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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 [X]; Amendment Number: 1

   This Amendment (Check only one.): [X] 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   12/7/2012
         -----------------------------   -----------------   ---------
                  [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:                               2,003

Form 13-F Information Table Value Total:                             2122944
                                                                  ----------
                                                                 (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 7     COLUMN 8
                                 --------  --------- ----------  ------------------  ------------------ -------- -------------------
                                                                 SHARES                                               VOTING
                                                                   OR      SHARES                                   AUTHORITY
                                  TITLE                  VALUE   PRINCIPAL   OR      SHARED -  SHARED -  OTHER   -------------------
NAME OF ISSUER                   OF CLASS     CUSIP   (X $1,000)  AMOUNT   PRINCIPAL  DEFINED   OTHER    MANAGERS  SOLE  SHARED NONE
                                 --------  --------- ---------- --------- ---------  --------  -------- -------- ------- ------ ----
                                                                                              
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
BRISTOL-MYERS SQUIBB CO          COMMON    110122108       34        1000  Shares                X         4      1000     0       0
BRITISH AMERICAN TOBACCO-SP ADR  COMMON    110448107       18         175  Shares       X                  1       175     0       0
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
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
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       98        2711  Shares                X         1      2386     0     325
CF INDUSTRIES HOLDINGS INC       COMMON    125269100       28         125  Shares                X         1       125     0       0
CIGNA CORP                       COMMON    125509109      145        3080  Shares                X         1      3080     0       0
CIT GROUP INC                    COMMON    125581801        2          40  Shares       X                  1        40     0       0
CNOOC LTD -ADR                   COMMON    126132109       22         108  Shares       X                  1       108     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
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
CVS/CAREMARK CORP                COMMON    126650100       39         800  Shares                X         4       800     0       0
CABOT OIL & GAS CORP             COMMON    127097103      336        7482  Shares       X                  1      7482     0       0
CALAMOS STRATEGIC TOT RET FD     PREFERRED 128125101       51        5000  Shares                X         1         0     0    5000
CALLAWAY GOLF CO COM             COMMON    131193104        0          23  Shares       X                  1        23     0       0
CAMDEN PROPERTY TRUST (REIT)     COMMON    133131102       64        1000  Shares       X                  1      1000     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
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
CARLISLE COMPANIES INC           COMMON    142339100       19         370  Shares       X                  1       370     0       0
CARLISLE COMPANIES INC           COMMON    142339100       52        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
CATAMARAN CORPORATION            COMMON    148887102       61         624  Shares       X                  1       624     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
CATERPILLAR INC                  COMMON    149123101      138        1600  Shares                X         4      1600     0       0
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
CEMEX SAB SPONS ADR PART CER     COMMON    151290889        0           3  Shares       X                  1         3     0       0
CEMEX SAB SPONS ADR PART CER     COMMON    151290889        0           3  Shares                X         4         3     0       0
CENTURYLINK INC                  COMMON    156700106     3552       87923  Shares       X                  1     87923     0       0
CENTURYLINK INC                  COMMON    156700106      335        8294  Shares                X         1      7774     0     520
CENTURYLINK INC                  COMMON    156700106       40        1000  Shares                X         4      1000     0       0
CERNER CORP                      COMMON    156782104     4106       53055  Shares       X                  1     52471     0     584
CERNER CORP                      COMMON    156782104      933       12054  Shares                X         1     10954     0    1100
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
CHESAPEAKE GRANITE WASH TRUST    COMMON    165185109       11         525  Shares       X                  1         0     0     525
CHEVRON CORP                     COMMON    166764100    32437      278283  Shares       X                  1    275278     0    3005
CHEVRON CORP                     COMMON    166764100    20574      176506  Shares                X         1    165812     0   10694
CHEVRON CORP                     COMMON    166764100      220        1890  Shares                X         4      1890     0       0
CHICAGO BRIDGE & IRON CO N V COM COMMON    167250109        1          25  Shares                X         1        25     0       0
CHIPOTLE MEXICAN GRILL-CL A      COMMON    169656105     1373        4324  Shares       X                  1      4252     0      72

                                    1 of 26




                                                                                              
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
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
CIRRUS LOGIC INC                 COMMON    172755100        8         200  Shares       X                  1       200     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
CLOROX COMPANY                   COMMON    189054109      739       10253  Shares       X                  1     10253     0       0
CLOROX COMPANY                   COMMON    189054109      431        5979  Shares                X         1      3979     0    2000
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 CO COM                 COMMON    191216100       57        1500  Shares                X         4      1500     0       0
CODORUS VALLEY BANCORP INC       COMMON    192025104      210       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
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
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
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
CON-WAY INC                      COMMON    205944101        1          41  Shares       X                  1        41     0       0
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
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
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
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
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
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
CYTEC INDUSTRIES INC COM         COMMON    232820100        7         105  Shares       X                  1       105     0       0
DNB FINANCIAL CORPORATION        COMMON    233237106       30        1878  Shares       X                  1      1878     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
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
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
DELTA AIR LINES INC              COMMON    247361702      423       46229  Shares       X                  1     46229     0       0
DELTA AIR LINES INC              COMMON    247361702      423       46155  Shares                X         4     46155     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
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
DISNEY WALT CO                   COMMON    254687106     5374      102796  Shares       X                  1    102496     0     300
DISNEY WALT CO                   COMMON    254687106     2367       45271  Shares                X         1     40021     0    5250
DISCOVER FINANCIAL SERVICES      COMMON    254709108       13         321  Shares                X         1       165     0     156
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
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

                                    2 of 26




                                                                                              
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
E I DUPONT DE NEMOURS & CO
 COMMON                          COMMON    263534109       50        1000  Shares                X         4      1000     0       0
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
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     1938       66913  Shares       X                  1     65763     0    1150
EATON VANCE CORP                 COMMON    278265103       91        3148  Shares                X         1      3148     0       0
EATON VANCE FLOATING RATE
 INCOME CEF                      PREFERRED 278279104        8         450  Shares       X                  1         0     0     450
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
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
EMERSON ELECTRIC CO              COMMON    291011104     4791       99251  Shares       X                  1     98451     0     800
EMERSON ELECTRIC CO              COMMON    291011104     4221       87440  Shares                X         1     75440     0   12000
ENCANA CORP                      COMMON    292505104       33        1500  Shares                X         1      1500     0       0
EQUIFAX INC COM                  COMMON    294429105       56        1200  Shares                X         1      1200     0       0
EQUITY ONE INCORPORATED          COMMON    294752100        6         300  Shares       X                  1         0     0     300
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
ESSEX PROPERTY TRUST INC (REIT)  COMMON    297178105        2          14  Shares       X                  1        14     0       0
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
FLIR SYSTEMS INC                 COMMON    302445101        1          40  Shares       X                  1        40     0       0
FMC CORPORATION COMMON NEW       COMMON    302491303       15         272  Shares       X                  1       272     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
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     1259       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
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
FIFTH THIRD BANCORP COM          COMMON    316773100      158       10219  Shares       X                  1     10219     0       0
FIRST TRUST ENHANCED EQUITY
 INCOME                          PREFERRED 337318109       27        2200  Shares                X         1         0     0    2200
FISERV INC                       COMMON    337738108        4          50  Shares       X                  1        50     0       0
FISERV INC                       COMMON    337738108       15         200  Shares                X         1         0     0     200
FIRSTENERGY CORP                 COMMON    337932107      160        3638  Shares       X                  1      3638     0       0
FIRSTENERGY CORP                 COMMON    337932107      119        2709  Shares                X         1      2509     0     200
FLAHERTY/CRUMRINE CLAY PREF
 SEC FD                          PREFERRED 338478100       10         500  Shares                X         1         0     0     500
FLUOR CORP                       COMMON    343412102        4          73  Shares       X                  1        73     0       0
FLUOR CORP                       COMMON    343412102      169        3000  Shares                X         1      3000     0       0
FLOWERS FOODS INC COM            COMMON    343498101       15         750  Shares       X                  1       750     0       0
FOMENTO ECONOMICO MEXICANA ADR   COMMON    344419106        1          14  Shares       X                  1        14     0       0
FOOT LOCKER INC                  COMMON    344849104       70        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
FORD MOTOR CO                    COMMON    345370860       71        7250  Shares                X         4      7250     0       0
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        1          42  Shares       X                  1        42     0       0
FRANKLIN RESOURCES INC           COMMON    354613101       45         360  Shares       X                  1       360     0       0
FRESENIUS MEDICAL CARE AG-ADR    COMMON    358029106       35         479  Shares                X         1       479     0       0
FULTON FINANCIAL CORP            COMMON    360271100      771       78263  Shares       X                  1     78263     0       0
FULTON FINANCIAL CORP            COMMON    360271100      110       11132  Shares                X         1     10790     0     342
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
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 ELECTRIC COMPANY         COMMON    369604103       68        3000  Shares                X         4      3000     0       0
GENERAL MILLS INC                COMMON    370334104     3018       75732  Shares       X                  1     75732     0       0

                                    3 of 26




                                                                                              
GENERAL MILLS INC                COMMON    370334104     1618       40613  Shares                X         1     39713     0     900
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
GILEAD SCIENCES INC COM          COMMON    375558103      638        9620  Shares                X         1      8831     0     789
GLATFELTER                       COMMON    377316104      268       15025  Shares       X                  1     15025     0       0
GOLDCORP INC                     COMMON    380956409        2          50  Shares       X                  1        50     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
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
GREAT PLAINS ENERGY INC          COMMON    391164100       17         770  Shares       X                  1       770     0       0
GREEN MOUNTAIN COFFEE
 ROASTERS INC                    COMMON    393122106      234        9865  Shares       X                  1      9865     0       0
GUESS? INC                       COMMON    401617105        2          94  Shares       X                  1        94     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
HSBC HOLDINGS PLC PFD 6.2SER A   PREFERRED 404280604       25        1000  Shares       X                  1         0     0    1000
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
JOHN HANCOCK BANK AND THRIFT
 OPP FD                          PREFERRED 409735206        6         317  Shares       X                  1         0     0     317
HANESBRANDS INC                  COMMON    410345102       13         400  Shares                X         1         0     0     400
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
HAWAIIAN ELECTRIC INDUSTRIES
 COMMON                          COMMON    419870100       19         714  Shares       X                  1       714     0       0
HEALTH MANAGEMENT-CLASS A        COMMON    421933102        0          50  Shares                X         1        50     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      572       10219  Shares                X         1     10219     0       0
HEINZ H J CO COM                 COMMON    423074103       28         500  Shares                X         4       500     0       0
HERCULES TECHNOLOGY GROWTH       COMMON    427096508        9         812  Shares       X                  1       812     0       0
THE HERSHEY COMPANY              COMMON    427866108     2633       37135  Shares       X                  1     36179     0     956
THE HERSHEY COMPANY              COMMON    427866108     1439       20302  Shares                X         1     16602     0    3700
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       69        3400  Shares                X         1         0     0    3400
HOME DEPOT INC COM               COMMON    437076102     7123      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
HONDA MTR LTD AMERN SHS          COMMON    438128308       10         314  Shares       X                  1       314     0       0
HONDA MTR LTD AMERN SHS          COMMON    438128308       21         675  Shares                X         1       675     0       0
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
HONEYWELL INTL INC COM           COMMON    438516106       12         200  Shares                X         4       200     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        1         150  Shares                X         1         0     0     150
J B HUNT TRANSPORT SERVICES INC  COMMON    445658107        5          95  Shares       X                  1        95     0       0
HUNTINGTON INGALLS INDUSTRIES WI COMMON    446413106       10         249  Shares                X         1       249     0       0
ITT CORP                         COMMON    450911201       26        1310  Shares                X         1      1310     0       0
IAMGOLD CORP                     COMMON    450913108        2         100  Shares                X         1       100     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
IMPERIAL OIL LTD                 COMMON    453038408      115        2500  Shares                X         1      2500     0       0
INDIA FUND                       PREFERRED 454089103       66        2851  Shares       X                  1         0     0    2851
INFOSYS LIMITED                  COMMON    456788108       10         200  Shares       X                  1       200     0       0
ING GROEP NV SPONSORED ADR       COMMON    456837103       11        1450  Shares                X         1      1450     0       0
INGREDION INC                    COMMON    457187102       22         400  Shares                X         1       400     0       0
INTEL CORP COM                   COMMON    458140100    11047      487629  Shares       X                  1    482653     0    4976
INTEL CORP COM                   COMMON    458140100     5527      243983  Shares                X         1    215993     0   27990
INTEL CORP COM                   COMMON    458140100       91        4000  Shares                X         4      4000     0       0
IBM CORPORATION                  COMMON    459200101    44237      213240  Shares       X                  1    211220     0    2020
IBM CORPORATION                  COMMON    459200101    18979       91488  Shares                X         1     83092     0    8396
IBM CORPORATION                  COMMON    459200101      213        1025  Shares                X         4      1025     0       0
INTL FLAVORS & FRAGRANCES
 INC COM                         COMMON    459506101       42         700  Shares       X                  1       700     0       0
INTERNATIONAL PAPER CO COM       COMMON    460146103      144        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
INTUIT INC COM                   COMMON    461202103       53         900  Shares       X                  1       900     0       0

                                    4 of 26




                                                                                              
IRON MTN INC PA COM              COMMON    462846106       11         329  Shares                X         1       329     0       0
ISHARES GOLD TRUST               PREFERRED 464285105     1309       75809  Shares       X                  1         0     0   75809
ISHARES GOLD TRUST               PREFERRED 464285105        1          50  Shares                X         1         0     0      50
ISHARES DJ SELECT DIVIDEND ETF   PREFERRED 464287168      102        1760  Shares       X                  1         0     0    1760
ISHARES BARCLAYS TIPS BOND ETF   PREFERRED 464287176     1103        9060  Shares       X                  1         0     0    9060
ISHARES BARCLAYS TIPS BOND ETF   PREFERRED 464287176       20         165  Shares                X         1         0     0     165
ISHARES S&P 500 INDEX ETF        PREFERRED 464287200     9781       67735  Shares       X                  1         0     0   67735
ISHARES S&P 500 INDEX ETF        PREFERRED 464287200      968        6702  Shares                X         1         0     0    6702
ISHARES BARCLAYS AGGREGATE
 BOND ETF                        PREFERRED 464287226      318        2832  Shares       X                  1         0     0    2832
ISHARES BARCLAYS AGGREGATE
 BOND ETF                        PREFERRED 464287226       79         701  Shares                X         1         0     0     701
ISHARES IBOXX INV GRADE CORP
 BND ETF                         PREFERRED 464287242       98         805  Shares       X                  1         0     0     805
ISHARES S&P 500 BARRA GRWTH
 INDX ETF                        PREFERRED 464287309       14         182  Shares       X                  1         0     0     182
ISHARES S&P 500 BARRA VALUE
 INDX ETF                        PREFERRED 464287408        9         132  Shares       X                  1         0     0     132
ISHARES BARCLAYS 1-3 YEAR
 TREASURY                        PREFERRED 464287457        3          35  Shares       X                  1         0     0      35
ISHARES RUSSELL MID CAP
 VALUE ETF                       PREFERRED 464287473        2          44  Shares       X                  1         0     0      44
ISHARES RUSSELL MID CAP
 GROWTH ETF                      PREFERRED 464287481        3          52  Shares       X                  1         0     0      52
ISHARES RUSSELL MID CAP
 INDEX ETF                       PREFERRED 464287499       22         200  Shares       X                  1         0     0     200
ISHARES S&P MIDCAP 400 INDEX ETF PREFERRED 464287507       43         440  Shares       X                  1         0     0     440
ISHARES NASDAQ BIOTECHNOLOGY ETF PREFERRED 464287556        4          30  Shares       X                  1         0     0      30
ISHARES RUSSELL 1000 VALUE
 INDEX ETF                       PREFERRED 464287598     8112      112391  Shares       X                  1         0     0  112391
ISHARES RUSSELL 1000 VALUE
 INDEX ETF                       PREFERRED 464287598     1899       26306  Shares                X         1         0     0   26306
ISHARES RUSSELL 1000 VALUE
 INDEX ETF                       PREFERRED 464287598       81        1120  Shares                X         4         0  1120       0
ISHARES S&P MIDCAP 400 BARRA
 GRW ETF                         PREFERRED 464287606      766        6841  Shares       X                  1         0     0    6841
ISHARES RUSSELL 1000 GROWTH
 INDX ETF                        PREFERRED 464287614    10288      154246  Shares       X                  1         0     0  154246
ISHARES RUSSELL 1000 GROWTH
 INDX ETF                        PREFERRED 464287614     2326       34876  Shares                X         1         0     0   34876
ISHARES RUSSELL 1000 GROWTH
 INDX ETF                        PREFERRED 464287614       98        1468  Shares                X         4         0  1468       0
ISHARES RUSSELL 1000 INDEX ETF   PREFERRED 464287622     4353       54769  Shares       X                  1         0     0   54769
ISHARES RUSSELL 2000 VALUE
 INDEX ETF                       PREFERRED 464287630        1          14  Shares       X                  1         0     0      14
ISHARES RUSSELL 2000 GROWTH
 INDX ETF                        PREFERRED 464287648     6249       65364  Shares       X                  1         0     0   65364
ISHARES RUSSELL 2000 GROWTH
 INDX ETF                        PREFERRED 464287648      471        4923  Shares                X         1         0     0    4923
ISHARES RUSSELL 2000 GROWTH
 INDX ETF                        PREFERRED 464287648       46         478  Shares                X         4         0   478       0
ISHARES RUSSELL 2000 INDEX ETF   PREFERRED 464287655      131        1570  Shares       X                  1         0     0    1570
ISHARES RUSSELL 2000 INDEX ETF   PREFERRED 464287655       22         260  Shares                X         1         0     0     260
ISHARES DJ US UTILITIES
 SECTOR ETF                      PREFERRED 464287697        5          60  Shares       X                  1         0     0      60
ISHARES S&P MIDCAP 400 BARRA
 VAL ETF                         PREFERRED 464287705      519        6107  Shares       X                  1         0     0    6107
ISHARES DJ US FINANCIAL
 SECTOR ETF                      PREFERRED 464287788       31         540  Shares       X                  1         0     0     540
ISHARES S&P SMALL CAP 600
 INDEX ETF                       PREFERRED 464287804     1431       18564  Shares       X                  1         0     0   18564
ISHARES DJ US BASIC
 MATERIALS ETF                   PREFERRED 464287838       51         750  Shares                X         1         0     0     750
ISHARES S&P SMALL CAP 600
 GROWTH ETF                      PREFERRED 464287887     1405       16800  Shares       X                  1         0     0   16800
ISHARES JPM USD EMERGING MKT
 BND ETF                         PREFERRED 464288281        6          46  Shares       X                  1         0     0      46
ISHARES IBOXX HIGH YLD CORP
 BND ETF                         PREFERRED 464288513       45         485  Shares       X                  1         0     0     485
ISHARES IBOXX HIGH YLD CORP
 BND ETF                         PREFERRED 464288513       40         434  Shares                X         1         0     0     434
ISHARES BARCLAYS MBS ETF         PREFERRED 464288588       15         135  Shares       X                  1         0     0     135
ISHARES BARCLAYS SHORT
 TREASURY ETF                    PREFERRED 464288679       11         100  Shares       X                  1         0     0     100
ISHARES S&P US PREFERRED
 STOCK ETF                       PREFERRED 464288687       64        1600  Shares       X                  1         0     0    1600
ISHARES S&P US PREFERRED
 STOCK ETF                       PREFERRED 464288687      104        2600  Shares                X         1         0     0    2600
ISHARES MSCI USA ESG SLCT
 SOCIAL ETF                      PREFERRED 464288802       19         316  Shares       X                  1         0     0     316
ISIS PHARMACEUTICALS COM         COMMON    464330109        5         350  Shares       X                  1       350     0       0
ITAU UNIBANCO HOLDING SA -
 PREF ADR                        COMMON    465562106        8         496  Shares       X                  1       496     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
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 & JOHNSON                COMMON    478160104      141        2050  Shares                X         4      2050     0       0
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
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
KINROSS GOLD CORPORATION         COMMON    496902404        4         419  Shares       X                  1       419     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
KONINKLIJKE PHILIPS ELEC
 N V NY SHR                      COMMON    500472303       14         579  Shares       X                  1       579     0       0
KOREA ELECTRIC POWER CORP
 SP ADR                          COMMON    500631106        8         655  Shares                X         1       655     0       0
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
KUBOTA CORP-SPONS ADR            COMMON    501173207       11         214  Shares       X                  1       214     0       0
LKQ CORPORATION                  COMMON    501889208      516       27912  Shares       X                  1     27912     0       0
LSI CORPORATION                  COMMON    502161102        0          14  Shares                X         1        14     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
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

                                    5 of 26




                                                                                              
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
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
LEXINGTON REALTY TRUST           COMMON    529043101       32        3315  Shares       X                  1      3315     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
LIBERTY MEDIA CORP               COMMON    530322205       56         543  Shares                X         1       543     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 B          COMMON    530555200       33         543  Shares                X         1       543     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
LIHUA INTERNATIONAL INC          COMMON    532352101        7        2000  Shares                X         1      2000     0       0
LILLY ELI & COMPANY COMMON       COMMON    532457108     4202       88640  Shares       X                  1     88440     0     200
LILLY ELI & COMPANY COMMON       COMMON    532457108     3797       80087  Shares                X         1     78644     0    1443
LILLY ELI & COMPANY COMMON       COMMON    532457108       36         750  Shares                X         4       750     0       0
LIMITED BRANDS, INC COM          COMMON    532716107     1299       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        4         110  Shares                X         1         0     0     110
LLOYDS BANKING GROUP PLC         COMMON    539439109        4        1430  Shares       X                  1      1430     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
LOCKHEED MARTIN
 CORPORATION COM                 COMMON    539830109       47         500  Shares                X         4       500     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
LUFKIN INDUSTRIES INC            COMMON    549764108      234        4352  Shares       X                  1      4352     0       0
LULULEMON ATHLETICA INC-W/I      COMMON    550021109     2024       27367  Shares       X                  1     27049     0     318
LULULEMON ATHLETICA INC-W/I      COMMON    550021109       60         818  Shares                X         1       818     0       0
MDC HOLDINGS INC                 COMMON    552676108      307        7962  Shares       X                  1      7962     0       0
MDC HOLDINGS INC                 COMMON    552676108       31         804  Shares                X         1       804     0       0
MFS MUN INCOME TR SH BEN INT     COMMON    552738106        2         300  Shares                X         1         0     0     300
MGM RESORTS INTERNATIONAL        COMMON    552953101        1         135  Shares       X                  1       135     0       0
MV OIL TRUST                     COMMON    553859109        7         200  Shares                X         1       200     0       0
MAGNA INTERNATIONAL              COMMON    559222401       17         400  Shares                X         1       400     0       0
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
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
MARSH & MCLENNAN COS INC COM     COMMON    571748102       61        1800  Shares                X         1      1800     0       0
MARRIOTT INTL INC CL A           COMMON    571903202       20         500  Shares       X                  1       500     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
MATTEL COMMON                    COMMON    577081102      611       17232  Shares       X                  1     17232     0       0
MATTEL COMMON                    COMMON    577081102       54        1530  Shares                X         1      1530     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
MCDONALD'S CORPORATION           COMMON    580135101      188        2050  Shares                X         4      2050     0       0
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
MCMORAN EXPLORATION CO           COMMON    582411104      118       10000  Shares                X         1     10000     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
MEDTRONIC INC                    COMMON    585055106      785       18213  Shares       X                  1     18013     0     200
MEDTRONIC INC                    COMMON    585055106     1059       24550  Shares                X         1     21300     0    3250
METROPCS COMMUNICATIONS INC.     COMMON    591708102        2         143  Shares       X                  1       143     0       0
MICROSOFT CORP                   COMMON    594918104    16906      568089  Shares       X                  1    561162     0    6927
MICROSOFT CORP                   COMMON    594918104     7119      239203  Shares                X         1    212253     0   26950
MICROSOFT CORP                   COMMON    594918104       89        3000  Shares                X         4      3000     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        1          95  Shares       X                  1        95     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
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

                                    6 of 26




                                                                                              
MOODYS CORP                      COMMON    615369105        8         170  Shares                X         1       170     0       0
MOOG INC CL A                    COMMON    615394202       11         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
MORGAN STANLEY GROUP INC         COMMON    617446448        8         500  Shares                X         4       500     0       0
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
MYLAN INC                        COMMON    628530107       13         533  Shares       X                  1       533     0       0
NVE CORPORATION                  COMMON    629445206        6         100  Shares       X                  1       100     0       0
NATIONAL FUEL GAS CO COMMON      COMMON    636180101       92        1700  Shares                X         1      1700     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
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 OILWELL VARCO INC       COMMON    637071101       40         500  Shares                X         4       500     0       0
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
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
NIKE INC CL B                    COMMON    654106103     1687       17779  Shares       X                  1     17779     0       0
NIKE INC CL B                    COMMON    654106103      223        2346  Shares                X         1      2051     0     295
NIPPON TELEGRAPH & TELE ADR      COMMON    654624105        2          70  Shares       X                  1        70     0       0
NIPPON TELEGRAPH & TELE ADR      COMMON    654624105       18         745  Shares                X         1       745     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
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
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       22       10000  Shares       X                  1     10000     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
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
OI SA                            COMMON    670851104        1         122  Shares                X         1       122     0       0
OI SA ADR                        COMMON    670851203        4         984  Shares                X         1       984     0       0
NUVEEN MUNICIPAL VALUE FUND      PREFERRED 670928100       31        2975  Shares       X                  1         0     0    2975
NUVEEN MUNICIPAL VALUE FUND      PREFERRED 670928100        6         594  Shares                X         1         0     0     594
NUVEEN PA INVESTMENT QUALITY
 MUNI FD                         PREFERRED 670972108      147        8984  Shares       X                  1         0     0    8984
NUVEEN PA INVESTMENT QUALITY
 MUNI FD                         PREFERRED 670972108       59        3600  Shares                X         1         0     0    3600
NUVEEN SELECT QUALITY
 MUNICIPAL FUND                  PREFERRED 670973106        7         406  Shares                X         1         0     0     406
NUVEEN NEW YORK SLCT QULTY
  MUNI CEF                       PREFERRED 670976109        8         500  Shares                X         1         0     0     500
NUVEEN QUALITY INCOME
 MUNICIPAL FUND                  PREFERRED 670977107        8         500  Shares       X                  1         0     0     500
NUVEEN QUALITY INCOME
 MUNICIPAL FUND                  PREFERRED 670977107        3         210  Shares                X         1         0     0     210
NUVEEN MUNICIPAL
 OPPORTUNITY FD INC              PREFERRED 670984103        6         396  Shares                X         1         0     0     396
NUVEEN NY QUALITY INCOME
 MUNI CEF                        PREFERRED 670986108       16        1000  Shares                X         1         0     0    1000
NUVEEN PREMIER MUNICIPAL
OPPRTY FUND                      PREFERRED 670987106        7         410  Shares       X                  1         0     0     410
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
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
ONCOTHYREON INC                  COMMON    682324108        4         833  Shares       X                  1       150     0     683
ONEOK INC                        COMMON    682680103       68        1400  Shares       X                  1      1400     0       0
OSHKOSH CORPORATION              COMMON    688239201        5         200  Shares       X                  1       200     0       0
OXIGENE INC                      COMMON    691828305        0         250  Shares       X                  1       250     0       0
PICO HOLDINGS INC COM            COMMON    693366205        1          57  Shares       X                  1        57     0       0
PNC FINANCIAL SERVICES
 GROUP INC                       COMMON    693475105     7146      113247  Shares       X                  1    111947     0    1300

                                    7 of 26




                                                                                              
PNC FINANCIAL SERVICES
 GROUP INC                       COMMON    693475105     1389       22008  Shares                X         1     17678     0    4330
POSCO - ADR                      COMMON    693483109        9         106  Shares       X                  1       106     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
PVH CORP                         COMMON    693656100      633        6757  Shares       X                  1      6757     0       0
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
PAN AMERICAN SILVER CORP         COMMON    697900108        3         150  Shares       X                  1       150     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
PENN WEST ENERGY
 PETROLEUM LTD                   COMMON    707887105       57        4000  Shares                X         1      4000     0       0
J C PENNEY COMPANY COMMON        COMMON    708160106       47        1940  Shares       X                  1      1940     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      524       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
PEPSICO INC COM                  COMMON    713448108      120        1700  Shares                X         4      1700     0       0
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
PFIZER INC                       COMMON    717081103    16671      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
PHILIP MORRIS INTL INC           COMMON    718172109      157        1750  Shares                X         4      1750     0       0
PHILLIPS 66                      COMMON    718546104     4129       89045  Shares       X                  1     88614     0     431
PHILLIPS 66                      COMMON    718546104     1151       24812  Shares                X         1     22107     0    2705
PHILLIPS 66                      COMMON    718546104       46        1000  Shares                X         4      1000     0       0
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
PIONEER MUNI HIGH INCOME
 ADV TRUST                       PREFERRED 723762100       24        1500  Shares       X                  1         0     0    1500
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
PORTUGAL TELECOM SGPS S A
 SPONS ADR                       COMMON    737273102        8        1614  Shares                X         1      1614     0       0
POST HOLDINGS INC                COMMON    737446104        1          36  Shares       X                  1        36     0       0
POST HOLDINGS INC                COMMON    737446104        1          22  Shares                X         1        22     0       0
PRECISION CASTPARTS CORP COM     COMMON    740189105      944        5777  Shares       X                  1      5777     0       0
PRECISION CASTPARTS CORP COM     COMMON    740189105        7          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
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
PROCTER & GAMBLE CO COM          COMMON    742718109      243        3500  Shares                X         4      3500     0       0
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
PROVIDENT NEW YORK BANCORP       COMMON    744028101       21        2225  Shares                X         1      2225     0       0
PRUDENTIAL FINANCIAL INC         COMMON    744320102      193        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
QLT INC                          COMMON    746927102       16        2000  Shares       X                  1      2000     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
QUESTAR CORP                     COMMON    748356102       24        1200  Shares       X                  1      1200     0       0
QUESTAR CORP                     COMMON    748356102       77        3800  Shares                X         1      3800     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
RF MICRO DEVICES INC COM         COMMON    749941100        1         140  Shares       X                  1       140     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

                                    8 of 26




                                                                                              
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       54        1309  Shares                X         1      1309     0       0
RED HAT INC COM                  COMMON    756577102       11         200  Shares       X                  1       200     0       0
REED ELSEVIER NV SPONSORED ADR   COMMON    758204200        2          72  Shares       X                  1        72     0       0
REPUBLIC SERVICES INC COMMON     COMMON    760759100        1          41  Shares       X                  1        41     0       0
RESEARCH IN MOTION LIMITED       COMMON    760975102       27        3617  Shares       X                  1      3617     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
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
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
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
ROGERS COMMUNICATIONS INC CL B   COMMON    775109200        8         198  Shares       X                  1       198     0       0
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
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 BANK SCOTLAND-SPON ADR     COMMON    780097689        2         281  Shares                X         1       281     0       0
ROYAL BANK SCOTLAND PFD
 6.35% SER N                     PREFERRED 780097770       21        1000  Shares       X                  1         0     0    1000
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
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
RYDER SYS INC COM                COMMON    783549108       32         815  Shares       X                  1       815     0       0
SEI CORP COM                     COMMON    784117103        4         175  Shares       X                  1       175     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
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
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
SAN JUAN BASIN ROYALTY TR        COMMON    798241105        2         150  Shares                X         1         0     0     150
SANDY SPRING BANCORP INC         COMMON    800363103      232       12067  Shares                X         1     12067     0       0
SAP AG SPONS ADR                 COMMON    803054204       36         500  Shares       X                  1       500     0       0
SAREPTA THERAPEUTICS INC         COMMON    803607100       31        1999  Shares       X                  1      1999     0       0
HENRY SCHEIN INC COM             COMMON    806407102       91        1149  Shares       X                  1      1149     0       0
SCHLUMBERGER LTD                 COMMON    806857108    16747      231532  Shares       X                  1    230385     0    1147
SCHLUMBERGER LTD                 COMMON    806857108     5187       71709  Shares                X         1     65589     0    6120
SCHLUMBERGER LTD                 COMMON    806857108      112        1550  Shares                X         4      1550     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
SEARS HOLDINGS CORP              COMMON    812350106       19         350  Shares                X         1       350     0       0
SEARS INC-RIGHTS   10/08/12      COMMON    812350114        1         350  Shares                X         1         0     0     350
SEATTLE GENETICS INC             COMMON    812578102        4         150  Shares       X                  1       150     0       0
SELECTIVE INS GROUP INC          COMMON    816300107       71        3712  Shares       X                  1      3712     0       0
SEMPRA ENERGY COM                COMMON    816851109       10         150  Shares       X                  1       150     0       0
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
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
SIGMA-ALDRICH CORP COMMON        COMMON    826552101        1          18  Shares       X                  1        18     0       0
SILVER WHEATON CORPORATION       COMMON    828336107       14         350  Shares       X                  1       350     0       0
SILVER WHEATON CORPORATION       COMMON    828336107      163        4100  Shares                X         1      4100     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
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
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
SONY CORP - SPONSORED ADR        COMMON    835699307        2         210  Shares       X                  1       210     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 CO COM                  COMMON    842587107       69        1500  Shares                X         4      1500     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

                                    9 of 26




                                                                                              
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
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      463       40161  Shares       X                  1     40161     0       0
STAPLES INC COM                  COMMON    855030102      210       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
STARBUCKS CORP COM               COMMON    855244109       51        1000  Shares                X         4      1000     0       0
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
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
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      449       13665  Shares                X         1     13665     0       0
PFD SUNPOWER CORP "ONE"          COMMON    867652406        1         200  Shares       X                  1       200     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
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
TECO ENERGY INC                  COMMON    872375100       36        2049  Shares       X                  1      2049     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
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
TECH DATA CORP COM               COMMON    878237106       23         500  Shares                X         1       500     0       0
TECK RESOURCES LTD- CL B         COMMON    878742204       29        1000  Shares                X         1      1000     0       0
TELEFONICA S A SPONSORED ADR     COMMON    879382208       10         776  Shares       X                  1       776     0       0
TELEFONICA S A SPONSORED ADR     COMMON    879382208       33        2477  Shares                X         1      2477     0       0
TELLABS INC COM                  COMMON    879664100        1         384  Shares       X                  1       384     0       0
TEMPLETON GLOBAL INCOME
 FUND-DE                         PREFERRED 880198106      366       38250  Shares       X                  1         0     0   38250
TEREX CORP                       COMMON    880779103        7         289  Shares       X                  1       289     0       0
TEVA PHARMACEUTICAL
 SPONS ADR                       COMMON    881624209      435       10513  Shares       X                  1     10513     0       0
TEVA PHARMACEUTICAL
 SPONS ADR                       COMMON    881624209      634       15320  Shares                X         1     15320     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
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
TIDEWATER COMMON                 COMMON    886423102       49        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 INC                  COMMON    887317303      248        5478  Shares       X                  1      5478     0       0
TIME WARNER INC                  COMMON    887317303       77        1708  Shares                X         1      1708     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
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
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
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       27        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        1          59  Shares       X                  1        59     0       0
TYSON FOODS INC COM              COMMON    902494103       10         625  Shares                X         1       625     0       0
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
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
U S BANCORP DEL COM NEW          COMMON    902973304     6572      191607  Shares       X                  1    190857     0     750

                                    10 of 26




                                                                                              
U S BANCORP DEL COM NEW          COMMON    902973304      612       17840  Shares                X         1     14745     0    3095
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
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
UNILEVER NV NY SHARES            COMMON    904784709      192        5421  Shares       X                  1      5421     0       0
UNILEVER NV NY SHARES            COMMON    904784709       95        2680  Shares                X         1      2680     0       0
UNILEVER NV NY SHARES            COMMON    904784709       35        1000  Shares                X         4      1000     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
UNION PACIFIC CORP COM           COMMON    907818108       59         500  Shares                X         4       500     0       0
UNITED PARCEL SERVICE CL B       COMMON    911312106     5487       76670  Shares       X                  1     76445     0     225
UNITED PARCEL SERVICE CL B       COMMON    911312106     1057       14763  Shares                X         1     13125     0    1638
UNITED PARCEL SERVICE CL B       COMMON    911312106       21         300  Shares                X         4       300     0       0
US NATURAL GAS ETF               PREFERRED 912318201       26        1205  Shares       X                  1         0     0    1205
UNITED STS STL CORP NEW          COMMON    912909108       51        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
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
VCA ANTECH INC                   COMMON    918194101        1          53  Shares       X                  1        53     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
VANGUARD DIVIDEND
 APPRECIATION ETF                PREFERRED 921908844       12         200  Shares       X                  1         0     0     200
VANGUARD INT-TRM BOND ETF        PREFERRED 921937819       52         573  Shares       X                  1         0     0     573
VANGUARD SHORT-TERM
 BD ETF                          PREFERRED 921937827      110        1346  Shares       X                  1         0     0    1346
VANGUARD SHORT-TERM
 BD ETF                          PREFERRED 921937827       13         155  Shares                X         1         0     0     155
VANGUARD TOTAL BOND
 MKT ETF                         PREFERRED 921937835     6547       76887  Shares       X                  1         0     0   76887
VANGUARD TOTAL BOND MKT ETF      PREFERRED 921937835      724        8506  Shares                X         1         0     0    8506
VANGUARD HIGH DIVIDEND
 YIELD ETF                       PREFERRED 921946406      791       15698  Shares       X                  1         0     0   15698
VANGUARD HIGH DIVIDEND
 YIELD ETF                       PREFERRED 921946406      267        5305  Shares                X         1         0     0    5305
VANGUARD REIT ETF                PREFERRED 922908553      439        6763  Shares       X                  1         0     0    6763
VANGUARD REIT ETF                PREFERRED 922908553       39         605  Shares                X         1         0     0     605
VANGUARD MID-CAP ETF             PREFERRED 922908629       27         331  Shares                X         1         0     0     331
VANGUARD TOTAL STOCK
 MARKET ETF                      PREFERRED 922908769       12         168  Shares       X                  1         0     0     168
VIROPHARMA INC                   COMMON    928241108        3         100  Shares       X                  1       100     0       0
VIRTUALSCOPICS INC               COMMON    928269109        8        8400  Shares       X                  1         0     0    8400
VIVUS INC                        COMMON    928551100        9         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
WD 40 CO COM                     COMMON    929236107       11         200  Shares       X                  1       200     0       0
WD 40 CO COM                     COMMON    929236107       11         200  Shares                X         1       200     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      192        5268  Shares                X         1      5198     0      70
WASHINGTON REAL ESTATE
 INVT (REIT)                     COMMON    939653101       40        1500  Shares                X         1      1000     0     500
WASTE CONNECTIONS INC            COMMON    941053100      271        8946  Shares       X                  1      8946     0       0
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
WEIS MARKETS INC                 COMMON    948849104       49        1150  Shares       X                  1       900     0     250
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
WELLS FARGO & CO                 COMMON    949746101       86        2500  Shares                X         4      2500     0       0
WELLS FARGO 7.500% CONV
 PFD SER L                       PREFERRED 949746804       62          50  Shares                X         1         0     0      50
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
WHITESTONE REIT                  COMMON    966084204       26        2000  Shares       X                  1         0     0    2000
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
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
WYNN RESORTS LIMITED             COMMON    983134107       12         100  Shares       X                  1       100     0       0
XILINX COM                       COMMON    983919101       19         568  Shares       X                  1       568     0       0
XEROX CORPORATION COMMON         COMMON    984121103       18        2475  Shares       X                  1      2475     0       0
YAHOO INC COM                    COMMON    984332106        7         445  Shares       X                  1       445     0       0
YAHOO INC COM                    COMMON    984332106       16        1000  Shares                X         1      1000     0       0

                                    11 of 26




                                                                                              
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      700       10550  Shares                X         1      8350     0    2200
ZIONS BANCORPORATION COM         COMMON    989701107       32        1555  Shares       X                  1      1555     0       0
ZIONS BANCORPORATION COM         COMMON    989701107        1          25  Shares                X         1        25     0       0
TALISMAN ENERGY INC              COMMON    87425E103        5         397  Shares       X                  1       397     0       0
TALISMAN ENERGY INC              COMMON    87425E103        3         210  Shares                X         1         0     0     210
AMERICAN EAGLE OUTFITTER INC     COMMON    02553E106        8         400  Shares       X                  1       400     0       0
BARCLAYS PLC - SPONS ADR         COMMON    06738E204        4         320  Shares       X                  1       320     0       0
BARCLAYS PLC - SPONS ADR         COMMON    06738E204       10         755  Shares                X         1       755     0       0
BLACKROCK MUNIYIELD
 QUALITY FD III                  PREFERRED 09254E103       16         984  Shares       X                  1         0     0     984
EDWARDS LIFESCIENCES
 CORP COM                        COMMON    28176E108       48         450  Shares       X                  1       450     0       0
PETROCHINA CO LTD ADR            COMMON    71646E100       16         125  Shares                X         1       125     0       0
TOTAL SA SPONSORED ADR           COMMON    89151E109      212        4232  Shares       X                  1      4232     0       0
TOTAL SA SPONSORED ADR           COMMON    89151E109       48         952  Shares                X         1       952     0       0
UNIVERSAL HEALTH REALTY
INCOME TRUST                     COMMON    91359E105       18         400  Shares                X         1       400     0       0
ABERDEEN ASIA PACIFIC
 INCOME CEF                      COMMON    003009107       20        2533  Shares       X                  1         0     0    2533
ABERDEEN AUSTRALIA
 EQUITY CEF                      COMMON    003011103        5         500  Shares                X         1         0     0     500
ABERDEEN CHILE CLS END           COMMON    00301W105        5         300  Shares       X                  1         0     0     300
ALLEGHENY TECH CONV
 4.250%  6/01/14                 PREFERRED 01741RAD4        2        2000  Shares       X                  1         0     0    2000
ALPINE TOTAL DYNAMIC DVD FD      COMMON    021060108       21        4844  Shares       X                  1         0     0    4844
ALPINE TOTAL DYNAMIC DVD FD      COMMON    021060108        2         500  Shares                X         1         0     0     500
AMERIGAS PARTNERS LP             COMMON    030975106       13         300  Shares       X                  1       300     0       0
AMERIGAS PARTNERS LP             COMMON    030975106       13         300  Shares                X         1       300     0       0
ATLAS PIPELINE PARTNERS LP       COMMON    049392103        8         243  Shares       X                  1       243     0       0
BLACKROCK INTL GROWTH &
INCOME TR                        COMMON    092524107        5         700  Shares       X                  1         0     0     700
BLACKSTONE GROUP LP (THE)        COMMON    09253U108       46        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
CENTRAL FUND OF CANADA           COMMON    153501101        5         200  Shares                X         1         0     0     200
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 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
ENERGY TRANSFER EQUITY LP        COMMON    29273V100        5         100  Shares       X                  1       100     0       0
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
INERGY LP                        COMMON    456615103       34        1810  Shares       X                  1      1810     0       0
ISHARES MSCI CANADA
 INDEX ETF                       COMMON    464286509       28         973  Shares       X                  1         0     0     973
ISHARES MSCI ISRAEL CAPPED
 IMI ETF                         COMMON    464286632       16         393  Shares       X                  1         0     0     393
ISHARES MSCI PACIFIC
 EX-JAPAN ETF                    COMMON    464286665        4          87  Shares       X                  1         0     0      87
ISHARES MSCI SINGAPORE INDEX ETF COMMON    464286673        4         272  Shares       X                  1         0     0     272
ISHARES MSCI UNITED KINGDOM ETF  COMMON    464286699        3         173  Shares       X                  1         0     0     173
ISHARES MSCI SWEDEN INDEX ETF    COMMON    464286756        4         128  Shares       X                  1         0     0     128
ISHARES MSCI SOUTH KOREA
 INDEX ETF                       COMMON    464286772        4          68  Shares       X                  1         0     0      68
ISHARES MSCI JAPAN INDEX ETF     COMMON    464286848       23        2500  Shares       X                  1         0     0    2500
ISHARES MSCI HONG KONG INDEX
 ETF                             COMMON    464286871        4         202  Shares       X                  1         0     0     202
ISHARES FTSE CHINA 25 ETF        COMMON    464287184        9         256  Shares       X                  1         0     0     256
ISHARES MSCI EMERGING
 MARKETS ETF                     COMMON    464287234      414       10019  Shares       X                  1         0     0   10019
ISHARES MSCI EMERGING
 MARKETS ETF                     COMMON    464287234       64        1550  Shares                X         1         0     0    1550
ISHARES MSCI EAFE INDEX          OTHER     464287465    16322      307971  Shares       X                  1         0     0  307971
ISHARES MSCI EAFE INDEX          OTHER     464287465     4383       82705  Shares                X         1         0     0   82705
ISHARES MSCI EAFE INDEX          OTHER     464287465       69        1302  Shares                X         4         0  1302       0
ISHARES S&P EUROPE 350
 INDEX ETF                       COMMON    464287861       91        2500  Shares                X         1         0     0    2500
ISHARES MSCI EAFE SMALL
 CAP ETF                         COMMON    464288273        4          96  Shares       X                  1         0     0      96
ISHARES FTSE DEVLPD SMALL
 EX NA ETF                       COMMON    464288497        1          40  Shares                X         1         0     0      40
ISHARES MSCI EAFE GROWTH
 INDEX ETF                       COMMON    464288885    28420      503182  Shares       X                  1         0     0  503182
ISHARES MSCI EAFE GROWTH
 INDEX ETF                       COMMON    464288885      219        3878  Shares                X         1         0     0    3878
ISHARES MSCI NEW ZEALAND
 INVESTABLE                      COMMON    464289123        4         126  Shares       X                  1         0     0     126
ISHARES MSCI POLAND IMI ETF      COMMON    46429B606        3         110  Shares       X                  1         0     0     110
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       19         212  Shares                X         1       212     0       0
MARKET VECTORS EMG MKT
 LOC CR BD ETF                   COMMON    57060U522        7         267  Shares       X                  1         0     0     267
MARKWEST ENERGY PARTNERS LP      COMMON    570759100        4          75  Shares       X                  1        75     0       0
MARKWEST ENERGY PARTNERS LP      COMMON    570759100       11         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       60        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       10         500  Shares                X         1       500     0       0
PLAINS ALL AMERICAN PIPELINE L P COMMON    726503105       22         250  Shares                X         1       250     0       0

                                    12 of 26




                                                                                              
REGENCY ENERGY PARTNERS LP       COMMON    75885Y107       28        1200  Shares       X                  1      1200     0       0
SPDR S&P EMERGING ASIA
 PACIFIC ETF                     COMMON    78463X301      437        6000  Shares                X         1         0     0    6000
SPDR DJ INTL REAL ESTATE ETF     COMMON    78463X863      538       13695  Shares       X                  1         0     0   13695
SPECTRA ENERGY PARTNERS LP       COMMON    84756N109        2          50  Shares                X         1        50     0       0
SPROTT PHYSICAL SILVER TRUST     COMMON    85207K107       21        1500  Shares       X                  1         0     0    1500
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      154        3300  Shares       X                  1      3300     0       0
SUNOCO LOGISTICS PARTNERS LP     COMMON    86764L108       51        1100  Shares                X         1      1100     0       0
ELEMENTS ROGERS INTL
 COMMOD AGRI ETN                 COMMON    870297603        5         500  Shares       X                  1         0     0     500
TEMPLETON DRAGON FUND INC        COMMON    88018T101        3         100  Shares       X                  1         0     0     100
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       22         570  Shares       X                  1       570     0       0
TRANSMONTAIGNE PARTNERS LP       COMMON    89376V100        8         200  Shares                X         1       200     0       0
VANGUARD MSCI EMERGING
 MKTS ETF                        COMMON    922042858       71        1710  Shares       X                  1         0     0    1710
VANGUARD MSCI EMERGING
 MKTS ETF                        COMMON    922042858      484       11600  Shares                X         1         0     0   11600
VANGUARD MSCI EUROPEAN ETF       COMMON    922042874        4          81  Shares       X                  1         0     0      81
VANGUARD NATURAL RESOURCES LLC   COMMON    92205F106        6         200  Shares                X         1       200     0       0
WESTERN ASSET EMRG MKTS DEBT
 FD INC                          COMMON    95766A101        5         250  Shares       X                  1         0     0     250
WESTERN ASSET EMRG MKTS DEBT
 FD INC                          COMMON    95766A101       13         600  Shares                X         1         0     0     600
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
WISDOMTREE EMG MARKET
 EQUITY INC ETF                  COMMON    97717W315     5554      103483  Shares       X                  1         0     0  103483
WISDOMTREE EMG MARKET
 EQUITY INC ETF                  COMMON    97717W315      176        3279  Shares                X         1         0     0    3279
WISDOMTREE JAPAN SM CAP
 DIVIDEND ETF                    COMMON    97717W836       42        1000  Shares                X         1         0     0    1000
WISDOM TREE EMERGING
 MARKETS DEBT                    COMMON    97717X867        9         180  Shares       X                  1         0     0     180
GOLAR LNG PARTNERS LP            COMMON    Y2745C102        4         123  Shares       X                  1       123     0       0
ABB LTD SPON ADR                 COMMON    000375204        5         285  Shares       X                  1       285     0       0
ABB LTD SPON ADR                 COMMON    000375204       39        2060  Shares                X         1      2060     0       0
ACCO BRANDS CORP                 COMMON    00081T108      489       75309  Shares       X                  1     73991     0    1318
ACCO BRANDS CORP                 COMMON    00081T108       14        2123  Shares                X         1      2123     0       0
ACCO BRANDS CORP                 COMMON    00081T108        4         693  Shares       X                  3       693     0       0
ACNB CORP                        COMMON    000868109      316       19745  Shares       X                  1     15548     0    4197
ACNB CORP                        COMMON    000868109        0           1  Shares       X                  3         1
AFLAC INC                        COMMON    001055102      403        8422  Shares       X                  1      8422     0       0
AFLAC INC                        COMMON    001055102      615       12835  Shares                X         1     12435     0     400
AGL RESOURCES INC                COMMON    001204106        9         209  Shares       X                  1       209     0       0
AGL RESOURCES INC                COMMON    001204106       23         567  Shares                X         1       567     0       0
AES CORP COM                     COMMON    00130H105       14        1300  Shares       X                  1      1300     0       0
AK STEEL HOLDING CORP COM        COMMON    001547108        0          66  Shares       X                  1        66     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
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
AT&T INC                         COMMON    00206R102      325        8872  Shares       X                  3      8872
ABBOTT LABORATORIES              COMMON    002824100     9640      140606  Shares       X                  1    139106     0    1500
ABBOTT LABORATORIES              COMMON    002824100     4922       71788  Shares                X         1     68558     0    3230
ABBOTT LABORATORIES              COMMON    002824100      221        3261  Shares       X                  3      3021     0     240
ABBOTT LABORATORIES              COMMON    002824100       51         750  Shares                X         4       750     0       0
ABERCROMBIE & FITCH CO CL A      COMMON    002896207        3          75  Shares       X                  1        75     0       0
ACME PACKET INC                  COMMON    004764106       12         684  Shares       X                  1       684     0       0
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
ADTRAN INC COM                   COMMON    00738A106      250       13290  Shares       X                  3     13290     0       0
ADVANCED SEMICONDUCTOR E ADR     COMMON    00756M404        8        2258  Shares       X                  1      2258     0       0
AECOM TECHNOLOGY CORP            COMMON    00766T100        3         165  Shares       X                  1       165     0       0
ADVANCED MICRO DEVICES INC COM   COMMON    007903107        0          80  Shares       X                  1        80     0       0
ADVANCED MICRO DEVICES INC COM   COMMON    007903107        2         500  Shares                X         1       500     0       0
AEGON NV ORD AMER REG SHS        COMMON    007924103       13        2404  Shares                X         1      2404     0       0
AES TRUST III 6.750% CONV PFD    PREFERRED 00808N202       20         400  Shares       X                  1         0     0     400
AES TRUST III 6.750% CONV PFD    PREFERRED 00808N202       16         325  Shares                X         1         0     0     325
AETNA INC NEW COM                COMMON    00817Y108      387        9784  Shares       X                  1      9784     0       0
AFFILIATED MANAGERS GROUP        COMMON    008252108     1518       12343  Shares       X                  1     12135     0     208
AFFILIATED MANAGERS GROUP        COMMON    008252108       74         605  Shares                X         1       605     0       0
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
AGILENT TECHNOLOGIES INC COM     COMMON    00846U101        9         229  Shares       X                  3       229
AGNICO EAGLE MINES LTD           COMMON    008474108        3          50  Shares       X                  1        50     0       0
AIR PRODUCTS & CHEMICALS INC     COMMON    009158106     1685       20377  Shares       X                  1     20127     0     250
AIR PRODUCTS & CHEMICALS INC     COMMON    009158106     1169       14140  Shares                X         1     14026     0     114
ALBEMARLE CORP COM               COMMON    012653101     2575       48878  Shares       X                  1     47924     0     954
ALBEMARLE CORP COM               COMMON    012653101     1210       22974  Shares                X         1     22974     0       0
ALBEMARLE CORP COM               COMMON    012653101       36         690  Shares       X                  3       690     0       0
ALCOA INC COM                    COMMON    013817101      225       25463  Shares       X                  1     25163     0     300

                                    13 of 26




                                                                                              
ALCOA INC COM                    COMMON    013817101      177       20045  Shares                X         1     19285     0     760
ALCATEL-LUCENT - SPON ADR        COMMON    013904305        0         175  Shares       X                  1       175     0       0
ALCATEL-LUCENT - SPON ADR        COMMON    013904305        0         253  Shares                X         1       253     0       0
ALEXANDER & BALDWIN INC          COMMON    014491104      765       25889  Shares       X                  1     25447     0     442
ALEXANDER & BALDWIN INC          COMMON    014491104       37        1266  Shares                X         1      1266     0       0
ALEXANDER & BALDWIN INC          COMMON    014491104       10         334  Shares       X                  3       334     0       0
ALERE INC                        COMMON    01449J105      283       14531  Shares       X                  1     14531     0       0
ALERE INC                        COMMON    01449J105      219       11470  Shares       X                  3     11470     0       0
ALEXION PHARMACEUTICALS INC COM  COMMON    015351109     2786       24350  Shares       X                  1     23992     0     358
ALEXION PHARMACEUTICALS INC COM  COMMON    015351109      118        1032  Shares                X         1       882     0     150
ALLEGHANY CORPORATION            COMMON    017175100        7          21  Shares                X         1        21     0       0
ALLERGAN INC                     COMMON    018490102     2684       29305  Shares       X                  1     28929     0     376
ALLERGAN INC                     COMMON    018490102      120        1308  Shares                X         1      1308     0       0
ALLETE INC                       COMMON    018522300       47        1125  Shares                X         1      1125     0       0
ALLIANCE DATA SYSTEMS CORP       COMMON    018581108      133         940  Shares       X                  1       940     0       0
ALLIANCE DATA SYSTEMS CORP       COMMON    018581108        4          28  Shares                X         1        28     0       0
ALLIANT TECH SYSTEMS INC         COMMON    018804104        3          52  Shares       X                  1        52     0       0
ALLIANT TECH SYSTEMS INC         COMMON    018804104       20         405  Shares                X         1       405     0       0
ALLIANCEBERNSTEIN INCOME FUND    PREFERRED 01881E101       17        2000  Shares       X                  1         0     0    2000
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
ALLSCRIPTS HEALTHCARE
 SOLUTIONS INC                   COMMON    01988P108      174       15320  Shares       X                  3     15320     0       0
ALLSTATE CORP                    COMMON    020002101      323        8143  Shares       X                  1      8143     0       0
ALLSTATE CORP                    COMMON    020002101      185        4658  Shares                X         1      4658     0       0
ALPHA NATURAL RESOURCES          COMMON    02076X102       20        3000  Shares                X         1      3000     0       0
ALPINE GLBL PREMIER
 PROPERTIES FUND                 COMMON    02083A103     3333      455380  Shares       X                  1         0     0  455380
ALPINE GLBL PREMIER
 PROPERTIES FUND                 COMMON    02083A103      948      129507  Shares                X         1         0     0  129507
ALPINE GLBL PREMIER
 PROPERTIES FUND                 COMMON    02083A103       38        5216  Shares       X                  3         0     0    5216
ALTERA CORP COM                  COMMON    021441100      507       14906  Shares       X                  1     14906     0       0
ALTERA CORP COM                  COMMON    021441100      381       10655  Shares       X                  3     10655     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
ALTRIA GROUP INC                 COMMON    02209S103      103        3076  Shares       X                  3      3076     0       0
AMAZON.COM INC                   COMMON    023135106     6832       26863  Shares       X                  1     26468     0     395
AMAZON.COM INC                   COMMON    023135106      404        1587  Shares                X         1       814     0     773
AMAZON.COM INC                   COMMON    023135106      356        1398  Shares       X                  3      1398     0       0
AMAZON.COM INC                   COMMON    023135106       83         325  Shares                X         4       325     0       0
AMEREN CORPORATION               COMMON    023608102        1          20  Shares       X                  1        20     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      308       12100  Shares                X         1      6600     0    5500
AMERICA MOVIL SA -
 SPON ADR SER A                  COMMON    02364W204        0           1  Shares       X                  3         1
AMERICAN CAMPUS COMMUNITIES
 INC-REIT                        COMMON    024835100      525       11960  Shares       X                  1     11960     0       0
AMERICAN CAMPUS COMMUNITIES
 INC-REIT                        COMMON    024835100       54        1235  Shares                X         1      1235     0       0
AMERICAN CAMPUS COMMUNITIES
 INC-REIT                        COMMON    024835100       70        1594  Shares       X                  3      1594     0       0
AMERICAN CAPITAL AGENCY CORP     COMMON    02503X105        9         250  Shares       X                  1       250     0       0
AMERICAN CAPITAL AGENCY CORP     COMMON    02503X105       10         300  Shares                X         1       300     0       0
AMERICAN ELECTRIC POWER CO INC   COMMON    025537101      231        5259  Shares       X                  1      5259     0       0
AMERICAN ELECTRIC POWER CO INC   COMMON    025537101      109        2475  Shares                X         1      1876     0     599
AMERICAN EXPRESS CO              COMMON    025816109      681       11972  Shares       X                  1     11372     0     600
AMERICAN EXPRESS CO              COMMON    025816109      656       11545  Shares                X         1      9345     0    2200
AMERICAN FINANCIAL GROUP INC     COMMON    025932104       23         600  Shares                X         1         0     0     600
AMERICAN INTL CW21
           1/19/21               OTHER     026874156        2         146  Shares       X                  1       146     0       0
AMERICAN INTL CW21
           1/19/21               OTHER     026874156        0          22  Shares                X         1        22     0       0
AMERICAN INTL CW21
           1/19/21               OTHER     026874156        2         122  Shares       X                  3       122     0       0
AMERICAN INTL CW21
           1/19/21               OTHER     026874156        2         122  Shares                X         4       122     0       0
AMERICAN INTERNATIONAL GROUP     COMMON    026874784        2          75  Shares       X                  1        75     0       0
AMERICAN INTERNATIONAL GROUP     COMMON    026874784        5         145  Shares                X         1        45     0     100
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 REALTY                  COMMON    02917T104        4         300  Shares       X                  1       300     0       0
AMERICAN REALTY                  COMMON    02917T104        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    030420103       41        1100  Shares       X                  1      1100     0       0
AMERICAN WATER WORKS CO INC      COMMON    030420103      115        3090  Shares                X         1      3090     0       0
AMERISOURCE BERGEN CORP          COMMON    03073E105       12         300  Shares       X                  1       300     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
AMGEN INC COM                    COMMON    031162100     8976      106495  Shares       X                  1    106495     0       0
AMGEN INC COM                    COMMON    031162100     1802       21377  Shares                X         1     16887     0    4490
AMGEN INC COM                    COMMON    031162100      855       10143  Shares       X                  3      6553     0    3590
AMGEN INC COM                    COMMON    031162100       34         400  Shares                X         4       400     0       0
AMPAL AMER-A                     COMMON    032015703        2        1268  Shares       X                  1      1268     0       0
AMPHENOL CORP NEW CL A           COMMON    032095101        1          24  Shares       X                  1        24     0       0
ANADARKO PETROLEUM CORP          COMMON    032511107      846       12095  Shares       X                  1     11625     0     470
ANADARKO PETROLEUM CORP          COMMON    032511107      259        3711  Shares                X         1      2761     0     950

                                    14 of 26




                                                                                              
ANADARKO PETROLEUM CORP          COMMON    032511107        5          66  Shares       X                  3        66     0       0
ANALOG DEVICES INC               COMMON    032654105        4         108  Shares       X                  1       108     0       0
ANALOG DEVICES INC               COMMON    032654105       14         360  Shares                X         1       360     0       0
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
ANNALY CAPITAL MANAGEMENT
 INC (REIT)                      COMMON    035710409       86        5130  Shares       X                  1      5130     0       0
ANNALY CAPITAL MANAGEMENT
 INC (REIT)                      COMMON    035710409       13         800  Shares                X         1       700     0     100
ANSYS INC                        COMMON    03662Q105      499        6797  Shares       X                  1      6797     0       0
ANSYS INC                        COMMON    03662Q105      405        5675  Shares       X                  3      5675     0       0
APACHE CORP COM                  COMMON    037411105     2876       33255  Shares       X                  1     33255     0       0
APACHE CORP COM                  COMMON    037411105      778        9002  Shares                X         1      8784     0     218
APACHE CORP COM                  COMMON    037411105       35         400  Shares                X         4       400     0       0
APACHE CORP 6.000% CONV PFD      PREFERRED 037411808       10         200  Shares                X         1         0     0     200
APOLLO GROUP INC CL A            COMMON    037604105       15         521  Shares       X                  1       521     0       0
APOLLO INVESTMENT CORPORATION    PREFERRED 03761U106       24        3000  Shares       X                  1         0     0    3000
APOLLO INVESTMENT CORPORATION    PREFERRED 03761U106        6         800  Shares                X         1         0     0     800
APPLE INC                        COMMON    037833100    44504       66712  Shares       X                  1     65981     0     731
APPLE INC                        COMMON    037833100     6922       10376  Shares                X         1      9530     0     846
APPLE INC                        COMMON    037833100     2269        3402  Shares       X                  3      2250     0    1152
APPLE INC                        COMMON    037833100      934        1400  Shares                X         4      1400     0       0
APPLIED MATERIALS INC COM        COMMON    038222105      187       16779  Shares       X                  1     15779     0    1000
APPLIED MATERIALS INC COM        COMMON    038222105       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
AQUA AMERICA INC                 COMMON    03836W103       25         988  Shares       X                  3       988
ARCELORMITTAL-NY REGISTERED      COMMON    03938L104        4         300  Shares       X                  1       300     0       0
ARCHER DANIELS MIDLAND CO COM    COMMON    039483102      125        4585  Shares       X                  1      4585     0       0
ARCHER DANIELS MIDLAND CO COM    COMMON    039483102      313       11500  Shares                X         1      6000     0    5500
ARM HOLDINGS PLC                 COMMON    042068106      125        4474  Shares       X                  1      4474     0       0
ARM HOLDINGS PLC                 COMMON    042068106        2          72  Shares                X         1        72     0       0
ARRIS GROUP                      COMMON    04269Q100      252       19720  Shares                X         1     19720     0       0
ARROW FINL CORP                  COMMON    042744102       38        1543  Shares       X                  3      1543
ARTESIAN RESOURCES
 CORPORATION CL A                COMMON    043113208       21         885  Shares       X                  1       885     0       0
ARUBA NETWORKS INC               COMMON    043176106      410       18237  Shares       X                  1     18237     0       0
ARUBA NETWORKS INC               COMMON    043176106      299       14260  Shares       X                  3     14260     0       0
ARVINMERITOR INC COM             COMMON    043353101       17        2410  Shares       X                  3      2410
ASHLAND INC                      COMMON    044209104      398        5555  Shares       X                  1      5555     0       0
ASHLAND INC                      COMMON    044209104       34         474  Shares                X         1       474     0       0
ASHLAND INC                      COMMON    044209104      323        4445  Shares       X                  3      4445     0       0
ASTRAZENECA GROUP PLC
 SPONSORED ADR                   COMMON    046353108       97        2019  Shares       X                  1      2019     0       0
ASTRAZENECA GROUP PLC
 SPONSORED ADR                   COMMON    046353108       71        1480  Shares                X         1      1480     0       0
ATLAS AIR WORLDWIDE HOLDINGS     COMMON    049164205        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    049560105        1          30  Shares       X                  1        30     0       0
AUTODESK COM                     COMMON    052769106      527       15809  Shares       X                  1     15809     0       0
AUTODESK COM                     COMMON    052769106      356       11045  Shares       X                  3     11045     0       0
AUTOMATIC DATA PROCESSING INC    COMMON    053015103     1679       28618  Shares       X                  1     27818     0     800
AUTOMATIC DATA PROCESSING INC    COMMON    053015103     2194       37394  Shares                X         1     34644     0    2750
AUTOZONE INC COM                 COMMON    053332102       17          46  Shares       X                  1        46     0       0
AUTOZONE INC COM                 COMMON    053332102       74         200  Shares                X         1       200     0       0
AUXILIUM PHARMACEUTICALS INC     COMMON    05334D107      199        8125  Shares       X                  1      8125     0       0
AUXILIUM PHARMACEUTICALS INC     COMMON    05334D107      157        6575  Shares       X                  3      6575     0       0
AVALONBAY COMMUNITIES INC        COMMON    053484101       49         357  Shares       X                  1       357     0       0
AVERY DENNISON CORP COM          COMMON    053611109        3          95  Shares       X                  1        95     0       0
AVON PRODUCTS INC                COMMON    054303102       92        5751  Shares       X                  1      5751     0       0
AVON PRODUCTS INC                COMMON    054303102       30        1874  Shares                X         1      1874     0       0
AXCELIS TECHNOLOGIES INC COM     COMMON    054540109        0         330  Shares       X                  1       330     0       0
BB&T CORP COM                    COMMON    054937107      794       23949  Shares       X                  1     23049     0     900
BB&T CORP COM                    COMMON    054937107      509       15345  Shares                X         1     15345     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
BOK FINANCIAL CORPORATION        COMMON    05561Q201        1          11  Shares       X                  1        11     0       0
BP PLC SPONSORED ADR             COMMON    055622104      772       18226  Shares       X                  1     18226     0       0
BP PLC SPONSORED ADR             COMMON    055622104      590       13926  Shares                X         1     13326     0     600
BMC SOFTWARE INC COM             COMMON    055921100        0          10  Shares       X                  1        10     0       0
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
BABCOCK & WILCOX CO              COMMON    05615F102      264       10505  Shares       X                  3     10505     0       0
BAIDU INC-SPON ADR               COMMON    056752108     1203       10288  Shares       X                  1     10158     0     130
BAIDU INC-SPON ADR               COMMON    056752108       36         312  Shares                X         1       312     0       0
BAKER HUGHES INC COM             COMMON    057224107      124        2744  Shares       X                  1      2744     0       0
BAKER HUGHES INC COM             COMMON    057224107       20         450  Shares                X         1       450     0       0
BALL CORPORATION                 COMMON    058498106     1374       32470  Shares                X         1     32470     0       0
BANCO BRADESCO - SPONS ADR       COMMON    059460303       10         606  Shares       X                  1       606     0       0
BANCO BILBAO VIZCAYA
 ARGENTARIA ADR                  COMMON    05946K101        4         576  Shares       X                  1       576     0       0
BANCO SANTANDER SA - SPONS ADR   COMMON    05964H105        1         111  Shares       X                  1       111     0       0
BANCO SANTANDER SA - SPONS ADR   COMMON    05964H105       13        1700  Shares                X         1      1700     0       0

                                    15 of 26




                                                                                              
BANCOLOMBIA SA SPONS ADR         COMMON    05968L102       13         210  Shares       X                  1       210     0       0
BANK AMER CORP                   COMMON    060505104     1732      196131  Shares       X                  1    189770     0    6361
BANK AMER CORP                   COMMON    060505104     1054      119368  Shares                X         1    114485     0    4883
BANK AMER CORP                   COMMON    060505104       67        8392  Shares       X                  3      8392     0       0
BK OF AMERICA 7.250% CONV
 PFD SER L                       PREFERRED 060505682       54          50  Shares                X         1         0     0      50
BANK NEW YORK MELLON CORP        COMMON    064058100     1442       63752  Shares       X                  1     63752     0       0
BANK NEW YORK MELLON CORP        COMMON    064058100      250       11052  Shares                X         1     10290     0     762
BARD C R INC COM                 COMMON    067383109       26         250  Shares       X                  1       250     0       0
BARD C R INC COM                 COMMON    067383109      429        4100  Shares                X         1      4100     0       0
BARD C R INC COM                 COMMON    067383109      141        1441  Shares       X                  3      1441
BARCLAYS BANK PFD 7.1% SER 3     PREFERRED 06739H776       25        1000  Shares       X                  1         0     0    1000
BARNES GROUP INCORPORATED        COMMON    067806109        3         135  Shares       X                  1       135     0       0
BARRICK GOLD CORP                COMMON    067901108       13         319  Shares       X                  1       319     0       0
BARRICK GOLD CORP                COMMON    067901108      134        3220  Shares                X         1      3220     0       0
BAXTER INTERNATIONAL             COMMON    071813109      685       11363  Shares       X                  1     11363     0       0
BAXTER INTERNATIONAL             COMMON    071813109      310        5150  Shares                X         1      5150     0       0
BAXTER INTERNATIONAL             COMMON    071813109       73        1237  Shares       X                  3      1237
BEAM INC                         COMMON    073730103      434        7543  Shares       X                  1      7543     0       0
BEAM INC                         COMMON    073730103      189        3278  Shares                X         1      3171     0     107
BECTON DICKINSON & CO COM        COMMON    075887109     1071       13634  Shares       X                  1     13634     0       0
BECTON DICKINSON & CO COM        COMMON    075887109      320        4079  Shares                X         1      4079     0       0
BED BATH & BEYOND INC COM        COMMON    075896100      129        2054  Shares       X                  1      2054     0       0
BENIHANA INC                     COMMON    082047101        2         101  Shares       X                  3       101
BERKSHIRE HATHAWAY INC CLASS A   COMMON    084670108      398           3  Shares                X         1         3     0       0
BERKSHIRE HATHAWAY INC DEL CL B  COMMON    084670702     3274       37117  Shares       X                  1     36440     0     677
BERKSHIRE HATHAWAY INC DEL CL B  COMMON    084670702     1129       12795  Shares                X         1     10282     0    2513
BERKSHIRE HATHAWAY INC DEL CL B  COMMON    084670702       30         338  Shares       X                  3       338     0       0
BERKSHIRE HATHAWAY INC DEL CL B  COMMON    084670702       18         200  Shares                X         4       200     0       0
BEST BUY COMPANY INC             COMMON    086516101      130        7536  Shares       X                  1      7536     0       0
BEST BUY COMPANY INC             COMMON    086516101       25        1449  Shares                X         1      1417     0      32
BHP BILLITON LTD SPONSORED ADR   COMMON    088606108      386        5626  Shares       X                  1      5626     0       0
BHP BILLITON LTD SPONSORED ADR   COMMON    088606108      403        5875  Shares                X         1      4403     0    1472
BIG LOTS INC                     COMMON    089302103        2          82  Shares       X                  1        82     0       0
BIOMARIN PHARMACEUTICAL INC      COMMON    09061G101        8         200  Shares       X                  1       200     0       0
BIOGEN IDEC INC                  COMMON    09062X103     2793       18716  Shares       X                  1     18528     0     188
BIOGEN IDEC INC                  COMMON    09062X103      345        2315  Shares                X         1      2205     0     110
BLACK HILLS CORP                 COMMON    092113109       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 ENERGY &
 RESOURCES TRUST                 PREFERRED 09250U101       11         438  Shares                X         1         0     0     438
BLACKROCK HEALTH
 SCIENCES TRUST                  PREFERRED 09250W107      133        4650  Shares                X         1         0     0    4650
BLACKROCK KELSO CAPITAL CORP     COMMON    092533108        4         420  Shares                X         1       420     0       0
BLACKROCK REAL ASSET
 EQUITY TRUST                    PREFERRED 09254B109       22        2000  Shares       X                  1         0     0    2000
BLACKROCK MUNIYLD QUALITY
 FUND II                         PREFERRED 09254G108      103        6850  Shares                X         1         0     0    6850
BLACKROCK MUNIHLDGS NJ
 INSURED FD                      PREFERRED 09254X101       50        3050  Shares                X         1         0     0    3050
BLACKROCK MUNIHLDGS NY
 INSURED FD                      PREFERRED 09255C106       50        3050  Shares                X         1         0     0    3050
H & R BLOCK COMMON               COMMON    093671105      240       13825  Shares       X                  1     13825     0       0
H & R BLOCK COMMON               COMMON    093671105      138        7936  Shares                X         1      7936     0       0
H & R BLOCK COMMON               COMMON    093671105       33        1910  Shares       X                  3      1910     0       0
BLONDER TONGUE LABS INC COM      COMMON    093698108      200      200001  Shares       X                  3    200001
BOEING CO COM                    COMMON    097023105     5622       80780  Shares       X                  1     80430     0     350
BOEING CO COM                    COMMON    097023105     1117       16049  Shares                X         1     14187     0    1862
BOEING CO COM                    COMMON    097023105      375        5376  Shares       X                  3      4976     0     400
BOEING CO COM                    COMMON    097023105       35         500  Shares                X         4       500     0       0
BORG WARNER INC COM              COMMON    099724106      558        8068  Shares       X                  1      8068     0       0
BORG WARNER INC COM              COMMON    099724106      381        5520  Shares       X                  3      5520     0       0
BRIGGS & STRATTON CORP           COMMON    109043109       59        3401  Shares       X                  3      3401
BRISTOL-MYERS SQUIBB CO          COMMON    110122108      750       22321  Shares       X                  3     17321     0    5000
BROADRIDGE FINANCIAL
 SOLUTIONS INC                   COMMON    11133T103        4         150  Shares                X         1       150     0       0
BROWN & BROWN INC COMMON         COMMON    115236101      295       11290  Shares       X                  3     11290     0       0
BROWN-FORMAN CORP CL B           COMMON    115637209       10         154  Shares       X                  3       154     0       0
CBS CORP CL B                    COMMON    124857202      544       14965  Shares       X                  3     14965     0       0
CBRE CLARION GLBL REAL
 ESTATE INCOME                   COMMON    12504G100     5903      665502  Shares       X                  1         0     0  665502
CBRE CLARION GLBL REAL
 ESTATE INCOME                   COMMON    12504G100     2044      230469  Shares                X         1         0     0  230469
CBRE CLARION GLBL REAL
 ESTATE INCOME                   COMMON    12504G100       52        5894  Shares       X                  3         0     0    5894
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
CBRE GROUP INC                   COMMON    12504L109      326       18265  Shares       X                  3     18265     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
CH ROBINSON WORLDWIDE INC        COMMON    12541W209      261        4535  Shares       X                  3      4535     0       0
CIGNA CORP                       COMMON    125509109        3          68  Shares       X                  3        68
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
CRH PLC SPONSORED ADR            COMMON    12626K203        1          77  Shares       X                  1        77     0       0
CYS INVESTMENTS INC              COMMON    12673A108       15        1050  Shares                X         1         0     0    1050
CA INC                           COMMON    12673P105      131        5080  Shares       X                  1      5080     0       0

                                    16 of 26




                                                                                              
CABOT OIL & GAS CORP             COMMON    127097103      255        5900  Shares       X                  3      5900     0       0
CAMECO CORPORATION               COMMON    13321L108        4         200  Shares       X                  1       200     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
CAMERON INTERNATIONAL CORP       COMMON    13342B105      369        6655  Shares       X                  3      6655     0       0
CAMERON INTERNATIONAL CORP       COMMON    13342B105       28         500  Shares                X         4       500     0       0
CANADIAN PACIFIC RAILWAY LTD     COMMON    13645T100        0           1  Shares       X                  3         1
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
CAPSTEAD MTG CORP
 CONV PFD SER B                  PREFERRED 14067E308       37        2400  Shares       X                  1         0     0    2400
CARDINAL HEALTH INC              COMMON    14149Y108      321        8247  Shares       X                  1      8247     0       0
CARDINAL HEALTH INC              COMMON    14149Y108       47        1210  Shares                X         1      1210     0       0
CARDINAL HEALTH INC              COMMON    14149Y108       15         380  Shares       X                  3       380
CAREFUSION CORP                  COMMON    14170T101        6         205  Shares                X         1       205     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
CEMEX SAB SPONS ADR PART CER     COMMON    151290889        0           3  Shares       X                  3         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
CENTURYLINK INC                  COMMON    156700106      535       13231  Shares       X                  3      9951     0    3280
CERNER CORP                      COMMON    156782104      589        7698  Shares       X                  3      5807     0    1891
CHEVRON CORP                     COMMON    166764100     1200       10294  Shares       X                  3      7794     0    2500
CHIMERA INVESTMENT CORP          COMMON    16934Q109        3        1250  Shares       X                  1      1250     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
CHURCH & DWIGHT CO INC           COMMON    171340102      270        4975  Shares       X                  3      4975     0       0
CINEMARK HOLDINGS INC            COMMON    17243V102       17         750  Shares       X                  1       750     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
CISCO SYSTEMS INC                COMMON    17275R102       97        5092  Shares       X                  3      5092     0       0
CITIGROUP INC COM                COMMON    172967101        0           1  Shares       X                  3         1
CITI TRENDS INC                  COMMON    17306X102        1          81  Shares       X                  1        81     0       0
CITRIX SYSTEMS INC COM           COMMON    177376100      363        4710  Shares       X                  3      4710     0       0
GUGGENHEIM S&P GBL WATER
 IDX ETF                         PREFERRED 18383Q507        2         100  Shares                X         1         0     0     100
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       31         432  Shares       X                  3       432     0       0
CLOUGH GLOBAL OPPORTUNITIES      PREFERRED 18914E106      124       10613  Shares       X                  1         0     0   10613
COACH INC COMMON                 COMMON    189754104      364        6385  Shares       X                  3      6385     0       0
COCA COLA CO COM                 COMMON    191216100      594       15726  Shares       X                  3     15260     0     466
COCA-COLA ENTERPRISES INC        COMMON    19122T109       31        1000  Shares       X                  1      1000     0       0
COHEN & STEERS REIT &
 PFD INC ETF                     PREFERRED 19247X100        0           7  Shares       X                  1         0     0       7
COHEN & STEERS REIT &
 PFD INC ETF                     PREFERRED 19247X100       28        1600  Shares                X         1         0     0    1600
COLGATE PALMOLIVE CO COM         COMMON    194162103      493        4641  Shares       X                  3      4641
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 NEW A               COMMON    20030N101     1261       35320  Shares       X                  3     25495     0    9825
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
COMPANHIA DE BEBIDAS
 DAS AMERICAS                    PREFERRED 20441W203       30         778  Shares       X                  1         0     0     778
CONOCOPHILLIPS                   COMMON    20825C104    10944      191399  Shares       X                  1    189468     0    1931
CONOCOPHILLIPS                   COMMON    20825C104     3405       59554  Shares                X         1     55155     0    4399
CONOCOPHILLIPS                   COMMON    20825C104      829       14512  Shares       X                  3     11032     0    3480
CONOCOPHILLIPS                   COMMON    20825C104       57        1000  Shares                X         4      1000     0       0
CONSOL ENERGY INC                COMMON    20854P109        3         100  Shares       X                  1       100     0       0
CONSOL ENERGY INC                COMMON    20854P109       26         850  Shares                X         1         0     0     850
CONSOLIDATED EDISON INC          COMMON    209115104        6         101  Shares       X                  3       101
CONSTELLATION BRANDS INC CL A    COMMON    21036P108        9         270  Shares                X         1       270     0       0
CORNING INC                      COMMON    219350105       71        5701  Shares       X                  3      5701     0       0
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
COSTCO WHOLESALE CORP COM        COMMON    22160K105      125        1250  Shares                X         4      1250     0       0
CROWN HOLDINGS INC               COMMON    228368106      377       10320  Shares       X                  3     10320     0       0
CUMMINS INC COM                  COMMON    231021106      267        2825  Shares       X                  3      2825     0       0
DNP SELECT INCOME FUND           PREFERRED 23325P104       10        1000  Shares                X         1         0     0    1000
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
D R HORTON INC                   COMMON    23331A109       44        2116  Shares       X                  3      2116     0       0
DWS MUNICIPAL INCOME TRUST       PREFERRED 23338M106       45        3000  Shares       X                  1         0     0    3000
DANAHER CORP COM                 COMMON    235851102      341        6178  Shares       X                  3      3301     0    2877
DARDEN RESTAURANTS INC COM       COMMON    237194105       34         604  Shares       X                  3       604     0       0
DAVITA INC COMMON                COMMON    23918K108       10         100  Shares                X         1         0     0     100
DELL INC                         COMMON    24702R101     1028      104313  Shares       X                  1    102013     0    2300
DELL INC                         COMMON    24702R101       85        8583  Shares                X         1      6783     0    1800
DELL INC                         COMMON    24702R101       16        1604  Shares       X                  3      1604     0       0
DELTA AIR LINES INC              COMMON    247361702      423       46155  Shares       X                  3     46155     0       0
DESARROLLADORA HOMEX ADR         COMMON    25030W100        0          24  Shares       X                  1        24     0       0

                                    17 of 26




                                                                                              
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
DIAGEO PLC SPONSORED ADR         COMMON    25243Q205      315        2790  Shares       X                  1      2790     0       0
DIAGEO PLC SPONSORED ADR         COMMON    25243Q205       14         125  Shares                X         1       125     0       0
DIAGEO PLC SPONSORED ADR         COMMON    25243Q205       56         500  Shares       X                  3       500     0       0
DIAMOND OFFSHORE DRILLING COM    COMMON    25271C102       36         550  Shares       X                  1       550     0       0
DINEEQUITY INC                   COMMON    254423106      294        5395  Shares       X                  3      5395     0       0
DIREXION DAILY SMALL
 CAP BEAR 3X ETF                 PREFERRED 25459W110        1         100  Shares                X         1         0     0     100
DIREXION MID CAP BULL
 3X FUND                         PREFERRED 25459W730        2          53  Shares       X                  1         0     0      53
DIREXION SHS ETF TR              PREFERRED 25459W755        3          35  Shares       X                  1         0     0      35
DIREXION DAILY DEV MKTS
 BULL 3X FUND                    PREFERRED 25459W789        5         138  Shares       X                  1         0     0     138
SMALL CAP BULL 3X SHARES         PREFERRED 25459W847        2          31  Shares       X                  1         0     0      31
DIREXION DAILY S&P 500
 BULL 3X SHRS                    PREFERRED 25459W862        5          55  Shares       X                  1         0     0      55
DIREXION DAILY EME MKT BU 3X     PREFERRED 25459Y686        5          53  Shares       X                  1         0     0      53
DISNEY WALT CO                   COMMON    254687106      418        8117  Shares       X                  3      5742     0    2375
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
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
DIRECTV                          COMMON    25490A309      191        3636  Shares       X                  1      3636     0       0
DIRECTV                          COMMON    25490A309      338        6446  Shares                X         1      6446     0       0
DOLBY LABORATORIES INC CL A      COMMON    25659T107        1          27  Shares       X                  1        27     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
DOMINION RESOURCES INC           COMMON    25746U109       50         937  Shares       X                  3       937     0       0
DOMINION RESOURCES INC           COMMON    25746U109      159        3000  Shares                X         4      3000     0       0
DOW CHEMICAL CO                  COMMON    260543103       91        3118  Shares       X                  3      3118
DR PEPPER SNAPPLE GROUP INC      COMMON    26138E109        1          26  Shares       X                  1        26     0       0
DREYFUS MUNICIPAL INCOME FUND    PREFERRED 26201R102       80        7200  Shares                X         1         0     0    7200
DREYFUS STRATEGIC MUNI
 BOND FUND                       PREFERRED 26202F107      273       27602  Shares       X                  1         0     0   27602
DREYFUS STRATEGIC MUNI
 BOND FUND                       PREFERRED 26202F107      112       11300  Shares                X         1         0     0   11300
E I DUPONT DE NEMOURS &
 CO COMMON                       COMMON    263534109     4248       85223  Shares       X                  3     81068     0    4155
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
DUKE ENERGY HOLDING CORP         COMMON    26441C204       17         265  Shares       X                  3       265     0       0
DUN & BRADSTREET CORP            COMMON    26483E100       21         266  Shares       X                  1       266     0       0
DUN & BRADSTREET CORP            COMMON    26483E100       27         343  Shares                X         1       343     0       0
EMC CORP MASS COM                COMMON    268648102       43        1564  Shares       X                  3      1564     0       0
ENI SPA-SPONS ADR                COMMON    26874R108       17         380  Shares                X         1       380     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
EASTMAN CHEMICAL COMPANY COM     COMMON    277432100        1          15  Shares       X                  3        15
EATON VANCE CORP                 COMMON    278265103       32        1108  Shares       X                  3      1108     0       0
EATON VANCE MUNICIPAL
 INCOME TRUST                    PREFERRED 27826U108       71        5000  Shares                X         1         0     0    5000
EATON VANCE MUNICIPAL BOND FD II PREFERRED 27827K109       33        2400  Shares       X                  1         0     0    2400
EATON VANCE SR FLOATING
 RATE CEF                        PREFERRED 27828Q105      584       35200  Shares       X                  1         0     0   35200
EATON VANCE SR FLOATING
 RATE CEF                        PREFERRED 27828Q105       63        3802  Shares                X         1         0     0    3802
EATON VANCE TAX-MAN GLBL
 BUY-WRT CES                     PREFERRED 27829C105       11        1000  Shares       X                  1         0     0    1000
EMERSON ELECTRIC CO              COMMON    291011104      353        6969  Shares       X                  3      6969
ENBRIDGE INC                     COMMON    29250N105      864       22145  Shares       X                  1     22145     0       0
ENBRIDGE INC                     COMMON    29250N105       65        1655  Shares                X         1      1655     0       0
ENBRIDGE INC                     COMMON    29250N105       90        2306  Shares       X                  3      2306     0       0
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
ENERGIZER HLDGS INC COM          COMMON    29266R108       28         370  Shares       X                  3       370     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
ENTERPRISE PRODUCTS PARTNERS LP  COMMON    293792107      143        2673  Shares       X                  3      2673
EQUINIX INC                      COMMON    29444U502      156         759  Shares       X                  1       759     0       0
EQUINIX INC                      COMMON    29444U502        5          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
DELHAIZE GROUP SPONSORED ADR     COMMON    29759W101        4         100  Shares       X                  1       100     0       0
EVANS BANCORP INC                COMMON    29911Q208        0           1  Shares       X                  3         1
EXELON CORP                      COMMON    30161N101     2794       78526  Shares       X                  1     78526     0       0
EXELON CORP                      COMMON    30161N101     1990       55939  Shares                X         1     53959     0    1980
EXELIS                           COMMON    30162A108       27        2620  Shares                X         1      2620     0       0
EXPEDITORS INTL WASH INC COM     COMMON    302130109      190        5210  Shares       X                  3      5210     0       0
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
EXPRESS SCRIPTS HOLDING C        COMMON    30219G108     1119       17864  Shares       X                  3     13616     0    4248
EXXON MOBIL CORP                 COMMON    30231G102    60691      663650  Shares       X                  1    657481     0    6169
EXXON MOBIL CORP                 COMMON    30231G102    50422      551358  Shares                X         1    476759     0   74599
EXXON MOBIL CORP                 COMMON    30231G102     3831       43254  Shares       X                  3     39369     0    3885

                                    18 of 26




                                                                                              
EXXON MOBIL CORP                 COMMON    30231G102      302        3300  Shares                X         4      3300     0       0
FMC TECHNOLOGIES INC COM         COMMON    30249U101      213        4605  Shares       X                  1      4605     0       0
FMC TECHNOLOGIES INC COM         COMMON    30249U101      156        3350  Shares       X                  3      3350     0       0
FACEBOOK INC-A                   COMMON    30303M102       37        1700  Shares       X                  1      1700     0       0
FASTENAL CO                      COMMON    311900104      253        5875  Shares       X                  3      5875     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
FEDEX CORP COM                   COMMON    31428X106       16         194  Shares       X                  3       194     0       0
F5 NETWORKS INC                  COMMON    315616102      262        2590  Shares       X                  3      2590     0       0
FIDELITY NATL INFORMATION
 SERVICES                        COMMON    31620M106       51        1620  Shares       X                  1      1620     0       0
FINANCIAL INSTITUTIONS
 INCORPORATED                    COMMON    317585404        0           1  Shares       X                  3         1
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 NIAGARA FINANCIAL GROUP    COMMON    33582V108      425       53803  Shares       X                  3     53803
FIRST POTOMAC REALTY TRUST       COMMON    33610F109       30        2320  Shares       X                  1      2320     0       0
FIRST UNITED CORP COM            COMMON    33741H107       13        2416  Shares       X                  3      2416
FLOWSERVE CORP COM               COMMON    34354P105        5          40  Shares       X                  1        40     0       0
FORD MOTOR CO                    COMMON    345370860       35        3590  Shares       X                  3      3590     0       0
FORTUNE BRANDS INC $2.67
 CONV PFD                        COMMON    349631200       27          62  Shares       X                  3        62
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
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
FREEPORT-MCMORAN
 COPPER & GOLD INC               COMMON    35671D857      458       11559  Shares       X                  3      8397     0    3162
FREEPORT-MCMORAN
 COPPER & GOLD INC               COMMON    35671D857       53        1350  Shares                X         4      1350     0       0
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     3864      392282  Shares                          1    392282
FULTON FINANCIAL CORP            COMMON    360271100     3908      402361  Shares       X                  3    402361     0       0
GABELLI DIVIDEND & INCOME TRUST  PREFERRED 36242H104        7         439  Shares       X                  1         0     0     439
GALLAGHER ARTHUR J. & CO         COMMON    363576109       75        2084  Shares       X                  3      2084     0       0
GAMESTOP CORP - CLASS A          COMMON    36467W109      311       14825  Shares       X                  1     14825     0       0
GAMESTOP CORP - CLASS A          COMMON    36467W109      229       11440  Shares       X                  3     11440     0       0
GENERAL DYNAMICS CORP COM        COMMON    369550108        0           1  Shares       X                  3         1
GENERAL ELECTRIC COMPANY         COMMON    369604103     1142       54028  Shares       X                  3     49253     0    4775
GENERAL MOTORS CO                COMMON    37045V100        2          87  Shares       X                  1        87     0       0
GM CO WARRANTS
               7/10/16           COMMON    37045V118        5         386  Shares       X                  1       386     0       0
GM CO WARRANTS
               7/10/19           COMMON    37045V126        3         386  Shares       X                  1       386     0       0
GILEAD SCIENCES INC COM          COMMON    375558103      132        1985  Shares       X                  3      1800     0     185
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
GLACIER BANCORP INC NEW          COMMON    37637Q105       48        3108  Shares       X                  3      3108     0       0
GLAXOSMITHKLINE PLC ADR          COMMON    37733W105      721       15586  Shares       X                  1     15586     0       0
GLAXOSMITHKLINE PLC ADR          COMMON    37733W105     1170       25311  Shares                X         1     19811     0    5500
GLAXOSMITHKLINE PLC ADR          COMMON    37733W105       18         401  Shares       X                  3       401
GLOBAL PAYMENTS INC              COMMON    37940X102      292        6979  Shares       X                  1      6979     0       0
GLOBAL PAYMENTS INC              COMMON    37940X102      205        4900  Shares       X                  3      4900     0       0
GOLDMAN SACHS GROUP INC COM      COMMON    38141G104     3304       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
GOOGLE INC CL A                  COMMON    38259P508      764        1012  Shares       X                  3       693     0     319
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
WR GRACE & CO                    COMMON    38388F108      387        6546  Shares       X                  1      6546     0       0
WR GRACE & CO                    COMMON    38388F108      304        5204  Shares       X                  3      5204     0       0
GRACO INC COM                    COMMON    384109104      347        6970  Shares       X                  3      6970     0       0
GREATBATCH INC                   COMMON    39153L106       36        1564  Shares       X                  3      1564
GREEN DOT CORP CL A              COMMON    39304D102        0          18  Shares       X                  1        18     0       0
GREEN MOUNTAIN COFFEE
 ROASTERS INC                    COMMON    393122106      152        6330  Shares       X                  3      6330     0       0
GRUPO TELEVISA SA SPONS ADR      COMMON    40049J206        7         297  Shares                X         1       297     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
JOHN HANCOCK PREFERRED
 INCOME FD II                    PREFERRED 41013X106       37        1600  Shares       X                  1         0     0    1600
HANGER INC                       COMMON    41043F208       16         550  Shares       X                  1       550     0       0
HARRIS CORP COMMON               COMMON    413875105       25         537  Shares       X                  3       537
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
HATTERAS FINANCIAL CORP          COMMON    41902R103       14         507  Shares       X                  3       507     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 NET INC COM               COMMON    42222G108        0          20  Shares       X                  1        20     0       0
HEICO CORPORATION - CLASS A      COMMON    422806208      193        6412  Shares       X                  3      6412     0       0
HEINZ H J CO COM                 COMMON    423074103       60        1066  Shares       X                  3      1066     0       0
THE HERSHEY COMPANY              COMMON    427866108       46         645  Shares       X                  3       645     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       20        1201  Shares       X                  3      1201

                                    19 of 26




                                                                                              
HOME DEPOT INC COM               COMMON    437076102       49         861  Shares       X                  3       861
HONEYWELL INTL INC COM           COMMON    438516106      118        1975  Shares       X                  3      1975     0       0
IPG PHOTONICS CORP               COMMON    44980X109      371        6482  Shares       X                  1      6482     0       0
IPG PHOTONICS CORP               COMMON    44980X109      319        5365  Shares       X                  3      5365     0       0
ITT EDUCATIONAL SERVICES
 INC COM                         COMMON    45068B109      141        4377  Shares       X                  1      4377     0       0
ITT EDUCATIONAL SERVICES
 INC COM                         COMMON    45068B109      115        3585  Shares       X                  3      3585     0       0
ICON PLC SPONSORED ADR           COMMON    45103T107       12         504  Shares       X                  1       504     0       0
ICICI BANK LIMITED SPONSORED ADR COMMON    45104G104        7         174  Shares       X                  1       174     0       0
IDEXX LABS COMMON                COMMON    45168D104        1           9  Shares       X                  1         9     0       0
IMMUNOGEN INC                    COMMON    45253H101        1         100  Shares                X         1         0     0     100
INTEL CORP COM                   COMMON    458140100      604       25489  Shares       X                  3     21414     0    4075
INTEGRYS ENERGY GROUP INC        COMMON    45822P105       18         350  Shares                X         1       350     0       0
INTERCONTINENTAL EXCHANGE INC    COMMON    45865V100      783        5868  Shares       X                  1      5868     0       0
INTERCONTINENTAL EXCHANGE INC    COMMON    45865V100      355        2625  Shares       X                  3      2625     0       0
INTERDIGITAL INC                 COMMON    45867G101       19         500  Shares       X                  1       500     0       0
IBM CORPORATION                  COMMON    459200101    58209      298367  Shares       X                  3    296803     0    1564
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
INTUITIVE SURGICAL INC           COMMON    46120E602      470         951  Shares       X                  3       796     0     155
INTUITIVE SURGICAL INC           COMMON    46120E602      310         625  Shares                X         4       625     0       0
INVESCO VAN KAMPEN HIGH
 INCOME TR II                    PREFERRED 46131F101        2         111  Shares       X                  1         0     0     111
INVESCO VAN KAMPEN TR
 INVT MUNI                       PREFERRED 46131M106       10         600  Shares       X                  1         0     0     600
INVESCO VAN KAMPEN TR
 INVT MUNI                       PREFERRED 46131M106       95        5851  Shares                X         1         0     0    5851
INVESCO VAN KAMPEN TR
 IN GRD NY MUNI                  PREFERRED 46131T101        8         500  Shares                X         1         0     0     500
INVESCO VAN KAMPEN MUNI OPP TR   PREFERRED 46132C107      117        7385  Shares                X         1         0     0    7385
INVESCO VAN KAMPEN ADV. MUNI
 INC II                          PREFERRED 46132E103        8         600  Shares       X                  1         0     0     600
INVESCO VAN KAMPEN PA VALUE
 MUNI INC                        PREFERRED 46132K109      215       13400  Shares       X                  1         0     0   13400
INVESCO VAN KAMPEN PA VALUE
 MUNI INC                        PREFERRED 46132K109      221       13763  Shares                X         1         0     0   13763
INVESCO VAN KAMPEN BOND FUND     PREFERRED 46132L107       18         818  Shares       X                  1         0     0     818
INVESCO VALUE MUNICIPAL
 INCOME TRUST                    PREFERRED 46132P108       47        2814  Shares                X         1         0     0    2814
INVESCO VAN KAMPEN QUALITY
 MUNI INC                        PREFERRED 46133G107       21        1413  Shares                X         1         0     0    1413
INVESCO QUALITY MUNI INVT TR     PREFERRED 46133H105       26        1708  Shares                X         1         0     0    1708
ISHARES BARCLAYS TIPS BOND ETF   COMMON    464287176     2630       21599  Shares       X                  3         0     0   21599
ISHARES IBOXX INV GRADE CORP
 BND ETF                         COMMON    464287242      323        2675  Shares       X                  3      2675
ISHARES MSCI EAFE INDEX         *COMMON    464287465     1584       29890  Shares       X                  3         0     0   29890
ISHARES S&P MIDCAP 400 INDEX ETF COMMON    464287507      847        8580  Shares       X                  3         0     0    8580
ISHARES RUSSELL 1000 VALUE
 INDEX ETF                       COMMON    464287598       11         150  Shares       X                  3       150
ISHARES RUSSELL 1000 GROWTH
 INDX ETF                        COMMON    464287614       22         327  Shares       X                  3         0     0     327
ISHARES RUSSELL 2000 GROWTH
 INDX ETF                        COMMON    464287648      695        7265  Shares       X                  3         0     0    7265
ISHARES S&P SMALL CAP 600
 INDEX ETF                       COMMON    464287804      891       11559  Shares       X                  3         0     0   11559
ISHARES BARCLAYS INTER
 GOV/CRED ETF                    COMMON    464288612     4827       42680  Shares       X                  3         0     0   42680
ISHARES MSCI EAFE GROWTH
 INDEX ETF   *                   COMMON    464288885     9538      168867  Shares       X                  3         0     0  168867
ISHARES SILVER TRUST             PREFERRED 46428Q109       25         750  Shares       X                  1         0     0     750
ISHARES S&P GSCI
 COMMODITY TRUST                 PREFERRED 46428R107       17         500  Shares       X                  1         0     0     500
ISHARES HIGH DIVIDEND
 EQUITY ETF                      COMMON    46429B663    28483      467469  Shares       X                  1         0     0  467469
ISHARES HIGH DIVIDEND
 EQUITY ETF                      COMMON    46429B663     1674       27467  Shares                X         1         0     0   27467
ISHARES HIGH DIVIDEND
 EQUITY ETF                      COMMON    46429B663     9603      157612  Shares       X                  3         0     0  157612
ISHARES GLOBAL INFL-LINKED       PREFERRED 46429B812       76        1475  Shares       X                  1         0     0    1475
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
JPMORGAN CHASE & CO              COMMON    46625H100      845       20915  Shares       X                  3     15488     0    5427
JPMORGAN CHASE & CO              COMMON    46625H100      111        2750  Shares                X         4      2750     0       0
JOHNSON & JOHNSON                COMMON    478160104      598        8687  Shares       X                  3      7187     0    1500
JOY GLOBAL INCORPORATED          COMMON    481165108      225        4120  Shares       X                  3      4120     0       0
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
KKR & CO LP                      COMMON    48248M102        5         320  Shares       X                  1       320     0       0
KT CORPORATION SP ADR            COMMON    48268K101        4         235  Shares                X         1       235     0       0
KINDER MORGAN ENERGY
 PARTNERS LP                     COMMON    494550106      331        4001  Shares       X                  3      4001
KINDER MORGAN
 MANAGEMENT LLC         *        COMMON    49455U100       34         443  Shares       X                  3       443     0       0
KINDER MORGAN INC
 DEL-WTS    5/25/17              COMMON    49456B119        0          98  Shares       X                  1        98     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
KRAFT FOODS INC CL A             COMMON    50075N104      854       20646  Shares       X                  3     14724     0    5922
KRAFT FOODS INC CL A             COMMON    50075N104       66        1600  Shares                X         4      1600     0       0
LKQ CORPORATION                  COMMON    501889208      412       16570  Shares       X                  3     16570     0       0
LABORATORY CRP OF AMER
 HLDGS COM NEW                   COMMON    50540R409       18         200  Shares       X                  1       200     0       0
LAM RESEARCH CORP COMMON         COMMON    512807108      244        7420  Shares       X                  3      7420     0       0
LEGGETT & PLATT INC              COMMON    524660107       33        1308  Shares       X                  3      1308     0       0
LENNOX INTL INC COM              COMMON    526107107      287        6044  Shares       X                  3      6044
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 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
LIBERTY INTERACTIVE CORPORATION  COMMON    53071M203       50        2714  Shares                X         1      2714     0       0
LIBERTY VENTUR-B                 COMMON    53071M872        7         135  Shares                X         1       135     0       0
LIBERTY VENTUR-A                 COMMON    53071M880        1          25  Shares       X                  1        25     0       0
LIBERTY VENTUR-A                 COMMON    53071M880       10         198  Shares                X         1       198     0       0

                                    20 of 26




                                                                                              
LIFE TECHNOLOGIES CORP           COMMON    53217V109      285        5830  Shares       X                  1      5830     0       0
LIFE TECHNOLOGIES CORP           COMMON    53217V109      197        4080  Shares       X                  3      4080     0       0
LILLY ELI & COMPANY COMMON       COMMON    532457108      577       12165  Shares       X                  3      7927     0    4238
LIMITED BRANDS, INC COM          COMMON    532716107      396        8085  Shares       X                  3      8085     0       0
LINKEDIN CORP A                  COMMON    53578A108       12         100  Shares       X                  1       100     0       0
LOWES COMPANIES INC              COMMON    548661107       13         438  Shares       X                  3       438     0       0
LUFKIN INDUSTRIES INC            COMMON    549764108      191        3590  Shares       X                  3      3590     0       0
LULULEMON ATHLETICA INC-W/I      COMMON    550021109      317        4560  Shares       X                  3      4560     0       0
LUXOTTICA GROUP SPA-SPON ADR     COMMON    55068R202       13         358  Shares       X                  1       358     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
M & T BANK CORP                  COMMON    55261F104     4230       48676  Shares       X                  3     48676
M & T BANK CORP                  COMMON    55261F104       14         150  Shares                X         4         0     0     150
MDC HOLDINGS INC                 COMMON    552676108       46        1188  Shares       X                  3      1188     0       0
MKS INSTRUMENTS INC              COMMON    55306N104      274       10745  Shares       X                  1     10745     0       0
MKS INSTRUMENTS INC              COMMON    55306N104      223        8490  Shares       X                  3      8490     0       0
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
MANPOWER INC WIS                 COMMON    56418H100       55        1500  Shares       X                  1      1500     0       0
MANULIFE FINANCIAL CORP          COMMON    56501R106       38        3116  Shares       X                  1      3116     0       0
MANULIFE FINANCIAL CORP          COMMON    56501R106       22        1832  Shares                X         1      1832     0       0
MAP PHARMACEUTICALS INC          COMMON    56509R108      254       16332  Shares       X                  1     16332     0       0
MAP PHARMACEUTICALS INC          COMMON    56509R108      196       13525  Shares       X                  3     13525     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
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
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      317       11920  Shares       X                  1     11920     0       0
MAXIM INTEGRATED PRODS INC COM   COMMON    57772K101       26         978  Shares                X         1       978     0       0
MAXIM INTEGRATED PRODS INC COM   COMMON    57772K101       30        1122  Shares       X                  3      1122     0       0
MCDONALD'S CORPORATION           COMMON    580135101      119        1300  Shares       X                  3      1300     0       0
MCEWEN MINING INC                COMMON    58039P107        2         400  Shares       X                  1       400     0       0
MCKESSON CORPORATION COM         COMMON    58155Q103        1          11  Shares       X                  1        11     0       0
MCKESSON CORPORATION COM         COMMON    58155Q103       34         400  Shares                X         1       400     0       0
MEADWESTVACO CORP COMMON         COMMON    583334107       20         660  Shares       X                  3       660     0       0
MEDIA GEN INC CL A               COMMON    584404107        6        1340  Shares       X                  3      1340
MEDIDATA SOLUTIONS INC           COMMON    58471A105        8         200  Shares       X                  1       200     0       0
MERCK & CO INC                   COMMON    589331107       65        1735  Shares       X                  3      1735
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
MERCK & CO INC                   COMMON    58933Y105      395        8753  Shares       X                  3      8753     0       0
MERCK & CO INC                   COMMON    58933Y105       45        1000  Shares                X         4      1000     0       0
METLIFE INC                      COMMON    59156R108     4632      134403  Shares       X                  1    133903     0     500
METLIFE INC                      COMMON    59156R108      373       10827  Shares                X         1      7650     0    3177
METLIFE INC                      COMMON    59156R108      719       20868  Shares       X                  3     14947     0    5921
METRO BANCORP INC                COMMON    59161R101      352       28015  Shares       X                  3     28015
MFS INVESTMENT GRADE
 MUNICIPAL TRUST                 PREFERRED 59318B108       13        1121  Shares                X         1         0     0    1121
MFS HIGH YIELD MUNICIPAL TRUST   PREFERRED 59318E102        3         600  Shares                X         1         0     0     600
MICROSOFT CORP                   COMMON    594918104      996       33447  Shares       X                  3     24057     0    9390
MICROCHIP TECHNOLOGY INC COM     COMMON    595017104       40        1236  Shares       X                  3      1236     0       0
MID PENN BANCORP INCORPORATED    COMMON    59540G107       10        1000  Shares       X                  1      1000     0       0
MIZUHO FINANCIAL GROUP INC       COMMON    60687Y109        5        1415  Shares                X         1      1415     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
MOOG INC CL A                    COMMON    615394202     1227       33492  Shares       X                  3     33492
MOOG INC CL B                    COMMON    615394301     1087       29693  Shares       X                  3     29693
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
MYRIAD GENETICS INC              COMMON    62855J104        8         300  Shares       X                  1       300     0       0
NBT BANCORP INC.  COM            COMMON    628778102     4439      211059  Shares       X                  3    211059
NVR INC                          COMMON    62944T105        1           1  Shares       X                  1         1     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
NATIONAL PENN BANCSHARES INC     COMMON    637138108       71        8001  Shares       X                  3      8001
NAVISTAR INTERNATIONAL CORP      COMMON    63934E108        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       79        5612  Shares       X                  3      5612     0       0
NEWMARKET CORPORATION            COMMON    651587107       55         222  Shares       X                  3       222     0       0
NEWS CORP INC-A                  COMMON    65248E104       21         854  Shares       X                  1       854     0       0
NEWS CORP INC-A                  COMMON    65248E104       26        1073  Shares                X         1      1073     0       0

                                    21 of 26




                                                                                              
NEXEN INC                        COMMON    65334H102        3         122  Shares       X                  1       122     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
NEXTERA ENERGY INC               COMMON    65339F101       38         538  Shares       X                  3       538     0       0
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      272        3015  Shares       X                  3      3015     0       0
NOMURA HLDGS INC                 COMMON    65535H208        3         875  Shares                X         1       875     0       0
NORDSTROM INC COM                COMMON    655664100      271        4835  Shares       X                  3      4835     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
NUANCE COMMUNICATIONS INC        COMMON    67020Y100       15         612  Shares       X                  1       612     0       0
NUVEEN PA PREM INCOME MUN FD 2   PREFERRED 67061F101      146        9616  Shares       X                  1         0     0    9616
NUVEEN MARYLAND PREMIUM
 INC MUNI FD                     PREFERRED 67061Q107       76        4885  Shares       X                  1         0     0    4885
NUVEEN SELECT MATURITIES
 MUNI FUND                       PREFERRED 67061T101       29        2550  Shares       X                  1         0     0    2550
NUVEEN MUNICIPAL INCOME FUND     PREFERRED 67062J102       30        2330  Shares       X                  1         0     0    2330
NUVEEN QUALITY MUNI FD           PREFERRED 67062N103       18        1200  Shares       X                  1         0     0    1200
NUVEEN PERFORMANCE
 PLUS MUNI FD                    PREFERRED 67062P108        7         390  Shares                X         1         0     0     390
NUVEEN NY PERFORMANCE
 PLUS MUNI FD                    PREFERRED 67062R104        9         500  Shares                X         1         0     0     500
NUVEEN MUNI MKT OPPORTUNITY      PREFERRED 67062W103       45        3000  Shares       X                  1         0     0    3000
NUVEEN SELECT TF INCOME
 PORTFOLIO 2                     PREFERRED 67063C106       32        2181  Shares                X         1         0     0    2181
NVIDIA CORP COM                  COMMON    67066G104       25        1881  Shares       X                  1      1881     0       0
NUVEEN CA DIV ADVANTAGE
 MUNI FD 2                       PREFERRED 67069X104      102        6300  Shares       X                  1         0     0    6300
NUVEEN EQUITY
 PREMIUM ADVANTAGE FUND          PREFERRED 6706ET107        3         200  Shares       X                  1         0     0     200
NUVEEN INVT QUALITY MUNI FD      PREFERRED 67070E103       47        3000  Shares       X                  1         0     0    3000
NUVEEN INVT QUALITY MUNI FD      PREFERRED 67070E103        6         333  Shares                X         1         0     0     333
NUVEEN QUALITY PREFERRED INCOME
FUND                             PREFERRED 67071S101       13        1400  Shares       X                  1         0     0    1400
NUVEEN PA DVD ADV MUNI FD 2      PREFERRED 67071W102       46        3000  Shares       X                  1         0     0    3000
NUVEEN QUALITY PFD INCOME FD 2   PREFERRED 67072C105       30        3135  Shares       X                  1         0     0    3135
NUVEEN QUALITY PFD INCOME FD 3   PREFERRED 67072W101       13        1400  Shares       X                  1         0     0    1400
NUVEEN QUALITY PFD INCOME FD 3   PREFERRED 67072W101        7         700  Shares                X         1         0     0     700
NUVEEN CREDIT STRATEGIES
 INCOME FUND                     PREFERRED 67073D102       18        1860  Shares       X                  1         0     0    1860
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
NUVEEN NY PREMIUM INCOME MUNI FD PREFERRED 67101R107       16         941  Shares                X         1         0     0     941
O'REILLY AUTOMOTIVE INC          COMMON    67103H107       10         122  Shares       X                  1       122     0       0
OLD LINE BANCSHARES INC          COMMON    67984M100       14        1250  Shares       X                  1      1250     0       0
OLD REPUBLIC INTL CORP COM       COMMON    680223104       55        5961  Shares       X                  3      5961     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
ORACLE CORPORATION COM           COMMON    68389X105      764       24275  Shares       X                  3     17448     0    6827
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
PNC FINANCIAL SERVICES GROUP INC COMMON    693475105     2369       38114  Shares       X                  3     38114
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
PPL CORP COM                     COMMON    69351T106      401       13749  Shares       X                  3     11089     0    2660
PVH CORP                         COMMON    693656100      471        5020  Shares       X                  3      5020     0       0
PACKAGING CORP OF AMER COM       COMMON    695156109       32         872  Shares       X                  3       872     0       0
PALL CORP COM                    COMMON    696429307      147        2420  Shares       X                  3      2420     0       0
PANASONIC CORP SPONS ADR         COMMON    69832A205        6         875  Shares                X         1       875     0       0
PANERA BREAD CO CL-A             COMMON    69840W108      393        2302  Shares       X                  1      2302     0       0
PANERA BREAD CO CL-A             COMMON    69840W108      292        1795  Shares       X                  3      1795     0       0
PAYCHEX INC COM                  COMMON    704326107    58274     1752083  Shares       X                  3   1752083     0       0
PEABODY ENERGY CORP              COMMON    704549104      157        7155  Shares       X                  3      7155     0       0
PENNS WOODS BANCORP INC.         COMMON    708430103      464       10457  Shares       X                  3     10457     0       0
PEOPLES UNITED FINANCIAL INC     COMMON    712704105       66        5434  Shares       X                  3      5434     0       0
PEPSICO INC COM                  COMMON    713448108     2645       36772  Shares       X                  3     33117     0    3655
PERRIGO COMPANY                  COMMON    714290103      378        3340  Shares       X                  3      3340     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
PFIZER INC                       COMMON    717081103      363       14610  Shares       X                  3     12110     0    2500
PHILIP MORRIS INTL INC           COMMON    718172109      614        6822  Shares       X                  3      6822     0       0
PHILLIPS 66                      COMMON    718546104      281        6051  Shares       X                  3      4326     0    1725
PHOENIX COMPANIES INC            COMMON    71902E604        2          53  Shares       X                  1        53     0       0
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
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
POWERSHARES QQQ                  PREFERRED 73935A104       81        1180  Shares       X                  1         0     0    1180
POWERSHARES DB COMM IDX TRACKING
 ETF                             PREFERRED 73935S105      397       13859  Shares       X                  1         0     0   13859
POWERSHARES DB COMM IDX TRACKING
 ETF                             PREFERRED 73935S105       14         478  Shares                X         1         0     0     478
POWERSHARES FINANCIAL
 PREFERRED ETF                   PREFERRED 73935X229       52        2800  Shares                X         1         0     0    2800
POWERSHARES GLOBAL WATER
 PORTFOLIO                       COMMON    73935X575       25        1300  Shares       X                  1      1300     0       0
POWERSHARES DB US DOLLAR
 BEARISH ETF                     PREFERRED 73936D206       54        2000  Shares       X                  1         0     0    2000
PRAXAIR INC COM                  COMMON    74005P104      264        2543  Shares       X                  1      2543     0       0
PRAXAIR INC COM                  COMMON    74005P104      309        2971  Shares                X         1      2771     0     200
PRECISION CASTPARTS CORP COM     COMMON    740189105      456        2805  Shares       X                  3      2805     0       0

                                    22 of 26




                                                                                              
PRECISION DRILLING TRUST         COMMON    74022D308       16        2000  Shares                X         1      2000     0       0
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
T ROWE PRICE GROUP INC COMMON    COMMON    74144T108     1094       17357  Shares       X                  3     13799     0    3558
T ROWE PRICE GROUP INC COMMON    COMMON    74144T108      127        2000  Shares                X         4      2000     0       0
PRINCIPAL FINANCIAL GROUP COMMON COMMON    74251V102       21         795  Shares       X                  1       795     0       0
PRINCIPAL FINANCIAL GROUP COMMON COMMON    74251V102       57        2070  Shares       X                  3      2070
PROCTER & GAMBLE CO COM          COMMON    742718109     4157       61662  Shares       X                  3     58856     0    2806
PROLOGIS INC                     COMMON    74340W103        1          38  Shares       X                  1        38     0       0
PROSHARES ULTRASHORT 20PLUS YR
 TREAS                           PREFERRED 74347R297        8         500  Shares       X                  1         0     0     500
PROSHARES ULTRASHORT S&P 500 ETF PREFERRED 74347R883        4         300  Shares                X         1         0     0     300
PROSPECT CAPITAL CORPORATION     COMMON    74348T102       30        2583  Shares       X                  1       583     0    2000
PRUDENTIAL PLC-ADR               COMMON    74435K204       15         558  Shares       X                  1       558     0       0
QEP RESOURCES INC                COMMON    74733V100        6         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      955       15287  Shares       X                  3     10422     0    4865
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
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
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
RPM INTERNATIONAL INC COMMON     COMMON    749685103      105        3668  Shares       X                  3      3668     0       0
RAYMOND JAMES FINANCIAL INC      COMMON    754730109      401       11155  Shares       X                  3     11155     0       0
REGENERON PHARMACEUTICALS        COMMON    75886F107      264        1730  Shares       X                  1      1730     0       0
REGENERON PHARMACEUTICALS        COMMON    75886F107      201        1340  Shares       X                  3      1340     0       0
REGIONS FINANCIAL CORP           COMMON    7591EP100       31        4271  Shares                X         1      4271     0       0
RESMED INC                       COMMON    761152107      269        6900  Shares       X                  3      6900     0       0
RITE AID CORP COM                COMMON    767754104       40       33201  Shares       X                  3     33201
ROCKWELL AUTOMATION INC.         COMMON    773903109      340        4796  Shares       X                  3      4796     0       0
ROYAL DUTCH SHELL PLC-ADR A      COMMON    780259206       47         682  Shares       X                  3       682     0       0
GUGGENHEIM RUSSELL TOP 50 ETF    PREFERRED 78355W205        7          67  Shares       X                  1         0     0      67
SK TELECOM CO LTD - ADR          COMMON    78440P108       15        1020  Shares                X         1      1020     0       0
SPDR S&P 500 ETF                 PREFERRED 78462F103     8972       62317  Shares       X                  1         0     0   62317
SPDR S&P 500 ETF                 PREFERRED 78462F103     5017       34851  Shares                X         1         0     0   34851
SPDR S&P 500 ETF                 PREFERRED 78462F103     5007       35095  Shares       X                  3     16249     0   18846
SPDR S&P 500 ETF                 PREFERRED 78462F103     1463       10159  Shares                X         4         0 10159       0
SPDR GOLD SHARES                 PREFERRED 78463V107     2581       15017  Shares       X                  1         0     0   15017
SPDR GOLD SHARES                 PREFERRED 78463V107      429        2496  Shares                X         1         0     0    2496
SPDR S&P GLOBAL NAT
 RESOURCES ETF                   PREFERRED 78463X541       95        1875  Shares                X         1         0     0    1875
SPDR DJ INTL REAL ESTATE ETF    *COMMON    78463X863     2363       60206  Shares       X                  3         0     0   60206
SPDR S&P 600 SMALL CAP VALUE ETF PREFERRED 78464A300       29         380  Shares                X         1         0     0     380
SPDR BARCLAYS CAP HI YLD BD ETF  PREFERRED 78464A417       63        1556  Shares       X                  1         0     0    1556
SPDR BARCLAYS CAP S-T
 CORP BD ETF                     PREFERRED 78464A474       24         790  Shares       X                  1         0     0     790
SPDR DJ REIT ETF                 PREFERRED 78464A607      233        3235  Shares       X                  1         0     0    3235
SPDR BARCLAYS CAPITAL TIPS ETF   PREFERRED 78464A656      188        3100  Shares       X                  1         0     0    3100
SPDR S&P REGIONAL
 BANKING ETF                     PREFERRED 78464A698       11         400  Shares       X                  1         0     0     400
SPDR S&P REGIONAL
 BANKING ETF                     PREFERRED 78464A698        6         200  Shares                X         1         0     0     200
SPDR S&P OIL & GAS EXPL
 & PROD ETF                      PREFERRED 78464A730       40         720  Shares                X         1         0     0     720
SPDR S&P OIL & GAS EQUIP
 & SVCS ETF                      PREFERRED 78464A748        7         200  Shares       X                  1         0     0     200
SPDR S&P DIVIDEND ETF            PREFERRED 78464A763    29015      499393  Shares       X                  1         0     0  499393
SPDR S&P DIVIDEND ETF            PREFERRED 78464A763     4309       74162  Shares                X         1         0     0   74162
SPDR S&P DIVIDEND ETF            PREFERRED 78464A763      373        6426  Shares       X                  3         0     0    6426
SPDR S&P DIVIDEND ETF            PREFERRED 78464A763      404        6960  Shares                X         4         0  6960       0
SPDR S&P 400 MID CAP VALUE ETF   PREFERRED 78464A839       27         460  Shares                X         1         0     0     460
SPDR S&P BIOTECH ETF             PREFERRED 78464A870      467        5000  Shares                X         1         0     0    5000
SPDR DJ INDUSTRIAL AVG ETF       PREFERRED 78467X109     5559       41470  Shares       X                  1         0     0   41470
SPDR S&P MIDCAP 400 ETF          COMMON    78467Y107      108         600  Shares       X                  1         0     0     600
SPDR S&P MIDCAP 400 ETF          COMMON    78467Y107     2927       16270  Shares                X         1         0     0   16270
SPDR S&P MIDCAP 400 ETF          COMMON    78467Y107       89         495  Shares       X                  3         0     0     495
SVB FINANCIAL GROUP              COMMON    78486Q101      165        2730  Shares       X                  1      2730     0       0
SVB FINANCIAL GROUP              COMMON    78486Q101       65        1080  Shares       X                  3      1080     0       0
SALESFORCE.COM INC               COMMON    79466L302       51         333  Shares       X                  1       333     0       0
SALLY BEAUTY COMPANY INC         COMMON    79546E104        3         100  Shares       X                  1       100     0       0
SANDISK CORP COM                 COMMON    80004C101        4         100  Shares       X                  1       100     0       0
SANDRIDGE MISSISSIPPIAN TRUST    COMMON    80007T101       20         820  Shares       X                  1         0     0     820
SANDRIDGE MISSISSIPPIAN TRUST    COMMON    80007T101       16         645  Shares                X         1         0     0     645
SANOFI-ADR                       COMMON    80105N105       39         900  Shares       X                  1       900     0       0
SANOFI-ADR                       COMMON    80105N105       97        2250  Shares                X         1      2250     0       0
SANOFI-CVR     12/31/20          COMMON    80105N113        5        2700  Shares       X                  1      2700     0       0
SANOFI-CVR     12/31/20          COMMON    80105N113        1         400  Shares                X         1       400     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
SCHLUMBERGER LTD                 COMMON    806857108      873       12066  Shares       X                  3      8623     0    3443
SEALED AIR CORP NEW COM          COMMON    81211K100        4         230  Shares       X                  1       230     0       0
SEALED AIR CORP NEW COM          COMMON    81211K100       60        3908  Shares                X         1      3908     0       0
SPDR MATERIALS SELECT SECTOR ETF PREFERRED 81369Y100        0          11  Shares       X                  1         0     0      11
SECTOR SPDR HEALTH CARE          PREFERRED 81369Y209        2          60  Shares       X                  1         0     0      60

                                    23 of 26




                                                                                              
SPDR CONSUMER STAPLES ETF        PREFERRED 81369Y308        2          54  Shares       X                  1         0     0      54
SPDR CONSUMER DISCRETIONARY ETF  PREFERRED 81369Y407        2          41  Shares       X                  1         0     0      41
SPDR ENERGY SELECT SECTOR ETF    PREFERRED 81369Y506       13         176  Shares       X                  1         0     0     176
SPDR ENERGY SELECT SECTOR ETF    PREFERRED 81369Y506       14         185  Shares                X         1         0     0     185
SPDR FINANCIAL SELECT SECTOR ETF PREFERRED 81369Y605      935       59952  Shares       X                  1         0     0   59952
SPDR FINANCIAL SELECT SECTOR ETF PREFERRED 81369Y605      667       42803  Shares                X         1         0     0   42803
SPDR FINANCIAL SELECT SECTOR ETF PREFERRED 81369Y605        5         300  Shares                X         4         0   300       0
SPDR INDUSTRIAL SELECT
 SECTOR ETF                      PREFERRED 81369Y704        2          48  Shares       X                  1         0     0      48
SECTOR SPDR TECHNOLOGY           PREFERRED 81369Y803       29         936  Shares       X                  1         0     0     936
UTILITIES SELECT SECTOR SPDR ETF COMMON    81369Y886     1792       49239  Shares       X                  1         0     0   49239
UTILITIES SELECT SECTOR SPDR ETF COMMON    81369Y886      273        7501  Shares                X         1         0     0    7501
UTILITIES SELECT SECTOR SPDR ETF COMMON    81369Y886      248        6809  Shares       X                  3         0     0    6809
SENIOR HOUSING PROPERTIES TR
 (REIT)                          COMMON    81721M109        2         100  Shares                X         1         0     0     100
SHIRE PLC - ADR                  COMMON    82481R106       14         162  Shares       X                  1       162     0       0
SILVERCORP METALS INC            COMMON    82835P103        4         600  Shares       X                  1       600     0       0
SIRIUS XM RADIO INC              COMMON    82967N108       20        7588  Shares       X                  1      7588     0       0
SMITH & NEPHEW PLC - SPONS ADR   COMMON    83175M205        3          46  Shares       X                  1        46     0       0
SONOCO PRODUCTS CO COM           COMMON    835495102       41        1312  Shares       X                  3      1312     0       0
SOURCEFIRE INC                   COMMON    83616T108      270        5511  Shares       X                  1      5511     0       0
SOURCEFIRE INC                   COMMON    83616T108      221        4380  Shares       X                  3      4380     0       0
SOUTHERN CO COM                  COMMON    842587107       61        1320  Shares       X                  3      1320     0       0
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
SOUTHERN COPPER CORP             COMMON    84265V105       48        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      342        6735  Shares       X                  3      4730     0    2005
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
STARWOOD PROPERTY TRUST INC      COMMON    85571B105       48        2058  Shares       X                  3      2058     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
STATOIL ASA SPONSORED ADR        COMMON    85771P102       10         382  Shares       X                  1       382     0       0
STELLARONE CORP                  COMMON    85856G100       23        1731  Shares                X         1      1731     0       0
STRATASYS INCORPORATED           COMMON    862685104      220        3690  Shares       X                  3      3690     0       0
STRYKER CORP COM                 COMMON    863667101      117        2106  Shares       X                  3      1906     0     200
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
SUNOCO INC COM                   COMMON    86764P109        3          63  Shares       X                  1        63     0       0
SUNTRUST BANKS INC               COMMON    867914103      503       20001  Shares       X                  3     20001
SUSQUEHANNA BANCSHARES
 INC PA COM                      COMMON    869099101       49        4627  Shares       X                  3      4627
SYNGENTA AG ADR                  COMMON    87160A100      150        2000  Shares                X         1      2000     0       0
SYSCO CORP COMMON                COMMON    871829107       39        1246  Shares       X                  3      1246     0       0
TC PIPELINES LIMITED PARTNERSHIP COMMON    87233Q108      136        3001  Shares       X                  3      3001
TECO ENERGY INC                  COMMON    872375100       68        3814  Shares                X         1      3814     0       0
TANZANIAN ROYALTY EXPLORATION    COMMON    87600U104        1         250  Shares       X                  1       250     0       0
TARGET CORP COM                  COMMON    87612E106      736       11603  Shares       X                  3      8153     0    3450
TARGET CORP COM                  COMMON    87612E106     7432      117090  Shares       X                  1    117090     0       0
TARGET CORP COM                  COMMON    87612E106      688       10844  Shares                X         1     10189     0     655
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
TERADATA CORP                    COMMON    88076W103     1232       16336  Shares       X                  1     16056     0     280
TERADATA CORP                    COMMON    88076W103       40         534  Shares                X         1       534     0       0
TEXAS CAPITAL BANCSHARES INC     COMMON    88224Q107      207        4168  Shares       X                  1      4168     0       0
TEXAS CAPITAL BANCSHARES INC     COMMON    88224Q107      189        3975  Shares       X                  3      3975     0       0
THERMO FISHER SCIENTIFIC INC     COMMON    883556102      116        1970  Shares       X                  3      1785     0     185
3M CO                            COMMON    88579Y101     9732      105303  Shares       X                  1    104878     0     425
3M CO                            COMMON    88579Y101     8238       89133  Shares                X         1     79917     0    9216
3M CO                            COMMON    88579Y101       18         195  Shares       X                  3       195
3M CO                            COMMON    88579Y101       83         900  Shares                X         4       900     0       0
TIBCO SOFTWARE INC COM           COMMON    88632Q103        1          40  Shares       X                  1        40     0       0
TIM HORTONS INC                  COMMON    88706M103      225        4333  Shares       X                  1      4333     0       0
ADR TIM PARTICIPACOES SA         COMMON    88706P205        8         394  Shares       X                  1       394     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 CABLE INC            COMMON    88732J207      254        2862  Shares       X                  3      2862
TORTOISE ENERGY CAPITAL CORP COM PREFERRED 89147U100       28        1000  Shares                X         1         0     0    1000
THE TRAVELERS COMPANIES INC      COMMON    89417E109     3723       54547  Shares       X                  1     54547     0       0
THE TRAVELERS COMPANIES INC      COMMON    89417E109      862       12629  Shares                X         1     12104     0     525
THE TRAVELERS COMPANIES INC      COMMON    89417E109      645        9451  Shares       X                  3      6736     0    2715
THE TRAVELERS COMPANIES INC      COMMON    89417E109       34         500  Shares                X         4       500     0       0
UDR INC COM                      COMMON    902653104       18         716  Shares       X                  3       716     0       0
U S BANCORP DEL COM NEW          COMMON    902973304     1063       30992  Shares       X                  3     22142     0    8850
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
UNILEVER PLC SPONSORED ADR       COMMON    904767704       91        2486  Shares       X                  3      2486     0       0
UNION PACIFIC CORP COM           COMMON    907818108      274        2306  Shares       X                  3      1556     0     750
UNITED PARCEL SERVICE CL B       COMMON    911312106     1022       14157  Shares       X                  3     11194     0    2963
UNITED STATES OIL ETF            PREFERRED 91232N108       17         500  Shares       X                  1         0     0     500

                                    24 of 26




                                                                                              
UNITED STATES 12 MNTH
 NATRAL GAS ETF                  PREFERRED 91288X109       25        1330  Shares       X                  1         0     0    1330
UNITED TECHNOLOGIES CORP COM     COMMON    913017109      369        4717  Shares       X                  3      4357     0     360
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
UNITEDHEALTH GROUP INC           COMMON    91324P102      528        9537  Shares       X                  3      5580     0    3957
UNIVERSAL DISPLAY CORP           COMMON    91347P105       45        1300  Shares       X                  1      1300     0       0
VALE SA                          COMMON    91912E105       11         600  Shares       X                  1       600     0       0
VALE SA                          COMMON    91912E105       14         800  Shares                X         1       800     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
VANGUARD SHORT-TERM BD ETF       COMMON    921937827     5813       71375  Shares       X                  3         0     0   71375
VANGUARD TOTAL BOND MKT ETF      COMMON    921937835     3624       42565  Shares       X                  3         0     0   42565
VANGUARD HIGH DIVIDEND YIELD ETF COMMON    921946406      225        4460  Shares       X                  3         0     0    4460
VANGUARD MSCI
 EMERGING MKTS ETF      *        COMMON    922042858      238        5710  Shares       X                  3         0     0    5710
VANGUARD UTILITIES ETF           PREFERRED 92204A876        4          50  Shares       X                  1         0     0      50
VANGUARD UTILITIES ETF           PREFERRED 92204A876       25         325  Shares                X         1         0     0     325
VANGUARD LONG-TERM CORP BOND     PREFERRED 92206C813       16         169  Shares       X                  1         0     0     169
VANGUARD INT-TRM CORP BOND ETF   PREFERRED 92206C870        8          87  Shares       X                  1         0     0      87
VENTAS INC COM                   COMMON    92276F100        7         110  Shares       X                  1       110     0       0
VANGUARD REIT ETF                COMMON    922908553     1794       27613  Shares       X                  3         0     0   27613
VERISIGN INC COM                 COMMON    92343E102       88        1816  Shares       X                  1      1816     0       0
VERISIGN INC COM                 COMMON    92343E102        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
VERIZON COMMUNICATIONS COM       COMMON    92343V104      499       11037  Shares       X                  3     11037     0       0
VERIZON COMMUNICATIONS COM       COMMON    92343V104       46        1000  Shares                X         4      1000     0       0
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
VISA INC                         COMMON    92826C839     4252       31668  Shares       X                  1     31188     0     480
VISA INC                         COMMON    92826C839      597        4446  Shares                X         1      4446     0       0
VISA INC                         COMMON    92826C839       27         200  Shares       X                  3       200     0       0
VITAMIN SHOPPE INC               COMMON    92849E101      301        5375  Shares       X                  3      5375     0       0
VITAMIN SHOPPE INC               COMMON    92849E101      397        6799  Shares       X                  1      6799     0       0
VODAFONE GROUP PLC - SP ADR      COMMON    92857W209     3391      118975  Shares       X                  1    116975     0    2000
VODAFONE GROUP PLC - SP ADR      COMMON    92857W209      334       11716  Shares                X         1     10465     0    1251
VODAFONE GROUP PLC - SP ADR      COMMON    92857W209      518       18175  Shares       X                  3     12935     0    5240
VODAFONE GROUP PLC - SP ADR      COMMON    92857W209       48        1700  Shares                X         4      1700     0       0
W P CAREY & CO LLC               COMMON    92930Y107       10         200  Shares       X                  1       200     0       0
W P CAREY & CO LLC               COMMON    92930Y107       20         400  Shares                X         1       400     0       0
WAL MART STORES INC COM          COMMON    931142103      678        9241  Shares       X                  3      6371     0    2870
WALGREEN COMPANY COMMON          COMMON    931422109        0           1  Shares       X                  3         1
WALTER ENERGY INC                COMMON    93317Q105      157        4824  Shares       X                  1      4824     0       0
WALTER ENERGY INC                COMMON    93317Q105      127        3895  Shares       X                  3      3895     0       0
WASTE CONNECTIONS INC            COMMON    941053100      220        7455  Shares       X                  3      7455     0       0
WASTE MANAGEMENT INC             COMMON    94106L109      441       13738  Shares       X                  1     13738     0       0
WASTE MANAGEMENT INC             COMMON    94106L109      283        8810  Shares                X         1      4510     0    4300
WASTE MANAGEMENT INC             COMMON    94106L109       50        1556  Shares       X                  3      1556     0       0
WASTE MANAGEMENT INC             COMMON    94106L109       32        1000  Shares                X         4      1000     0       0
WELLPOINT INC                    COMMON    94973V107       35         607  Shares       X                  1       607     0       0
WELLS FARGO & CO                 COMMON    949746101      670       19407  Shares       X                  3     13657     0    5750
WELLS FARGO INCOME
 OPPORTUNITIES FD                PREFERRED 94987B105       43        4035  Shares       X                  1         0     0    4035
WELLS FARGO GLOBAL DIV
 OPPORTUNITY                     PREFERRED 94987C103        7         800  Shares       X                  1         0     0     800
WELLS FARGO MULTI-SECTOR INCOME
 FUND                            PREFERRED 94987D101        0          15  Shares       X                  1         0     0      15
THE WENDY'S COMPANY              COMMON    95058W100       62       13600  Shares       X                  1     13600     0       0
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
WESTAR ENERGY INC                COMMON    95709T100       32        1076  Shares       X                  3      1076     0       0
WHITING PETROLEUM CORPORATION    COMMON    966387102      351        7640  Shares       X                  3      7640     0       0
WINDSTREAM CORP                  COMMON    97381W104       99        9793  Shares       X                  1      9793     0       0
WINDSTREAM CORP                  COMMON    97381W104       56        5572  Shares                X         1      5272     0     300
WISDOMTREE EMG MARKET
 EQUITY INC ETF *                COMMON    97717W315      142        2650  Shares       X                  3         0     0    2650
WISDOMTREE GLB EX-US REAL
 ESTATE ETF                      PREFERRED 97717W331      174        6015  Shares       X                  1         0     0    6015
WPX ENERGY INC-W/I               COMMON    98212B103        1          59  Shares       X                  1        59     0       0
WPX ENERGY INC-W/I               COMMON    98212B103        7         400  Shares                X         1         0     0     400
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
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
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
YAMANA GOLD INC                  COMMON    98462Y100        1          50  Shares                X         1         0     0      50
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
ZIMMER HOLDINGS INC COMMON       COMMON    98956P102       10         161  Shares       X                  3       161
DEUTSCHE BANK AG-REG             COMMON    D18190898        3          70  Shares       X                  1        70     0       0
AMDOCS LIMITED                   COMMON    G02602103       12         375  Shares       X                  1       375     0       0

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AON PLC                          COMMON    G0408V102      183        3500  Shares       X                  1      3500     0       0
ASPEN INSURANCE HOLDINGS LTD     COMMON    G05384105        3          90  Shares       X                  1        90     0       0
ACCENTURE PLC- CL A              COMMON    G1151C101      585        8350  Shares       X                  1      8250     0     100
ACCENTURE PLC- CL A              COMMON    G1151C101      726       10360  Shares                X         1     10225     0     135
COOPER INDUSTRIES PLC CL A       COMMON    G24140108        1          17  Shares       X                  1        17     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
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
EVEREST RE GROUP LTD COM         COMMON    G3223R108       11         104  Shares       X                  1       104     0       0
HERBALIFE LTD                    COMMON    G4412G101      368        7763  Shares       X                  1      7763     0       0
HERBALIFE LTD                    COMMON    G4412G101      296        6175  Shares       X                  3      6175     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
MANCHESTER UNITED PLC-CL A       COMMON    G5784H106        1         100  Shares       X                  1       100     0       0
MARVEL TECHNOLOGY GROUP LTD      COMMON    G5876H105        2         200  Shares                X         1       200     0       0
NABORS INDUSTRIES LTD            COMMON    G6359F103      116        8260  Shares       X                  1      8260     0       0
NABORS INDUSTRIES LTD            COMMON    G6359F103      118        8395  Shares                X         1      8395     0       0
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
ONEBEACON INSURANCE GROUP LTD    COMMON    G67742109       40        2958  Shares       X                  3      2958     0       0
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
VALIDUS HOLDINGS LTD             COMMON    G9319H102        1          36  Shares       X                  1        36     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
WHITE MOUNTAINS INSURANCE
 GROUP LTD                       COMMON    G9618E107       28          54  Shares       X                  3        54     0       0
XL GROUP PLC                     COMMON    G98290102        7         300  Shares                X         1       300     0       0
ACE LIMITED                      COMMON    H0023R105      971       12850  Shares       X                  1     12850     0       0
ACE LIMITED                      COMMON    H0023R105      357        4716  Shares                X         1      4699     0      17
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
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
NOBLE CORPORATION                COMMON    H5833N103       84        2350  Shares       X                  1      2350     0       0
NOBLE CORPORATION                COMMON    H5833N103       23         650  Shares                X         1       650     0       0
TE CONNECTIVITY LTD              COMMON    H84989104       43        1275  Shares       X                  1      1275     0       0
TE CONNECTIVITY LTD              COMMON    H84989104       28         815  Shares                X         1       815     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
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
MELLANOX TECHNOLOGIES LTD        COMMON    M51363113       10         100  Shares       X                  1       100     0       0
AERCAP HOLDINGS NV               COMMON    N00985106        6         500  Shares       X                  1       500     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
CORE LABORATORIES N V            COMMON    N22717107      392        3226  Shares       X                  1      3226     0       0
CORE LABORATORIES N V            COMMON    N22717107      306        2515  Shares       X                  3      2515     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
SENSATA TECHNOLOGIES HLDG NV     COMMON    N7902X106        4         120  Shares       X                  1       120     0       0
DRYSHIPS INC                     COMMON    Y2109Q101        2        1000  Shares       X                  1      1000     0       0
FLEXTRONICS INTL LTD             COMMON    Y2573F102       10        1700  Shares                X         1      1700     0       0
SEASPAN CORP                     COMMON    Y75638109       80        5050  Shares                X         1      5050     0       0
2003                                                  2122944    41881505                                     33391373 21787 8468345

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