND
 APPRECIATION ETF  PREFERRED 921908844       119        200 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD HIGH
 DIVIDEND YIELD
 ETF ............. PREFERRED 921946406       791      15698 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD HIGH
 DIVIDEND YIELD
 ETF ............. PREFERRED 921946406       267       5305 SHARES                          X         1       N.A.   N.A.    N.A.
VANGUARD MID-CAP
 ETF ............. PREFERRED 922908629        27        331 SHARES                          X         1       N.A.   N.A.    N.A.
VANGUARD REIT ETF  PREFERRED 922908553       439       6763 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD REIT ETF  PREFERRED 922908553        39        605 SHARES                          X         1       N.A.   N.A.    N.A.
VANGUARD TOTAL
 STOCK MARKET ETF  PREFERRED 922908769        12        168 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD
 UTILITIES ETF ... PREFERRED 92204A876         4         50 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD
 UTILITIES ETF ... PREFERRED 92204A876        25        325 SHARES                          X         1       N.A.   N.A.    N.A.
WISDOMTREE GLB
 EX-US REAL
 ESTATE ETF ...... PREFERRED 97717W331       174       6015 SHARES                 X                  1       N.A.   N.A.    N.A.
BLACKROCK
 MUNIHLDGS NJ
 INSURED FD ...... PREFERRED 09254X101        50       3050 SHARES                          X         1       N.A.   N.A.    N.A.
BLACKROCK
 MUNIHLDGS NY
 INSURED FD ...... PREFERRED 09255C106        50       3050 SHARES                          X         1       N.A.   N.A.    N.A.
BLACKROCK
 MUNIYIELD
 QUALITY FD III .. PREFERRED 9.25E+106        16        984 SHARES                 X                  1       N.A.   N.A.    N.A.
BLACKROCK MUNIYLD
 QUALITY FUND II . PREFERRED 09254G108       103       6850 SHARES                          X         1       N.A.   N.A.    N.A.
DREYFUS MUNICIPAL
 INCOME FUND ..... PREFERRED 26201R102        80       7200 SHARES                          X         1       N.A.   N.A.    N.A.
DREYFUS STRATEGIC
 MUNI BOND FUND .. PREFERRED 26202F107       273      27602 SHARES                 X                  1       N.A.   N.A.    N.A.
DREYFUS STRATEGIC
 MUNI BOND FUND .. PREFERRED 26202F107       111      11300 SHARES                          X         1       N.A.   N.A.    N.A.
DWS MUNICIPAL
 INCOME TRUST .... PREFERRED 23338M106        45       3000 SHARES                 X                  1       N.A.   N.A.    N.A.
EATON VANCE
 MUNICIPAL INCOME
 TRUST ........... PREFERRED 27826U108        71       5000 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO QUALITY
 MUNI INVT TR .... PREFERRED 46133H105        26       1708 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO VALUE
 MUNICIPAL INCOME
 TRUST ........... PREFERRED 46132P108        47       2814 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN MUNI OPP
 TR .............. PREFERRED 46132C107       117       7385 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN PA VALUE
 MUNI INC ........ PREFERRED 46132K109       215      13400 SHARES                 X                  1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN PA VALUE
 MUNI INC ........ PREFERRED 46132K109       220      13763 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN QUALITY
 MUNI INC ........ PREFERRED 46133G107        21       1413 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN TR IN GRD
 NY MUNI ......... PREFERRED 46131T101         8        500 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN TR INVT
 MUNI ............ PREFERRED 46131M106         9        600 SHARES                 X                  1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN TR INVT
 MUNI ............ PREFERRED 46131M106        95       5851 SHARES                          X         1       N.A.   N.A.    N.A.
MFS HIGH YIELD
 MUNICIPAL TRUST . PREFERRED 5.93E+106         3        600 SHARES                          X         1       N.A.   N.A.    N.A.
MFS INVESTMENT
 GRADE MUNICIPAL
 TRUST ........... PREFERRED 59318B108        13       1121 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN CA DIV
 ADVANTAGE MUNI
 FD 2 ............ PREFERRED 67069X104       102       6300 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN INVT
 QUALITY MUNI FD . PREFERRED 6.71E+107         6        333 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN MARYLAND
 PREMIUM INC MUNI
 FD .............. PREFERRED 67061Q107        76       4885 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN MUNICIPAL
 INCOME FUND ..... PREFERRED 67062J102        30       2330 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN MUNICIPAL
 OPPORTUNITY FD
 INC ............. PREFERRED 670984103         6        396 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN MUNICIPAL
 VALUE FUND ...... PREFERRED 670928100        31       2975 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN MUNICIPAL
 VALUE FUND ...... PREFERRED 670928100         6        594 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN NEW YORK
 SLCT QULTY MUNI
 CEF ............. PREFERRED 670976109         8        500 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN NY
 PERFORMANCE PLUS
 MUNI FD ......... PREFERRED 67062R104         8        500 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN NY PREMIUM
 INCOME MUNI FD .. PREFERRED 67101R107        15        941 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN NY QUALITY
 INCOME MUNI CEF . PREFERRED 670986108        15       1000 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN PA
 DIVIDEND
 ADVANTAGE MUNI
 FD .............. PREFERRED 6.71E+107        47       3000 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN PA DVD ADV
 MUNI FD 2 ....... PREFERRED 67071W102        45       3000 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN PA
 INVESTMENT
 QUALITY MUNI FD . PREFERRED 670972108       146       8984 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN PA
 INVESTMENT
 QUALITY MUNI FD . PREFERRED 670972108        59       3600 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN PA PREM
 INCOME MUN FD 2 . PREFERRED 67061F101       146       9616 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN
 PERFORMANCE PLUS
 MUNI FD ......... PREFERRED 67062P108         6        390 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN PREMIER
 MUNICIPAL OPPRTY
 FUND ............ PREFERRED 670987106         6        410 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN QUALITY
 INCOME MUNICIPAL
 FUND ............ PREFERRED 670977107         8        500 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN QUALITY
 INCOME MUNICIPAL
 FUND ............ PREFERRED 670977107         3        210 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN QUALITY
 MUNI FD ......... PREFERRED 67062N103        18       1200 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN SELECT
 MATURITIES MUNI
 FUND ............ PREFERRED 67061T101        28       2550 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN SELECT
 QUALITY
 MUNICIPAL FUND .. PREFERRED 670973106         6        406 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN SELECT TF
 INCOME PORTFOLIO
 2 ............... PREFERRED 67063C106        32       2181 SHARES                          X         1       N.A.   N.A.    N.A.
PIONEER MUNI HIGH
 INCOME ADV TRUST  PREFERRED 723762100        24       1500 SHARES                 X                  1       N.A.   N.A.    N.A.
ALLIANCEBERNSTEIN
 INCOME FUND ..... PREFERRED 1.88E+104        17       2000 SHARES                 X                  1       N.A.   N.A.    N.A.
EATON VANCE
 FLOATING RATE
 INCOME CEF ...... PREFERRED 278279104         7        450 SHARES                 X                  1       N.A.   N.A.    N.A.


                                    23 of 30




                                                                                   
EATON VANCE
 MUNICIPAL BOND
 FD II ........... PREFERRED 27827K109        33       2400 SHARES                 X                  1       N.A.   N.A.    N.A.
EATON VANCE SR
 FLOATING RATE
 CEF ............. PREFERRED 27828Q105       584      35200 SHARES                 X                  1       N.A.   N.A.    N.A.
EATON VANCE SR
 FLOATING RATE
 CEF ............. PREFERRED 27828Q105        63       3802 SHARES                          X         1       N.A.   N.A.    N.A.
FLAHERTY/CRUMRINE
 CLAY PREF SEC FD  PREFERRED 338478100        10        500 SHARES                          X         1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN ADV. MUNI
 INC II .......... PREFERRED 4.61E+107         8        600 SHARES                 X                  1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN BOND FUND  PREFERRED 46132L107        18        818 SHARES                 X                  1       N.A.   N.A.    N.A.
INVESCO VAN
 KAMPEN HIGH
 INCOME TR II .... PREFERRED 46131F101         2        111 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES BARCLAYS
 AGGREGATE BOND
 ETF ............. PREFERRED 464287226       318       2832 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES BARCLAYS
 AGGREGATE BOND
 ETF ............. PREFERRED 464287226        78        701 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES BARCLAYS
 MBS ETF ......... PREFERRED 464288588        14        135 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES BARCLAYS
 SHORT TREASURY
 ETF ............. PREFERRED 464288679        11        100 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES BARCLAYS
 TIPS BOND ETF ... PREFERRED 464287176      1103       9060 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES BARCLAYS
 TIPS BOND ETF ... PREFERRED 464287176        20        165 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES BARCLAYS
 1-3 YEAR
 TREASURY ........ PREFERRED 464287457         3         35 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES GLOBAL
 INFL-LINKED ..... PREFERRED 46429B812        75       1475 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES IBOXX
 HIGH YLD CORP
 BND ETF ......... PREFERRED 464288513        45        485 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES IBOXX
 HIGH YLD CORP
 BND ETF ......... PREFERRED 464288513        40        434 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES IBOXX INV
 GRADE CORP BND
 ETF ............. PREFERRED 464287242        98        805 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES JPM USD
 EMERGING MKT BND
 ETF ............. PREFERRED 464288281         5         46 SHARES                 X                  1       N.A.   N.A.    N.A.
JOHN HANCOCK
 PREFERRED INCOME
 FD II ........... PREFERRED 41013X106        37       1600 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN CREDIT
 STRATEGIES
 INCOME FUND ..... PREFERRED 67073D102        18       1860 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN MUNI MKT
 OPPORTUNITY ..... PREFERRED 67062W103        45       3000 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN QUALITY
 PFD INCOME FD 2 . PREFERRED 67072C105        30       3135 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN QUALITY
 PFD INCOME FD 3 . PREFERRED 67072W101        13       1400 SHARES                 X                  1       N.A.   N.A.    N.A.
NUVEEN QUALITY
 PFD INCOME FD 3 . PREFERRED 67072W101         6        700 SHARES                          X         1       N.A.   N.A.    N.A.
NUVEEN QUALITY
 PREFERRED INCOME
 FUND ............ PREFERRED 67071S101        12       1400 SHARES                 X                  1       N.A.   N.A.    N.A.
PROSHARES
 ULTRASHORT
 20PLUS YR TREAS . PREFERRED 74347R297         7        500 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR BARCLAYS CAP
 HI YLD BD ETF ... PREFERRED 78464A417        62       1556 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR BARCLAYS CAP
 S-T CORP BD ETF . PREFERRED 78464A474        24        790 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR BARCLAYS
 CAPITAL TIPS ETF  PREFERRED 78464A656       188       3100 SHARES                 X                  1       N.A.   N.A.    N.A.
TEMPLETON GLOBAL
 INCOME FUND-DE .. PREFERRED 880198106       366      38250 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD INT-TRM
 BOND ETF ........ PREFERRED 921937819        52        573 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD INT-TRM
 CORP BOND ETF ... PREFERRED 92206C870         8         87 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD LONG-
 TERM CORP BOND .. PREFERRED 92206C813        16        169 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD SHORT-
 TERM BD ETF ..... PREFERRED 921937827       110       1346 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD SHORT-
 TERM BD ETF ..... PREFERRED 921937827        13        155 SHARES                          X         1       N.A.   N.A.    N.A.
VANGUARD TOTAL
 BOND MKT ETF .... PREFERRED 921937835      6547      76887 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD TOTAL
 BOND MKT ETF .... PREFERRED 921937835       724       8506 SHARES                          X         1       N.A.   N.A.    N.A.
WELLS FARGO
 INCOME
 OPPORTUNITIES FD  PREFERRED 94987B105        43       4035 SHARES                 X                  1       N.A.   N.A.    N.A.
ALLEGHENY TECH
 CONV  4.250%
 6/01/14 ......... PREFERRED 01741RAD4         2       2000 SHARES                 X                  1       N.A.   N.A.    N.A.
MFS MUN INCOME TR
 SH BEN INT ...... COMMON    552738106         2        300 SHARES                          X         1       N.A.   N.A.    N.A.
CHESAPEAKE
 GRANITE WASH
 TRUST ........... COMMON    165185109        11        525 SHARES                 X                  1       N.A.   N.A.    N.A.
SANDRIDGE
 MISSISSIPPIAN
 TRUST ........... COMMON    80007T101        20        820 SHARES                 X                  1       N.A.   N.A.    N.A.
SANDRIDGE
 MISSISSIPPIAN
 TRUST ........... COMMON    80007T101        16        645 SHARES                          X         1       N.A.   N.A.    N.A.
ABERDEEN ASIA
 PACIFIC INCOME
 CEF ............. COMMON      3009107        20       2533 SHARES                 X                  1       N.A.   N.A.    N.A.
ABERDEEN
 AUSTRALIA EQUITY
 CEF ............. COMMON      3011103         5        500 SHARES                          X         1       N.A.   N.A.    N.A.
ABERDEEN CHILE
 CLS END ......... COMMON    00301W105         5        300 SHARES                 X                  1       N.A.   N.A.    N.A.
ALPINE TOTAL
 DYNAMIC DVD FD .. COMMON     21060108        21       4844 SHARES                 X                  1       N.A.   N.A.    N.A.
ALPINE TOTAL
 DYNAMIC DVD FD .. COMMON     21060108         2        500 SHARES                          X         1       N.A.   N.A.    N.A.
BLACKROCK INTL
 GROWTH & INCOME
 TR .............. COMMON     92524107         5        700 SHARES                 X                  1       N.A.   N.A.    N.A.
CENTRAL FUND OF
 CANADA .......... COMMON    153501101         5        200 SHARES                          X         1       N.A.   N.A.    N.A.
ELEMENTS ROGERS
 INTL COMMOD AGRI
 ETN ............. COMMON    870297603         5        500 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES FTSE
 CHINA 25 ETF .... COMMON    464287184         9        256 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES FTSE
 DEVLPD SMALL  EX
 NA ETF .......... COMMON    464288497         1         40 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES MSCI
 CANADA INDEX ETF  COMMON    464286509        28        973 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI EAFE
 GROWTH INDEX ETF  COMMON    464288885     28420     503182 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI EAFE
 GROWTH INDEX ETF  COMMON    464288885       219       3878 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES MSCI EAFE
 INDEX ........... COMMON    464287465     16322     307971 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI EAFE
 INDEX ........... COMMON    464287465      4383      82705 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES MSCI EAFE
 SMALL CAP ETF ... COMMON    464288273         4         96 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 EMERGING MARKETS
 ETF ............. COMMON    464287234       414      10019 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 EMERGING MARKETS
 ETF ............. COMMON    464287234        64       1550 SHARES                          X         1       N.A.   N.A.    N.A.
ISHARES MSCI HONG
 KONG INDEX ETF .. COMMON    464286871         4        202 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 ISRAEL CAPPED
 IMI ETF ......... COMMON    464286632        16        393 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 JAPAN INDEX ETF . COMMON    464286848        23       2500 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI NEW
 ZEALAND
 INVESTABLE ...... COMMON    464289123         4        126 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 PACIFIC EX-JAPAN
 ETF ............. COMMON    464286665         4         87 SHARES                 X                  1       N.A.   N.A.    N.A.


                                    24 of 30




                                                                                   
ISHARES MSCI
 POLAND IMI ETF .. COMMON    46429B606         3        110 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 SINGAPORE INDEX
 ETF ............. COMMON    464286673         4        272 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 SOUTH KOREA
 INDEX ETF ....... COMMON    464286772         4         68 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 SWEDEN INDEX ETF  COMMON    464286756         4        128 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES MSCI
 UNITED KINGDOM
 ETF ............. COMMON    464286699         3        173 SHARES                 X                  1       N.A.   N.A.    N.A.
ISHARES S&P
 EUROPE 350 INDEX
 ETF ............. COMMON    464287861        91       2500 SHARES                          X         1       N.A.   N.A.    N.A.
MARKET VECTORS
 EMG MKT LOC CR
 BD ETF .......... COMMON    57060U522         7        267 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR DJ INTL REAL
 ESTATE ETF ...... COMMON    78463X863       537      13695 SHARES                 X                  1       N.A.   N.A.    N.A.
SPDR S&P EMERGING
 ASIA PACIFIC ETF  COMMON    78463X301       437       6000 SHARES                          X         1       N.A.   N.A.    N.A.
SPROTT PHYSICAL
 SILVER TRUST .... COMMON    85207K107        21       1500 SHARES                 X                  1       N.A.   N.A.    N.A.
TEMPLETON DRAGON
 FUND INC ........ COMMON    88018T101         2        100 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD MSCI
 EMERGING MKTS
 ETF ............. COMMON    922042858        71       1710 SHARES                 X                  1       N.A.   N.A.    N.A.
VANGUARD MSCI
 EMERGING MKTS
 ETF ............. COMMON    922042858       484      11600 SHARES                          X         1       N.A.   N.A.    N.A.
VANGUARD MSCI
 EUROPEAN ETF .... COMMON    922042874         4         81 SHARES                 X                  1       N.A.   N.A.    N.A.
WESTERN ASSET
 EMRG MKTS DEBT
 FD INC .......... COMMON    95766A101         5        250 SHARES                 X                  1       N.A.   N.A.    N.A.
WESTERN ASSET
 EMRG MKTS DEBT
 FD INC .......... COMMON    95766A101        13        600 SHARES                          X         1       N.A.   N.A.    N.A.
WISDOM TREE
 EMERGING MARKETS
 DEBT ............ COMMON    97717X867         9        180 SHARES                 X                  1       N.A.   N.A.    N.A.
WISDOMTREE EMG
 MARKET EQUITY
 INC ETF ......... COMMON    97717W315      5553     103483 SHARES                 X                  1       N.A.   N.A.    N.A.
WISDOMTREE EMG
 MARKET EQUITY
 INC ETF ......... COMMON    97717W315       176       3279 SHARES                          X         1       N.A.   N.A.    N.A.
WISDOMTREE JAPAN
 SM CAP DIVIDEND
 ETF ............. COMMON    97717W836        42       1000 SHARES                          X         1       N.A.   N.A.    N.A.
AMERIGAS PARTNERS
 LP .............. COMMON     30975106        13        300 SHARES                 X                  1        300      0       0
AMERIGAS PARTNERS
 LP .............. COMMON     30975106        13        300 SHARES                          X         1        300      0       0
ATLAS PIPELINE
 PARTNERS LP ..... COMMON     49392103         8        243 SHARES                 X                  1        243      0       0
BLACKSTONE GROUP
 LP (THE) ........ COMMON    09253U108        45       3187 SHARES                 X                  1       3187      0       0
BLACKSTONE GROUP
 LP (THE) ........ COMMON    09253U108         1        100 SHARES                          X         1          0      0     100
BUCKEYE PARTNERS
 LP UNIT LTD
 PARTNER ......... COMMON    118230101         2         50 SHARES                          X         1         50      0       0
CEDAR FAIR LTD
 PTR ............. COMMON    150185106        25        750 SHARES                 X                  1        750      0       0
COMPASS
 DIVERSIFIED HLDG  COMMON    20451Q104        22       1500 SHARES                 X                  1       1500      0       0
EL PASO PIPELINE
 PARTNERS LP ..... COMMON    283702108        46       1229 SHARES                 X                  1       1229      0       0
ENERGY TRANSFER
 EQUITY LP ....... COMMON    29273V100         4        100 SHARES                 X                  1        100      0       0
ENERGY TRANSFER
 PARTNERS LP ..... COMMON    29273R109        36        850 SHARES                 X                  1        850      0       0
ENERGY TRANSFER
 PARTNERS LP ..... COMMON    29273R109       109       2550 SHARES                          X         1       2500      0      50
ENTERPRISE
 PRODUCTS
 PARTNERS LP ..... COMMON    293792107       228       4252 SHARES                 X                  1       4252      0       0
ENTERPRISE
 PRODUCTS
 PARTNERS LP ..... COMMON    293792107        38        704 SHARES                          X         1        704      0       0
GOLAR LNG
 PARTNERS LP ..... COMMON    Y2745C102         4        123 SHARES                 X                  1        123      0       0
INERGY LP ........ COMMON    456615103         3       1810 SHARES                 X                  1       1810      0       0
KINDER MORGAN
 ENERGY PARTNERS
 LP .............. COMMON    494550106       295       3575 SHARES                 X                  1       3575      0       0
KINDER MORGAN
 ENERGY PARTNERS
 LP .............. COMMON    494550106       182       2202 SHARES                          X         1       2027      0     175
KINDER MORGAN
 MANAGEMENT LLC .. COMMON    49455U100      2109      27600 SHARES                 X                  1      27099      0     501
KINDER MORGAN
 MANAGEMENT LLC .. COMMON    49455U100        98       1282 SHARES                          X         1       1282      0       0
LINN ENERGY LLC .. COMMON    536020100        70       1700 SHARES                 X                  1       1700      0       0
LINN ENERGY LLC .. COMMON    536020100        35        847 SHARES                          X         1        822      0      25
MAGELLAN
 MIDSTREAM
 PARTNERS L.P. ... COMMON    559080106       105       1200 SHARES                 X                  1       1200      0       0
MAGELLAN
 MIDSTREAM
 PARTNERS L.P. ... COMMON    559080106        18        212 SHARES                          X         1        212      0       0
MARKWEST ENERGY
 PARTNERS LP ..... COMMON    570759100         4         75 SHARES                 X                  1         75      0       0
MARKWEST ENERGY
 PARTNERS LP ..... COMMON    570759100        10        200 SHARES                          X         1        200      0       0
NUSTAR ENERGY LP . COMMON    67058H102        10        200 SHARES                          X         1        200      0       0
ONEOK PARTNERS LP  COMMON    68268N103        59       1000 SHARES                 X                  1       1000      0       0
ONEOK PARTNERS LP  COMMON    68268N103       107       1800 SHARES                          X         1       1800      0       0
PAA NATURAL GAS
 STORAGE LP ...... COMMON    693139107         9        500 SHARES                          X         1        500      0       0
PLAINS ALL
 AMERICAN
 PIPELINE L P .... COMMON    726503105        22        250 SHARES                          X         1        250      0       0
REGENCY ENERGY
 PARTNERS LP ..... COMMON    75885Y107        28       1200 SHARES                 X                  1       1200      0       0
SPECTRA ENERGY
 PARTNERS LP ..... COMMON    84756N109         1         50 SHARES                          X         1         50      0       0
SUBURBAN PROPANE
 PARTNERS LP
 LIMITED ......... COMMON    864482104        18        445 SHARES                 X                  1        445      0       0
SUBURBAN PROPANE
 PARTNERS LP
 LIMITED ......... COMMON    864482104        41       1000 SHARES                          X         1       1000      0       0
SUNOCO LOGISTICS
 PARTNERS LP ..... COMMON    86764L108       153       3300 SHARES                 X                  1       3300      0       0
SUNOCO LOGISTICS
 PARTNERS LP ..... COMMON    86764L108        51       1100 SHARES                          X         1       1100      0       0
TORTOISE ENERGY
 INFRASTRUCTURE
 CORP ............ COMMON    89147L100        20        500 SHARES                          X         1        500      0       0
TORTOISE MLP FUND
 INC ............. COMMON    89148B101        66       2618 SHARES                 X                  1       2618      0       0
TRANSMONTAIGNE
 PARTNERS LP ..... COMMON    89376V100        21        570 SHARES                 X                  1        570      0       0
TRANSMONTAIGNE
 PARTNERS LP ..... COMMON    89376V100         8        200 SHARES                          X         1        200      0       0
VANGUARD NATURAL
 RESOURCES LLC ... COMMON    92205F106         6        200 SHARES                          X         1        200      0       0
WESTERN GAS
 PARTNERS LP ..... COMMON    958254104       108       2150 SHARES                 X                  1       2150      0       0
WESTERN GAS
 PARTNERS LP ..... COMMON    958254104        52       1028 SHARES                          X         1       1028      0       0
ABBOTT
 LABORATORIES .... COMMON      2824100       175       2560 SHARES         X                          3       2320      0     240
ACCO BRANDS CORP . COMMON    00081T108         4        693 SHARES         X                          3        693      0       0
ADTRAN INC COM ... COMMON    00738A106       115       6665 SHARES         X                          3       6665      0       0


                                    25 of 30




                                                                                   
ALBEMARLE CORP
 COM ............. COMMON     12653101        36        690 SHARES         X                          3        690      0       0
ALERE INC ........ COMMON    01449J105       111       5720 SHARES         X                          3       5720      0       0
ALEXANDER &
 BALDWIN INC ..... COMMON     14491104        10        334 SHARES         X                          3        334      0       0
ALLSCRIPTS
 HEALTHCARE
 SOLUTIONS INC ... COMMON    01988P108         9       7095 SHARES         X                          3       7095      0       0
ALTERA CORP COM .. COMMON     21441100       176       5180 SHARES         X                          3       5180      0       0
ALTRIA GROUP INC . COMMON    02209S103       103       3076 SHARES         X                          3       3076      0       0
AMAZON.COM INC ... COMMON     23135106       355       1398 SHARES         X                          3       1398      0       0
AMERICAN CAMPUS
 COMMUNITIES INC-
 REIT ............ COMMON     24835100        70       1594 SHARES         X                          3       1594      0       0
AMGEN INC COM .... COMMON     31162100       854      10143 SHARES         X                          3       6553      0    3590
ANADARKO
 PETROLEUM CORP .. COMMON     32511107         5         66 SHARES         X                          3         66      0       0
ANSYS INC ........ COMMON    03662Q105       196       2675 SHARES         X                          3       2675      0       0
APPLE INC ........ COMMON     37833100      2269       3402 SHARES         X                          3       2250      0    1152
ARUBA NETWORKS
 INC ............. COMMON     43176106       149       6635 SHARES         X                          3       6635      0       0
ASHLAND INC ...... COMMON     44209104       155       2170 SHARES         X                          3       2170      0       0
AUTODESK COM ..... COMMON     52769106       184       5520 SHARES         X                          3       5520      0       0
AUXILIUM
 PHARMACEUTICALS
 INC ............. COMMON    05334D107        78       3200 SHARES         X                          3       3200      0       0
BABCOCK & WILCOX
 CO .............. COMMON    05615F102       150       5880 SHARES         X                          3       5880      0       0
BANK AMER CORP ... COMMON     60505104         4        511 SHARES         X                          3        511      0       0
BERKSHIRE
 HATHAWAY INC DEL
 CL B ............ COMMON     84670702        29        338 SHARES         X                          3        338      0       0
BOEING CO COM .... COMMON     97023105       342       4925 SHARES         X                          3       4525      0     400
BORG WARNER INC
 COM ............. COMMON     99724106       191       2770 SHARES         X                          3       2770      0       0
BRISTOL-MYERS
 SQUIBB CO ....... COMMON    110122108       596      17680 SHARES         X                          3      12680      0    5000
BROWN & BROWN INC
 COMMON .......... COMMON    115236101       147       5640 SHARES         X                          3       5640      0       0
BROWN-FORMAN CORP
 CL B ............ COMMON    115637209        10        154 SHARES         X                          3        154      0       0
CABOT OIL & GAS
 CORP ............ COMMON    127097103       132       2950 SHARES         X                          3       2950      0       0
CAMERON
 INTERNATIONAL
 CORP ............ COMMON    13342B105       187       3330 SHARES         X                          3       3330      0       0
CARMAX INC ....... COMMON    143130102        28        991 SHARES         X                          3        991      0       0
CATERPILLAR INC .. COMMON    149123101        39        450 SHARES         X                          3        450      0       0
CBRE GROUP INC ... COMMON    12504L109       163       8840 SHARES         X                          3       8840      0       0
CBS CORP CL B .... COMMON    124857202       267       7355 SHARES         X                          3       7355      0       0
CENTURYLINK INC .. COMMON    156700106       534      13231 SHARES         X                          3       9951      0    3280
CERNER CORP ...... COMMON    156782104       474       6123 SHARES         X                          3       4232      0    1891
CH ROBINSON
 WORLDWIDE INC ... COMMON    12541W209       138       2360 SHARES         X                          3       2360      0       0
CHEVRON CORP ..... COMMON    166764100      1199      10294 SHARES         X                          3       7794      0    2500
CHURCH & DWIGHT
 CO INC .......... COMMON    171340102       134       2500 SHARES         X                          3       2500      0       0
CISCO SYSTEMS INC  COMMON    17275R102        97       5092 SHARES         X                          3       5092      0       0
CITRIX SYSTEMS
 INC COM ......... COMMON    177376100       180       2360 SHARES         X                          3       2360      0       0
CLOROX COMPANY ... COMMON    189054109        31        432 SHARES         X                          3        432      0       0
COACH INC COMMON . COMMON    189754104       179       3210 SHARES         X                          3       3210      0       0
COCA COLA CO COM . COMMON    191216100       389      10258 SHARES         X                          3       9792      0     466
COMCAST CORP NEW
 A ............... COMMON    20030N101      1241      34724 SHARES         X                          3      24899      0    9825
CONOCOPHILLIPS ... COMMON    20825C104       679      11879 SHARES         X                          3       8399      0    3480
CORNING INC ...... COMMON    219350105        27       2100 SHARES         X                          3       2100      0       0
CROWN HOLDINGS
 INC ............. COMMON    228368106       186       5070 SHARES         X                          3       5070      0       0
CUMMINS INC COM .. COMMON    231021106       131       1425 SHARES         X                          3       1425      0       0
D R HORTON INC ... COMMON    23331A109        43       2116 SHARES         X                          3       2116      0       0
DANAHER CORP COM . COMMON    235851102       340       6178 SHARES         X                          3       3301      0    2877
DARDEN
 RESTAURANTS INC
 COM ............. COMMON    237194105        33        604 SHARES         X                          3        604      0       0
DELL INC ......... COMMON    24702R101        15       1604 SHARES         X                          3       1604      0       0
DINEEQUITY INC ... COMMON    254423106       146       2620 SHARES         X                          3       2620      0       0
DISNEY WALT CO ... COMMON    254687106       298       5716 SHARES         X                          3       3341      0    2375
DOMINION
 RESOURCES INC ... COMMON    25746U109        49        937 SHARES         X                          3        937      0       0
DUKE ENERGY
 HOLDING CORP .... COMMON    26441C204        17        265 SHARES         X                          3        265      0       0
E I DUPONT DE
 NEMOURS & CO
 COMMON .......... COMMON    263534109       786      15648 SHARES         X                          3      11493      0    4155
EATON VANCE CORP . COMMON    278265103        32       1108 SHARES         X                          3       1108      0       0
EMC CORP MASS COM  COMMON    268648102        42       1564 SHARES         X                          3       1564      0       0
ENERGIZER HLDGS
 INC COM ......... COMMON    29266R108        27        370 SHARES         X                          3        370      0       0
EXPEDITORS INTL
 WASH INC COM .... COMMON    302130109        94       2610 SHARES         X                          3       2610      0       0
EXPRESS SCRIPTS
 HOLDING C ....... COMMON    30219G108       955      15264 SHARES         X                          3      11016      0    4248
EXXON MOBIL CORP . COMMON    30231G102      1201      13139 SHARES         X                          3       9254      0    3885
FASTENAL CO ...... COMMON    311900104       126       2950 SHARES         X                          3       2950      0       0
FEDEX CORP COM ... COMMON    31428X106        16        194 SHARES         X                          3        194      0       0
FMC TECHNOLOGIES
 INC COM ......... COMMON    30249U101        76       1650 SHARES         X                          3       1650      0       0
FORD MOTOR CO .... COMMON    345370860        24       2450 SHARES         X                          3       2450      0       0
FREEPORT-MCMORAN
 COPPER & GOLD
 INC ............. COMMON    35671D857       457      11559 SHARES         X                          3       8397      0    3162
FULTON FINANCIAL
 CORP ............ COMMON    360271100        98      10000 SHARES         X                          3      10000      0       0
F5 NETWORKS INC .. COMMON    315616102       134       1290 SHARES         X                          3       1290      0       0


                                    26 of 30




                                                                                   
GALLAGHER ARTHUR
 J. & CO ......... COMMON    363576109        74       2084 SHARES         X                          3       2084      0       0
GAMESTOP CORP -
 CLASS A ......... COMMON    36467W109       120       5740 SHARES         X                          3       5740      0       0
GENERAL ELECTRIC
 COMPANY ......... COMMON    369604103       263      11593 SHARES         X                          3       6818      0    4775
GILEAD SCIENCES
 INC COM ......... COMMON    375558103       131       1985 SHARES         X                          3       1800      0     185
GLACIER BANCORP
 INC NEW ......... COMMON    37637Q105        48       3108 SHARES         X                          3       3108      0       0
GLOBAL PAYMENTS
 INC ............. COMMON    37940X102       115       2750 SHARES         X                          3       2750      0       0
GOOGLE INC CL A .. COMMON    38259P508       763       1012 SHARES         X                          3        693      0     319
GRACO INC COM .... COMMON    384109104       174       3470 SHARES         X                          3       3470      0       0
GREEN MOUNTAIN
 COFFEE ROASTERS
 INC ............. COMMON    393122106        88       3730 SHARES         X                          3       3730      0       0
H & R BLOCK
 COMMON .......... COMMON     93671105        33       1910 SHARES         X                          3       1910      0       0
HATTERAS
 FINANCIAL CORP .. COMMON    41902R103        14        507 SHARES         X                          3        507      0       0
HEICO CORPORATION
 - CLASS A ....... COMMON    422806208        96       3162 SHARES         X                          3       3162      0       0
HEINZ H J CO COM . COMMON    423074103        59       1066 SHARES         X                          3       1066      0       0
HONEYWELL INTL
 INC COM ......... COMMON    438516106       118       1975 SHARES         X                          3       1975      0       0
IBM CORPORATION .. COMMON    459200101      1180       5692 SHARES         X                          3       4128      0    1564
INTEL CORP COM ... COMMON    458140100       305      13488 SHARES         X                          3       9413      0    4075
INTERCONTINENTAL
 EXCHANGE INC .... COMMON    45865V100       166       1250 SHARES         X                          3       1250      0       0
INTUITIVE
 SURGICAL INC .... COMMON    46120E602       315        636 SHARES         X                          3        481      0     155
IPG PHOTONICS
 CORP ............ COMMON    44980X109       145       2540 SHARES         X                          3       2540      0       0
ITT EDUCATIONAL
 SERVICES INC COM  COMMON    45068B109        55       1710 SHARES         X                          3       1710      0       0
JOHNSON & JOHNSON  COMMON    478160104       580       8430 SHARES         X                          3       6930      0    1500
JOY GLOBAL
 INCORPORATED .... COMMON    481165108       116       2070 SHARES         X                          3       2070      0       0
JPMORGAN CHASE &
 CO .............. COMMON    46625H100       828      20472 SHARES         X                          3      15045      0    5427
KRAFT FOODS INC
 CL A ............ COMMON    50075N104       853      20646 SHARES         X                          3      14724      0    5922
LAM RESEARCH CORP
 COMMON .......... COMMON    512807108       124       3920 SHARES         X                          3       3920      0       0
LEGGETT & PLATT
 INC ............. COMMON    524660107        32       1308 SHARES         X                          3       1308      0       0
LIFE TECHNOLOGIES
 CORP ............ COMMON    53217V109       101       2080 SHARES         X                          3       2080      0       0
LILLY ELI &
 COMPANY COMMON .. COMMON    532457108       576      12165 SHARES         X                          3       7927      0    4238
LIMITED BRANDS,
 INC COM ......... COMMON    532716107       216       4385 SHARES         X                          3       4385      0       0
LKQ CORPORATION .. COMMON    501889208       204      11080 SHARES         X                          3      11080      0       0
LOWES COMPANIES
 INC ............. COMMON    548661107        13        438 SHARES         X                          3        438      0       0
LUFKIN INDUSTRIES
 INC ............. COMMON    549764108        92       1715 SHARES         X                          3       1715      0       0
MAP
 PHARMACEUTICALS
 INC ............. COMMON    56509R108       101       6500 SHARES         X                          3       6500      0       0
MATSON INC ....... COMMON    57686G105         9        434 SHARES         X                          3        434      0       0
MATTEL COMMON .... COMMON    577081102        74       2098 SHARES         X                          3       2098      0       0
MAXIM INTEGRATED
 PRODS INC COM ... COMMON    57772K101        29       1122 SHARES         X                          3       1122      0       0
MCDONALD'S
 CORPORATION ..... COMMON    580135101       119       1300 SHARES         X                          3       1300      0       0
MDC HOLDINGS INC . COMMON    552676108        45       1188 SHARES         X                          3       1188      0       0
MEADWESTVACO CORP
 COMMON .......... COMMON    583334107        20        660 SHARES         X                          3        660      0       0
MERCK & CO INC ... COMMON    58933Y105       394       8753 SHARES         X                          3       8753      0       0
METLIFE INC ...... COMMON    59156R108       719      20868 SHARES         X                          3      14947      0    5921
MICROCHIP
 TECHNOLOGY INC
 COM ............. COMMON    595017104        40       1236 SHARES         X                          3       1236      0       0
MICROSOFT CORP ... COMMON    594918104       965      32446 SHARES         X                          3      23056      0    9390
MKS INSTRUMENTS
 INC ............. COMMON    55306N104       108       4240 SHARES         X                          3       4240      0       0
NATIONAL
 INSTRUMENTS CORP
 COM ............. COMMON    636518102        98       3915 SHARES         X                          3       3915      0       0
NATIONAL OILWELL
 VARCO INC ....... COMMON    637071101        37        463 SHARES         X                          3        308      0     155
NEW YORK
 COMMUNITY
 BANCORP INC ..... COMMON    649445103        79       5612 SHARES         X                          3       5612      0       0
NEWMARKET
 CORPORATION ..... COMMON    651587107        54        222 SHARES         X                          3        222      0       0
NEXTERA ENERGY
 INC ............. COMMON    65339F101        37        538 SHARES         X                          3        538      0       0
NOBLE ENERGY INC . COMMON    655044105       133       1440 SHARES         X                          3       1440      0       0
NORDSTROM INC COM  COMMON    655664100       181       3285 SHARES         X                          3       3285      0       0
OLD REPUBLIC INTL
 CORP COM ........ COMMON    680223104        55       5961 SHARES         X                          3       5961      0       0
ORACLE
 CORPORATION COM . COMMON    68389X105       763      24275 SHARES         X                          3      17448      0    6827
PACKAGING CORP OF
 AMER COM ........ COMMON    695156109        31        872 SHARES         X                          3        872      0       0
PALL CORP COM .... COMMON    696429307        99       1570 SHARES         X                          3       1570      0       0
PANERA BREAD CO
 CL-A ............ COMMON    69840W108       152        890 SHARES         X                          3        890      0       0
PAYCHEX INC COM .. COMMON    704326107        63       1920 SHARES         X                          3       1920      0       0
PEABODY ENERGY
 CORP ............ COMMON    704549104        79       3580 SHARES         X                          3       3580      0       0
PENNS WOODS
 BANCORP INC. .... COMMON    708430103       463      10457 SHARES         X                          3      10457      0       0
PEOPLES UNITED
 FINANCIAL INC ... COMMON    712704105        65       5434 SHARES         X                          3       5434      0       0
PEPSICO INC COM .. COMMON    713448108       767      10841 SHARES         X                          3       7186      0    3655
PERRIGO COMPANY .. COMMON    714290103       194       1670 SHARES         X                          3       1670      0       0
PFIZER INC ....... COMMON    717081103       355      14299 SHARES         X                          3      11799      0    2500
PHILIP MORRIS
 INTL INC ........ COMMON    718172109       613       6822 SHARES         X                          3       6822      0       0
PHILLIPS 66 ...... COMMON    718546104       280       6051 SHARES         X                          3       4326      0    1725
PPL CORP COM ..... COMMON    69351T106       253       8713 SHARES         X                          3       6053      0    2660
PRECISION
 CASTPARTS CORP
 COM ............. COMMON    740189105       327       2005 SHARES         X                          3       2005      0       0


                                    27 of 30




                                                                                   
PROCTER & GAMBLE
 CO COM .......... COMMON    742718109       460       6644 SHARES         X                          3       3838      0    2806
PVH CORP ......... COMMON    693656100       236       2520 SHARES         X                          3       2520      0       0
QUALCOMM INC COM . COMMON    747525103       954      15287 SHARES         X                          3      10422      0    4865
RAYMOND JAMES
 FINANCIAL INC ... COMMON    754730109       204       5580 SHARES         X                          3       5580      0       0
REGENERON
 PHARMACEUTICALS . COMMON    75886F107       102        670 SHARES         X                          3        670      0       0
RESMED INC ....... COMMON    761152107       141       3500 SHARES         X                          3       3500      0       0
ROCKWELL
 AUTOMATION INC. . COMMON    773903109       148       2130 SHARES         X                          3       2130      0       0
RPM INTERNATIONAL
 INC COMMON ...... COMMON    749685103       104       3668 SHARES         X                          3       3668      0       0
SONOCO PRODUCTS
 CO COM .......... COMMON    835495102        40       1312 SHARES         X                          3       1312      0       0
SOURCEFIRE INC ... COMMON    83616T108       106       2180 SHARES         X                          3       2180      0       0
SOUTHERN CO COM .. COMMON    842587107        60       1320 SHARES         X                          3       1320      0       0
SOUTHERN COPPER
 CORP ............ COMMON    84265V105        47       1392 SHARES         X                          3       1392      0       0
SPECTRA ENERGY
 CORP ............ COMMON    847560109        79       2702 SHARES         X                          3       2702      0       0
STARBUCKS CORP
 COM ............. COMMON    855244109       341       6735 SHARES         X                          3       4730      0    2005
STARWOOD PROPERTY
 TRUST INC ....... COMMON    85571B105        47       2058 SHARES         X                          3       2058      0       0
STRATASYS
 INCORPORATED .... COMMON    862685104       100       1850 SHARES         X                          3       1850      0       0
STRYKER CORP COM . COMMON    863667101       117       2106 SHARES         X                          3       1906      0     200
SVB FINANCIAL
 GROUP ........... COMMON    78486Q101        65       1080 SHARES         X                          3       1080      0       0
SYSCO CORP COMMON  COMMON    871829107        38       1246 SHARES         X                          3       1246      0       0
T ROWE PRICE
 GROUP INC COMMON  COMMON    74144T108       940      14857 SHARES         X                          3      11299      0    3558
TARGET CORP COM .. COMMON    8.76E+110       736      11603 SHARES         X                          3       8153      0    3450
TEXAS CAPITAL
 BANCSHARES INC .. COMMON    88224Q107        88       1775 SHARES         X                          3       1775      0       0
THE HERSHEY
 COMPANY ......... COMMON    427866108         9        134 SHARES         X                          3        134      0       0
THE TRAVELERS
 COMPANIES INC ... COMMON    8.94E+113       645       9451 SHARES         X                          3       6736      0    2715
THERMO FISHER
 SCIENTIFIC INC .. COMMON    883556102       115       1970 SHARES         X                          3       1785      0     185
U S BANCORP DEL
 COM NEW ......... COMMON    902973304      1063      30992 SHARES         X                          3      22142      0    8850
UDR INC COM ...... COMMON    902653104        17        716 SHARES         X                          3        716      0       0
UNION PACIFIC
 CORP COM ........ COMMON    907818108       273       2306 SHARES         X                          3       1556      0     750
UNITED PARCEL
 SERVICE CL B .... COMMON    911312106       723      10104 SHARES         X                          3       7141      0    2963
UNITED
 TECHNOLOGIES
 CORP COM ........ COMMON    913017109       369       4717 SHARES         X                          3       4357      0     360
UNITEDHEALTH
 GROUP INC ....... COMMON    91324P102       528       9537 SHARES         X                          3       5580      0    3957
VERIZON
 COMMUNICATIONS
 COM ............. COMMON    92343V104       433       9514 SHARES         X                          3       9514      0       0
VISA INC ......... COMMON    92826C839        26        200 SHARES         X                          3        200      0       0
VITAMIN SHOPPE
 INC ............. COMMON    9.28E+105       157       2700 SHARES         X                          3       2700      0       0
WAL MART STORES
 INC COM ......... COMMON    931142103       460       6240 SHARES         X                          3       3370      0    2870
WALTER ENERGY INC  COMMON    93317Q105        60       1870 SHARES         X                          3       1870      0       0
WASTE CONNECTIONS
 INC ............. COMMON    941053100       108       3580 SHARES         X                          3       3580      0       0
WASTE MANAGEMENT
 INC ............. COMMON    94106L109        49       1556 SHARES         X                          3       1556      0       0
WELLS FARGO & CO . COMMON    949746101       659      19110 SHARES         X                          3      13360      0    5750
WESTAR ENERGY INC  COMMON    95709T100        31       1076 SHARES         X                          3       1076      0       0
WHITING PETROLEUM
 CORPORATION ..... COMMON    966387102       181       3840 SHARES         X                          3       3840      0       0
WR GRACE & CO .... COMMON    38388F108       148       2515 SHARES         X                          3       2515      0       0
CORE LABORATORIES
 N V ............. COMMON    N22717107       147       1215 SHARES         X                          3       1215      0       0
DIAGEO PLC
 SPONSORED ADR ... COMMON    25243Q205        56        500 SHARES         X                          3        500      0       0
ENBRIDGE INC ..... COMMON    29250N105        90       2306 SHARES         X                          3       2306      0       0
HERBALIFE LTD .... COMMON    G4412G101       146       3100 SHARES         X                          3       3100      0       0
LULULEMON
 ATHLETICA INC-
 W/I ............. COMMON    550021109       163       2210 SHARES         X                          3       2210      0       0
ONEBEACON
 INSURANCE GROUP
 LTD ............. COMMON    G67742109        39       2958 SHARES         X                          3       2958      0       0
ROYAL DUTCH SHELL
 PLC-ADR A ....... COMMON    780259206        47        682 SHARES         X                          3        682      0       0
SCHLUMBERGER LTD . COMMON    806857108       860      11903 SHARES         X                          3       8460      0    3443
UNILEVER PLC
 SPONSORED ADR ... COMMON    904767704        90       2486 SHARES         X                          3       2486      0       0
VODAFONE GROUP
 PLC - SP ADR .... COMMON    92857W209       517      18175 SHARES         X                          3      12935      0    5240
WHITE MOUNTAINS
 INSURANCE GROUP
 LTD ............. COMMON    G9618E107        27         54 SHARES         X                          3         54      0       0
AMERICAN INTL
 CW21
 1/19/21 ......... WARRANT    26874156         1        122 SHARES         X                          3        122      0       0
ALPINE GLBL
 PREMIER
 PROPERTIES FUND . PREFERRED 02083A103        38       5216 SHARES         X                          3       N.A.   N.A.     N.A
CBRE CLARION GLBL
 REAL ESTATE
 INCOME .......... PREFERRED 12504G100        52       5894 SHARES         X                          3       N.A.   N.A.     N.A
ISHARES HIGH
 DIVIDEND EQUITY
 ETF ............. PREFERRED 46429B663      9603     157612 SHARES         X                          3       N.A.   N.A.     N.A
ISHARES RUSSELL
 1000 GROWTH INDX
 ETF ............. PREFERRED 464287614        21        327 SHARES         X                          3       N.A.   N.A.     N.A
ISHARES RUSSELL
 2000 GROWTH INDX
 ETF ............. PREFERRED 464287648       694       7265 SHARES         X                          3       N.A.   N.A.     N.A
ISHARES S&P
 MIDCAP 400 INDEX
 ETF ............. PREFERRED 464287507       846       8580 SHARES                          X         3       N.A.   N.A.     N.A
ISHARES S&P SMALL
 CAP 600 INDEX
 ETF ............. PREFERRED 464287804       890      11559 SHARES                          X         3       N.A.   N.A.     N.A
SPDR S&P DIVIDEND
 ETF ............. PREFERRED 78464A763       373       6426 SHARES         X                          3       N.A.   N.A.     N.A
SPDR S&P MIDCAP
 400 ETF ......... PREFERRED 78467Y107        89        495 SHARES         X                          3       N.A.   N.A.     N.A
SPDR S&P 500 ETF . PREFERRED 78462F103      2713      18846 SHARES                          X         3       N.A.   N.A.     N.A
UTILITIES SELECT
 SECTOR SPDR ETF . PREFERRED 81369Y886       247       6809 SHARES         X                          3       N.A.   N.A.     N.A
VANGUARD HIGH
 DIVIDEND YIELD
 ETF ............. PREFERRED 921946406       224       4460 SHARES         X                          3       N.A.   N.A.     N.A
VANGUARD REIT
 ETF ............. PREFERRED 922908553      1793      27613 SHARES         X                          3       N.A.   N.A.     N.A


                                    28 of 30




                                                                                   
ISHARES BARCLAYS
 INTER GOV/CRED
 ETF ............. PREFERRED 464288612      4826      42680 SHARES                          X         3       N.A.   N.A.     N.A
ISHARES BARCLAYS
 TIPS BOND ETF ... PREFERRED 464287176      2629      21599 SHARES         X                          3       N.A.   N.A.     N.A
VANGUARD SHORT-
 TERM BD ETF ..... PREFERRED 921937827      5813      71375 SHARES                          X         3       N.A.   N.A.     N.A
VANGUARD TOTAL
 BOND MKT ETF .... PREFERRED 921937835      3624      42565 SHARES         X                          3       N.A.   N.A.     N.A
ISHARES MSCI EAFE
 GROWTH INDEX ETF  COMMON    464288885      9537     168867 SHARES         X                          3       N.A.   N.A.     N.A
ISHARES MSCI EAFE
 INDEX ........... COMMON    464287465       837      15796 SHARES         X                          3       N.A.   N.A.     N.A
ISHARES MSCI EAFE
 INDEX ........... COMMON    464287465       746      14094 SHARES                          X         3       N.A.   N.A.     N.A
SPDR DJ INTL REAL
 ESTATE ETF ...... COMMON    78463X863      2363      60206 SHARES         X                          3       N.A.   N.A.     N.A
VANGUARD MSCI
 EMERGING MKTS
 ETF ............. COMMON    922042858       238       5710 SHARES         X                          3       N.A.   N.A.     N.A
WISDOMTREE EMG
 MARKET EQUITY
 INC ETF ......... COMMON    97717W315       142       2650 SHARES         X                          3       N.A.   N.A.     N.A
KINDER MORGAN
 MANAGEMENT LLC .. COMMON    49455U100        33        443 SHARES         X                          3        443      0       0
ABBOTT
 LABORATORIES .... COMMON      2824100        51        750 SHARES                          X         4        750      0       0
AMAZON.COM INC ... COMMON     23135106        83        325 SHARES                          X         4        325      0       0
AMGEN INC COM .... COMMON     31162100        33        400 SHARES                          X         4        400      0       0
APACHE CORP COM .. COMMON     37411105        34        400 SHARES                          X         4        400      0       0
APPLE INC ........ COMMON     37833100       933       1400 SHARES                          X         4       1400      0       0
BERKSHIRE
 HATHAWAY INC DEL
 CL B ............ COMMON     84670702        17        200 SHARES                          X         4        200      0       0
BOEING CO COM .... COMMON     97023105        34        500 SHARES                          X         4        500      0       0
BRISTOL-MYERS
 SQUIBB CO ....... COMMON    110122108        33       1000 SHARES                          X         4       1000      0       0
CAMERON
 INTERNATIONAL
 CORP ............ COMMON    13342B105        28        500 SHARES                          X         4        500      0       0
CATERPILLAR INC .. COMMON    149123101       137       1600 SHARES                          X         4       1600      0       0
CENTURYLINK INC .. COMMON    156700106        40       1000 SHARES                          X         4       1000      0       0
CHEVRON CORP ..... COMMON    166764100       220       1890 SHARES                          X         4       1890      0       0
COCA COLA CO COM . COMMON    191216100        56       1500 SHARES                          X         4       1500      0       0
CONOCOPHILLIPS ... COMMON    20825C104        57       1000 SHARES                          X         4       1000      0       0
COSTCO WHOLESALE
 CORP COM ........ COMMON    22160K105       125       1250 SHARES                          X         4       1250      0       0
CVS/CAREMARK CORP  COMMON    126650100        38        800 SHARES                          X         4        800      0       0
DELTA AIR LINES
 INC ............. COMMON    247361702       422      46155 SHARES                 X                  4      46155      0       0
DOMINION
 RESOURCES INC ... COMMON    25746U109       158       3000 SHARES                          X         4       3000      0       0
E I DUPONT DE
 NEMOURS & CO
 COMMON .......... COMMON    263534109        50       1000 SHARES                          X         4       1000      0       0
EXXON MOBIL CORP . COMMON    30231G102       301       3300 SHARES                          X         4       3300      0       0
FORD MOTOR CO .... COMMON    345370860        71       7250 SHARES                          X         4       7250      0       0
FREEPORT-MCMORAN
 COPPER & GOLD
 INC ............. COMMON    35671D857        53       1350 SHARES                          X         4       1350      0       0
GENERAL ELECTRIC
 COMPANY ......... COMMON    369604103        68       3000 SHARES                          X         4       3000      0       0
HEINZ H J CO COM . COMMON    423074103        27        500 SHARES                          X         4        500      0       0
HONEYWELL INTL
 INC COM ......... COMMON    438516106        11        200 SHARES                          X         4        200      0       0
IBM CORPORATION .. COMMON    459200101       212       1025 SHARES                          X         4       1025      0       0
INTEL CORP COM ... COMMON    458140100        90       4000 SHARES                          X         4       4000      0       0
INTUITIVE
 SURGICAL INC .... COMMON    46120E602       309        625 SHARES                          X         4        625      0       0
JOHNSON & JOHNSON  COMMON    478160104       141       2050 SHARES                          X         4       2050      0       0
JPMORGAN CHASE &
 CO .............. COMMON    46625H100       111       2750 SHARES                          X         4       2750      0       0
KRAFT FOODS INC
 CL A ............ COMMON    50075N104        66       1600 SHARES                          X         4       1600      0       0
LILLY ELI &
 COMPANY COMMON .. COMMON    532457108        35        750 SHARES                          X         4        750      0       0
LOCKHEED MARTIN
 CORPORATION COM . COMMON    539830109        46        500 SHARES                          X         4        500      0       0
M & T BANK CORP .. COMMON    55261F104        14        150 SHARES                          X         4          0      0     150
MCDONALD'S
 CORPORATION ..... COMMON    580135101       188       2050 SHARES                          X         4       2050      0       0
MERCK & CO INC ... COMMON    58933Y105        45       1000 SHARES                          X         4       1000      0       0
MICROSOFT CORP ... COMMON    594918104        89       3000 SHARES                          X         4       3000      0       0
MORGAN STANLEY
 GROUP INC ....... COMMON    617446448         8        500 SHARES                          X         4        500      0       0
NATIONAL OILWELL
 VARCO INC ....... COMMON    637071101        40        500 SHARES                          X         4        500      0       0
PEPSICO INC COM .. COMMON    713448108       120       1700 SHARES                          X         4       1700      0       0
PHILIP MORRIS
 INTL INC ........ COMMON    718172109       157       1750 SHARES                          X         4       1750      0       0
PHILLIPS 66 ...... COMMON    718546104        46       1000 SHARES                          X         4       1000      0       0
PROCTER & GAMBLE
 CO COM .......... COMMON    742718109       242       3500 SHARES                          X         4       3500      0       0
SOUTHERN CO COM .. COMMON    842587107        69       1500 SHARES                          X         4       1500      0       0
STARBUCKS CORP
 COM ............. COMMON    855244109        50       1000 SHARES                          X         4       1000      0       0
T ROWE PRICE
 GROUP INC COMMON  COMMON    74144T108       126       2000 SHARES                          X         4       2000      0       0
THE TRAVELERS
 COMPANIES INC ... COMMON    8.94E+113        34        500 SHARES                          X         4        500      0       0
UNION PACIFIC
 CORP COM ........ COMMON    907818108        59        500 SHARES                          X         4        500      0       0
UNITED PARCEL
 SERVICE CL B .... COMMON    911312106        21        300 SHARES                          X         4        300      0       0
VERIZON
 COMMUNICATIONS
 COM ............. COMMON    92343V104        45       1000 SHARES                          X         4       1000      0       0
WASTE MANAGEMENT
 INC ............. COMMON    94106L109        32       1000 SHARES                          X         4       1000      0       0
WELLS FARGO & CO . COMMON    949746101        86       2500 SHARES                          X         4       2500      0       0
3M CO ............ COMMON    88579Y101        83        900 SHARES                          X         4        900      0       0
CEMEX SAB SPONS
 ADR PART CER .... COMMON    151290889         0          3 SHARES                 X                  4          3      0       0
SCHLUMBERGER LTD . COMMON    806857108       112       1550 SHARES                          X         4       1550      0       0
UNILEVER NV NY
 SHARES .......... COMMON    904784709        35       1000 SHARES                          X         4       1000      0       0


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VODAFONE GROUP
 PLC - SP ADR .... COMMON    92857W209        48       1700 SHARES                          X         4       1700      0       0
AMERICAN INTL
 CW21
 1/19/21 ......... WARRANT    26874156         1        122 SHARES                 X                  4        122      0       0
ISHARES RUSSELL
 1000 GROWTH INDX
 ETF ............. PREFERRED 464287614        97       1468 SHARES                 X                  4       N.A.   N.A.     N.A
ISHARES RUSSELL
 1000 VALUE INDEX
 ETF ............. PREFERRED 464287598        80       1120 SHARES                 X                  4       N.A.   N.A.     N.A
ISHARES RUSSELL
 2000 GROWTH INDX
 ETF ............. PREFERRED 464287648        45        478 SHARES                 X                  4       N.A.   N.A.     N.A
SPDR FINANCIAL
 SELECT SECTOR
 ETF ............. PREFERRED 81369Y605         4        300 SHARES                 X                  4       N.A.   N.A.     N.A
SPDR S&P DIVIDEND
 ETF ............. PREFERRED 78464A763        27        476 SHARES                 X                  4       N.A.   N.A.     N.A
SPDR S&P DIVIDEND
 ETF ............. PREFERRED 78464A763       376       6484 SHARES                 X                  4       N.A.   N.A.     N.A
SPDR S&P 500 ETF . PREFERRED 78462F103      1462      10159 SHARES                          X         4       N.A.   N.A.     N.A
ISHARES MSCI EAFE
 INDEX ........... OTHER     464287465        69       1302 SHARES                 X                  4       N.A.   N.A.     N.A
                                         1950778   37706024


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