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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: 12/31/2012

Check here is Amendment [_]; Amendment Number:

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

Institutional Investment Manager Filing this Report:

Name:    M&T Bank Corporation

Address: One M&T Plaza
         Buffalo, NY 14240

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

Name:  Robert G. Wilmers
Title: Chairman & CEO
Phone: (716) 842-5425

Signature, Place & Date of Signing:

    /s/ Robert G. Wilmers, Chairman & CEO   Buffalo, New York      2/15/2013
    -------------------------------------   -----------------   ----------------
               [Signature]                    [City, State]         [Date]

Report Type (Check only one.):

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

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

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

List of Other Included Managers:

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

List of Other Managers Reporting for this Manager:

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

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                             FORM 13-F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:                                             3

Form 13-F Information Table Entry Total:                                   1,982

Form 13-F Information Table Value Total:                               2,101,451
                                                                     -----------
                                                                     (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.




                           M T 13-F Report for 12/31/2012

                                     SEC USE



                       COLUMN 2 COLUMN 3   COLUMN 4          COLUMN 5                COLUMN 6        COLUMN 7 COLUMN 8
                                                                               INVESTMENT AUTHORITY
                      --------- --------- ---------- ------------------------ ----------------------
                                                      SHARES                                                     VOTING AUTHORITY
                                                        OR      SHARES   PUT                                  ----------------------
                      TITLE OF               VALUE   PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER          CLASS     CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED   NONE
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ -------
                                                                                      
3M CO                 COMMON    88579Y101       9355    100751 Shares                 X                  1     100326      0     425
3M CO                 COMMON    88579Y101       7847     84517 Shares                          X         1      76501      0    8016
3M CO                 COMMON    88579Y101         18       195 Shares                 X                  3        195      0       0
3M CO                 COMMON    88579Y101        116      1250 Shares                          X         4       1250      0       0
ABB LTD SPON ADR      COMMON    000375204         15       700 Shares                 X                  1        700      0       0
ABB LTD SPON ADR      COMMON    000375204         27      1300 Shares                          X         1       1300      0       0
ABBOTT LABORATORIES   COMMON    002824100       8246    125894 Shares                 X                  1     124394      0    1500
ABBOTT LABORATORIES   COMMON    002824100       4561     69626 Shares                          X         1      66956      0    2670
ABBOTT LABORATORIES   COMMON    002824100        214      3262 Shares                 X                  3       3022      0     240
ABBOTT LABORATORIES   COMMON    002824100         49       750 Shares                          X         4        750      0       0
ABERCROMBIE & FITCH
 CO CL A              COMMON    002896207         12       245 Shares                 X                  1        245      0       0
ABERDEEN ASIA PACIFIC
 INCOME CEF *         OTHER     003009107         20      2533 Shares                 X                  1          0      0    2533
ABERDEEN CHILE CLS
 END *                OTHER     00301W105          5       300 Shares                 X                  1          0      0     300
ACCENTURE PLC- CL A   COMMON    G1151C101        630      9468 Shares                 X                  1       9368      0     100
ACCENTURE PLC- CL A   COMMON    G1151C101        622      9360 Shares                          X         1       9225      0     135
ACCO BRANDS CORP      COMMON    00081T108         82     11110 Shares                 X                  1      11110      0       0
ACCO BRANDS CORP      COMMON    00081T108          9      1265 Shares                          X         1       1265      0       0
ACE LIMITED           COMMON    H0023R105       1206     15118 Shares                 X                  1      15118      0       0
ACE LIMITED           COMMON    H0023R105        372      4660 Shares                          X         1       4643      0      17
ACME PACKET INC       COMMON    004764106          7       318 Shares                 X                  1        318      0       0
ACNB CORP             COMMON    000868109        303     18745 Shares                 X                  1      14548      0    4197
ACNB CORP             COMMON    000868109          0         1 Shares                 X                  3          1      0       0
ACTIVISION BLIZZARD
 INC                  COMMON    00507V109         53      4990 Shares                 X                  1       4990      0       0
ACTIVISION BLIZZARD
 INC                  COMMON    00507V109         37      3500 Shares                          X         1       3500      0       0
ADOBE SYSTEMS COMMON  COMMON    00724F101         53      1400 Shares                 X                  1       1400      0       0
ADOBE SYSTEMS COMMON  COMMON    00724F101         10       265 Shares                          X         1        265      0       0
ADR TIM PARTICIPACOES
 SA                   COMMON    88706P205          6       322 Shares                 X                  1        322      0       0
ADT CORP/THE          COMMON    00101J106         32       693 Shares                 X                  1        693      0       0
ADT CORP/THE          COMMON    00101J106         25       548 Shares                          X         1        147      0     401
ADTRAN INC COM        COMMON    00738A106        329     16841 Shares                 X                  1      16841      0       0
ADTRAN INC COM        COMMON    00738A106        240     12265 Shares                 X                  3      12265      0       0
ADVANCED MICRO
 DEVICES INC COM      COMMON    007903107          0        80 Shares                 X                  1         80      0       0
ADVANCED
 SEMICONDUCTOR E ADR  COMMON    00756M404         11      2577 Shares                 X                  1       2577      0       0
AECOM TECHNOLOGY CORP COMMON    00766T100          8       335 Shares                 X                  1        335      0       0
AEGON NV ORD AMER REG
 SHS                  COMMON    007924103         15      2404 Shares                          X         1       2404      0       0
AERCAP HOLDINGS NV    COMMON    N00985106          8       564 Shares                 X                  1        564      0       0
AES CORP COM          COMMON    00130H105         14      1300 Shares                 X                  1       1300      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        452      9759 Shares                 X                  1       9759      0       0
AFFILIATED MANAGERS
 GROUP                COMMON    008252108       1685     12945 Shares                 X                  1      12945      0       0
AFFILIATED MANAGERS
 GROUP                COMMON    008252108         84       645 Shares                          X         1        645      0       0
AFLAC INC             COMMON    001055102        404      7597 Shares                 X                  1       7597      0       0
AFLAC INC             COMMON    001055102        665     12525 Shares                          X         1      12525      0       0
AG MORTGAGE
 INVESTMENT TRUST     COMMON    001228105         18       780 Shares                 X                  1        780      0       0
AGILENT TECHNOLOGIES
 INC COM              COMMON    00846U101          8       190 Shares                 X                  1        190      0       0
AGILENT TECHNOLOGIES
 INC COM              COMMON    00846U101         35       853 Shares                          X         1        243      0     610
AGILENT TECHNOLOGIES
 INC COM              COMMON    00846U101          9       229 Shares                 X                  3        229      0       0
AGL RESOURCES INC     COMMON    001204106         23       567 Shares                          X         1        567      0       0
AGNICO EAGLE MINES
 LTD                  COMMON    008474108          3        50 Shares                 X                  1         50      0       0
AIR PRODUCTS &
 CHEMICALS INC        COMMON    009158106       1424     16947 Shares                 X                  1      16697      0     250
AIR PRODUCTS &
 CHEMICALS INC        COMMON    009158106       1156     13759 Shares                          X         1      13645      0     114
AIRGAS INC            COMMON    009363102        133      1460 Shares                 X                  1       1460      0       0
AIRGAS INC            COMMON    009363102         95      1045 Shares                 X                  3       1045      0       0
AK STEEL HOLDING CORP
 COM                  COMMON    001547108          0        66 Shares                 X                  1         66      0       0
ALBEMARLE CORP COM    COMMON    012653101       2737     44065 Shares                 X                  1      44065      0       0
ALBEMARLE CORP COM    COMMON    012653101       1432     23056 Shares                          X         1      23056      0       0
ALBEMARLE CORP COM    COMMON    012653101         51       815 Shares                 X                  3        815      0       0
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
ALCOA INC COM         COMMON    013817101        210     24192 Shares                 X                  1      23892      0     300
ALCOA INC COM         COMMON    013817101        164     18885 Shares                          X         1      18125      0     760
ALERE INC             COMMON    01449J105        269     14549 Shares                 X                  1      14549      0       0
ALERE INC             COMMON    01449J105        196     10595 Shares                 X                  3      10595      0       0
ALEXANDER & BALDWIN
 INC                  COMMON    014491104        890     30293 Shares                 X                  1      30293      0       0
ALEXANDER & BALDWIN
 INC                  COMMON    014491104         42      1438 Shares                          X         1       1438      0       0
ALEXANDER & BALDWIN
 INC                  COMMON    014491104         15       504 Shares                 X                  3        504      0       0
ALEXION
 PHARMACEUTICALS
 INC COM              COMMON    015351109       2553     27232 Shares                 X                  1      27232      0       0
ALEXION
 PHARMACEUTICALS
 INC COM              COMMON    015351109         89       952 Shares                          X         1        952      0       0
ALLEGHANY CORPORATION COMMON    017175100          7        21 Shares                          X         1         21      0       0
ALLEGHENY TECH CONV
 4.250%  6/01/14 *    OTHER     01741RAD4          2      2000 Shares                 X                  1          0      0    2000
ALLERGAN INC          COMMON    018490102       2378     25927 Shares                 X                  1      25927      0       0
ALLERGAN INC          COMMON    018490102        121      1324 Shares                          X         1       1324      0       0
ALLETE INC            COMMON    018522300         46      1125 Shares                          X         1       1125      0       0
ALLIANCE DATA SYSTEMS
 CORP                 COMMON    018581108         96       664 Shares                 X                  1        664      0       0
ALLIANCE DATA SYSTEMS
 CORP                 COMMON    018581108          4        28 Shares                          X         1         28      0       0
ALLIANCEBERNSTEIN
 INCOME FUND          PREFERRED 01881E101         16      2000 Shares                 X                  1          0      0    2000


                                     1 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
ALLIANT TECH SYSTEMS
 INC                  COMMON    018804104         25       405 Shares                          X         1        405      0       0
ALLISON TRANSMISSION
 HOLDINGS             COMMON    01973R101          9       430 Shares                 X                  1        430      0       0
ALLSCRIPTS HEALTHCARE
 SOLUTIONS INC        COMMON    01988P108         27      2852 Shares                 X                  1       2852      0       0
ALLSCRIPTS HEALTHCARE
 SOLUTIONS INC        COMMON    01988P108         32      3450 Shares                          X         1       3450      0       0
ALLSTATE CORP         COMMON    020002101        367      9147 Shares                 X                  1       9147      0       0
ALLSTATE CORP         COMMON    020002101        187      4658 Shares                          X         1       4658      0       0
ALPHA NATURAL
 RESOURCES            COMMON    02076X102         19      2000 Shares                 X                  1       2000      0       0
ALPHA NATURAL
 RESOURCES            COMMON    02076X102         29      3000 Shares                          X         1       3000      0       0
ALPINE GLBL PREMIER
 PROPERTIES FUND      PREFERRED 02083A103       1503    206476 Shares                 X                  1          0      0  206476
ALPINE GLBL PREMIER
 PROPERTIES FUND      PREFERRED 02083A103        812    111501 Shares                          X         1          0      0  111501
ALPINE TOTAL DYNAMIC
 DVD FD *             OTHER     021060108         20      4844 Shares                 X                  1          0      0    4844
ALPINE TOTAL DYNAMIC
 DVD FD *             OTHER     021060108          2       500 Shares                          X         1          0      0     500
ALTERA CORP COM       COMMON    021441100        502     14606 Shares                 X                  1      14606      0       0
ALTERA CORP COM       COMMON    021441100        325      9455 Shares                 X                  3       9455      0       0
ALTRIA GROUP INC      COMMON    02209S103       8622    274222 Shares                 X                  1     271522      0    2700
ALTRIA GROUP INC      COMMON    02209S103       3740    118948 Shares                          X         1     113223      0    5725
ALTRIA GROUP INC      COMMON    02209S103         96      3064 Shares                 X                  3       3064      0       0
AMAZON.COM INC        COMMON    023135106       6337     25262 Shares                 X                  1      25027      0     235
AMAZON.COM INC        COMMON    023135106        322      1283 Shares                          X         1        683      0     600
AMAZON.COM INC        COMMON    023135106        351      1398 Shares                 X                  3       1398      0       0
AMAZON.COM INC        COMMON    023135106        144       575 Shares                          X         4        575      0       0
AMERICA MOVIL SA -
 SPON ADR SER A       COMMON    02364W204          0         1 Shares                 X                  3          1      0       0
AMERICA MOVIL SA -
 SPONS ADR SER L      COMMON    02364W105          7       310 Shares                 X                  1        310      0       0
AMERICA MOVIL SA -
 SPONS ADR SER L      COMMON    02364W105        141      6100 Shares                          X         1        600      0    5500
AMERICAN CAMPUS
 COMMUNITIES INC-REIT COMMON    024835100        695     15071 Shares                 X                  1      15071      0       0
AMERICAN CAMPUS
 COMMUNITIES INC-REIT COMMON    024835100         81      1757 Shares                          X         1       1757      0       0
AMERICAN CAMPUS
 COMMUNITIES INC-REIT COMMON    024835100         74      1608 Shares                 X                  3       1608      0       0
AMERICAN CAPITAL
 AGENCY CORP          COMMON    02503X105         36      1250 Shares                 X                  1       1250      0       0
AMERICAN CAPITAL
 AGENCY CORP          COMMON    02503X105          9       300 Shares                          X         1        300      0       0
AMERICAN EAGLE
 OUTFITTER INC        COMMON    02553E106          8       400 Shares                 X                  1        400      0       0
AMERICAN ELECTRIC
 POWER CO INC         COMMON    025537101        204      4777 Shares                 X                  1       4777      0       0
AMERICAN ELECTRIC
 POWER CO INC         COMMON    025537101        127      2975 Shares                          X         1       2376      0     599
AMERICAN EXPRESS CO   COMMON    025816109        642     11175 Shares                 X                  1      10575      0     600
AMERICAN EXPRESS CO   COMMON    025816109        651     11320 Shares                          X         1       9120      0    2200
AMERICAN FINANCIAL
 GROUP INC            COMMON    025932104         24       600 Shares                          X         1          0      0     600
AMERICAN
 INTERNATIONAL GROUP  COMMON    026874784          3        76 Shares                 X                  1         76      0       0
AMERICAN
 INTERNATIONAL GROUP  COMMON    026874784          5       141 Shares                          X         1         41      0     100
AMERICAN INTL CW21
 1/19/21              COMMON    026874156          4       268 Shares                 X                  1        268      0       0
AMERICAN INTL CW21
 1/19/21              COMMON    026874156          0        22 Shares                          X         1         22      0       0
AMERICAN INTL CW21
 1/19/21              COMMON    026874156          2       122 Shares                          X         4        122      0       0
AMERICAN INTL CW21
 1/19/21              COMMON    026874156          2       122 Shares                 X                  3        122      0       0
AMERICAN REALTY       COMMON    02917T104          9       700 Shares                 X                  1        700      0       0
AMERICAN REALTY       COMMON    02917T104          3       200 Shares                          X         1        200      0       0
AMERICAN TOWER CORP
 CL A                 COMMON    03027X100        118      1532 Shares                 X                  1       1532      0       0
AMERICAN TOWER CORP
 CL A                 COMMON    03027X100          4        50 Shares                          X         1         50      0       0
AMERICAN WATER WORKS
 CO INC               COMMON    030420103         32       850 Shares                 X                  1        850      0       0
AMERICAN WATER WORKS
 CO INC               COMMON    030420103         40      1090 Shares                          X         1       1090      0       0
AMERIGAS PARTNERS
 LP*                  OTHER     030975106         12       300 Shares                 X                  1        300      0       0
AMERIGAS PARTNERS
 LP*                  OTHER     030975106         12       300 Shares                          X         1        300      0       0
AMERIPRISE FINANCIAL
 INC                  COMMON    03076C106         82      1309 Shares                 X                  1       1189      0     120
AMERIPRISE FINANCIAL
 INC                  COMMON    03076C106         85      1351 Shares                          X         1       1156      0     195
AMERIS BANCORP        COMMON    03076K108          2       123 Shares                 X                  1        123      0       0
AMERISOURCE BERGEN
 CORP                 COMMON    03073E105         13       300 Shares                 X                  1        300      0       0
AMETEK AEROSPACE
 PRODS INC COM        COMMON    031100100        310      8254 Shares                 X                  1       8254      0       0
AMETEK AEROSPACE
 PRODS INC COM        COMMON    031100100        224      5975 Shares                 X                  3       5975      0       0
AMGEN INC COM         COMMON    031162100       8813    102234 Shares                 X                  1     102010      0     224
AMGEN INC COM         COMMON    031162100       2098     24334 Shares                          X         1      19844      0    4490
AMGEN INC COM         COMMON    031162100        950     11018 Shares                 X                  3       8078      0    2940
AMGEN INC COM         COMMON    031162100         34       400 Shares                          X         4        400      0       0
AMGEN INC CONV 0.375%
 2/01/13 *            OTHER     031162AQ3          6      5000 Shares                 X                  1          0      0    5000
AMPAL AMER-A          COMMON    032015703          4      1268 Shares                 X                  1       1268      0       0
ANADARKO PETROLEUM
 CORP                 COMMON    032511107        807     10856 Shares                 X                  1      10386      0     470
ANADARKO PETROLEUM
 CORP                 COMMON    032511107        202      2719 Shares                          X         1       2719      0       0
ANALOG DEVICES INC    COMMON    032654105          5       108 Shares                 X                  1        108      0       0
ANALOG DEVICES INC    COMMON    032654105         15       360 Shares                          X         1        360      0       0
ANHEUSER-BUSCH INBEV
 NV                   COMMON    03524A108         32       365 Shares                          X         1        365      0       0
ANNALY CAPITAL
 MANAGEMENT INC
 (REIT)               COMMON    035710409         83      5930 Shares                 X                  1       5930      0       0
ANNALY CAPITAL
 MANAGEMENT INC
 (REIT)               COMMON    035710409          4       300 Shares                          X         1        200      0     100
ANSYS INC             COMMON    03662Q105        476      7062 Shares                 X                  1       7062      0       0
ANSYS INC             COMMON    03662Q105        347      5160 Shares                 X                  3       5160      0       0
AOL INC               COMMON    00184X105          2        62 Shares                 X                  1         62      0       0
AOL INC               COMMON    00184X105          3        95 Shares                          X         1         95      0       0
AON PLC               COMMON    G0408V102         97      1750 Shares                 X                  1       1750      0       0
APACHE CORP 6.000%
 CONV PFD             PREFERRED 037411808          9       200 Shares                          X         1          0      0     200
APACHE CORP COM       COMMON    037411105       2490     31718 Shares                 X                  1      31718      0       0
APACHE CORP COM       COMMON    037411105        633      8059 Shares                          X         1       7841      0     218
APACHE CORP COM       COMMON    037411105         31       400 Shares                          X         4        400      0       0
APOLLO GROUP INC CL A COMMON    037604105          6       300 Shares                 X                  1        300      0       0
APOLLO INVESTMENT
 CORPORATION          PREFERRED 03761U106         25      3000 Shares                 X                  1          0      0    3000
APOLLO INVESTMENT
 CORPORATION          PREFERRED 03761U106          7       800 Shares                          X         1          0      0     800
APPLE INC             COMMON    037833100      38083     71561 Shares                 X                  1      70848      0     713
APPLE INC             COMMON    037833100       5305      9969 Shares                          X         1       9284      0     685
APPLE INC             COMMON    037833100       2247      4223 Shares                 X                  3       3071      0    1152
APPLE INC             COMMON    037833100        905      1700 Shares                          X         4       1700      0       0
APPLIED MATERIALS INC
 COM                  COMMON    038222105        261     22791 Shares                 X                  1      21791      0    1000


                                     2 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
APPLIED MATERIALS INC
 COM                  COMMON    038222105         54      4686 Shares                          X         1       3686      0    1000
AQUA AMERICA INC      COMMON    03836W103         29      1150 Shares                          X         1       1000      0     150
AQUA AMERICA INC      COMMON    03836W103         25       988 Shares                 X                  3        988      0       0
ARCELORMITTAL-NY
 REGISTERED           COMMON    03938L104          5       300 Shares                 X                  1        300      0       0
ARCHER DANIELS
 MIDLAND CO COM       COMMON    039483102        148      5413 Shares                 X                  1       5413      0       0
ARCHER DANIELS
 MIDLAND CO COM       COMMON    039483102        299     10900 Shares                          X         1       5400      0    5500
ARM HOLDINGS PLC      COMMON    042068106        125      3314 Shares                 X                  1       3314      0       0
ARM HOLDINGS PLC      COMMON    042068106          3        72 Shares                          X         1         72      0       0
ARRIS GROUP           COMMON    04269Q100        295     19720 Shares                          X         1      19720      0       0
ARROW FINL CORP       COMMON    042744102         38      1543 Shares                 X                  3       1543      0       0
ARTESIAN RESOURCES
 CORPORATION CL A     COMMON    043113208         20       885 Shares                 X                  1        885      0       0
ARUBA NETWORKS INC    COMMON    043176106        418     20137 Shares                 X                  1      20137      0       0
ARUBA NETWORKS INC    COMMON    043176106        282     13585 Shares                 X                  3      13585      0       0
ASHLAND INC           COMMON    044209104        507      6306 Shares                 X                  1       6306      0       0
ASHLAND INC           COMMON    044209104         38       474 Shares                          X         1        474      0       0
ASHLAND INC           COMMON    044209104        366      4555 Shares                 X                  3       4555      0       0
ASML HOLDING N.V. ADR COMMON    N07059210         39       612 Shares                 X                  1        612      0       0
ASML HOLDING N.V. ADR COMMON    N07059210          2        26 Shares                          X         1         26      0       0
ASPEN INSURANCE
 HOLDINGS LTD         COMMON    G05384105          7       230 Shares                 X                  1        230      0       0
ASTRAZENECA GROUP PLC
 SPONSORED ADR        COMMON    046353108         95      2013 Shares                 X                  1       2013      0       0
ASTRAZENECA GROUP PLC
 SPONSORED ADR        COMMON    046353108         70      1480 Shares                          X         1       1480      0       0
AT&T INC              COMMON    00206R102      13910    412641 Shares                 X                  1     410011      0    2630
AT&T INC              COMMON    00206R102      10342    306804 Shares                          X         1     259953      0   46851
AT&T INC              COMMON    00206R102        299      8872 Shares                 X                  3       8872      0       0
ATLAS AIR WORLDWIDE
 HOLDINGS             COMMON    049164205          6       130 Shares                 X                  1        130      0       0
ATLAS PIPELINE
 PARTNERS LP *        OTHER     049392103          8       243 Shares                 X                  1        243      0       0
ATMOS ENERGY CORP     COMMON    049560105          1        30 Shares                 X                  1         30      0       0
AUTODESK COM          COMMON    052769106        559     15813 Shares                 X                  1      15813      0       0
AUTODESK COM          COMMON    052769106        358     10120 Shares                 X                  3      10120      0       0
AUTOMATIC DATA
 PROCESSING INC       COMMON    053015103       1596     28043 Shares                 X                  1      27243      0     800
AUTOMATIC DATA
 PROCESSING INC       COMMON    053015103       2080     36544 Shares                          X         1      33794      0    2750
AUTOMATIC DATA
 PROCESSING INC       COMMON    053015103          0         1 Shares                 X                  3          1      0       0
AUTOZONE INC COM      COMMON    053332102         10        28 Shares                 X                  1         28      0       0
AUTOZONE INC COM      COMMON    053332102         71       200 Shares                          X         1        200      0       0
AUXILIUM
 PHARMACEUTICALS INC  COMMON    05334D107        151      8125 Shares                 X                  1       8125      0       0
AUXILIUM
 PHARMACEUTICALS INC  COMMON    05334D107        110      5925 Shares                 X                  3       5925      0       0
AVALONBAY COMMUNITIES
 INC                  COMMON    053484101         48       357 Shares                 X                  1        357      0       0
AVERY DENNISON CORP
 COM                  COMMON    053611109         10       275 Shares                 X                  1        275      0       0
AVIVA PLC SPONS ADR   COMMON    05382A104          2       184 Shares                 X                  1        184      0       0
AVNET INC COM         COMMON    053807103          6       185 Shares                 X                  1        185      0       0
AVON PRODUCTS INC     COMMON    054303102         11       750 Shares                 X                  1        750      0       0
AVON PRODUCTS INC     COMMON    054303102          6       441 Shares                          X         1        441      0       0
AXCELIS TECHNOLOGIES
 INC COM              COMMON    054540109          0       330 Shares                 X                  1        330      0       0
BABCOCK & WILCOX CO   COMMON    05615F102        305     11625 Shares                 X                  1      11625      0       0
BABCOCK & WILCOX CO   COMMON    05615F102          7       275 Shares                          X         1        275      0       0
BABCOCK & WILCOX CO   COMMON    05615F102        213      8115 Shares                 X                  3       8115      0       0
BAIDU INC-SPON ADR    COMMON    056752108        111      1106 Shares                 X                  1       1106      0       0
BAIDU INC-SPON ADR    COMMON    056752108         20       200 Shares                          X         1        200      0       0
BAKER HUGHES INC COM  COMMON    057224107        110      2692 Shares                 X                  1       2692      0       0
BAKER HUGHES INC COM  COMMON    057224107         16       400 Shares                          X         1        400      0       0
BALL CORPORATION      COMMON    058498106       1432     32010 Shares                          X         1      32010      0       0
BANCO BILBAO VIZCAYA
 ARGENTARIA ADR       COMMON    05946K101          4       470 Shares                 X                  1        470      0       0
BANCO BRADESCO -
 SPONS ADR            COMMON    059460303         11       610 Shares                 X                  1        610      0       0
BANCO SANTANDER SA -
 SPONS ADR            COMMON    05964H105          1       111 Shares                 X                  1        111      0       0
BANCO SANTANDER SA -
 SPONS ADR            COMMON    05964H105         14      1744 Shares                          X         1       1744      0       0
BANCOLOMBIA SA SPONS
 ADR                  COMMON    05968L102         14       212 Shares                 X                  1        212      0       0
BANK AMER CORP        COMMON    060505104       1948    167829 Shares                 X                  1     161468      0    6361
BANK AMER CORP        COMMON    060505104       1026     88329 Shares                          X         1      87546      0     783
BANK AMER CORP        COMMON    060505104         92      7882 Shares                 X                  3       7882      0       0
BANK NEW YORK MELLON
 CORP                 COMMON    064058100       1630     63413 Shares                 X                  1      63413      0       0
BANK NEW YORK MELLON
 CORP                 COMMON    064058100        284     11052 Shares                          X         1      10290      0     762
BARCLAYS BANK PFD
 7.1% SER 3           PREFERRED 06739H776         25      1000 Shares                 X                  1          0      0    1000
BARCLAYS PLC - SPONS
 ADR                  COMMON    06738E204         30      1757 Shares                 X                  1       1757      0       0
BARCLAYS PLC - SPONS
 ADR                  COMMON    06738E204         13       755 Shares                          X         1        755      0       0
BARD C R INC COM      COMMON    067383109         29       298 Shares                 X                  1        298      0       0
BARD C R INC COM      COMMON    067383109        401      4100 Shares                          X         1       4100      0       0
BARD C R INC COM      COMMON    067383109        141      1441 Shares                 X                  3       1441      0       0
BARNES GROUP
 INCORPORATED         COMMON    067806109         10       430 Shares                 X                  1        430      0       0
BARRICK GOLD CORP     COMMON    067901108         11       319 Shares                 X                  1        319      0       0
BARRICK GOLD CORP     COMMON    067901108        113      3220 Shares                          X         1       3220      0       0
BAXTER INTERNATIONAL  COMMON    071813109        654      9808 Shares                 X                  1       9808      0       0
BAXTER INTERNATIONAL  COMMON    071813109        343      5150 Shares                          X         1       5150      0       0
BAXTER INTERNATIONAL  COMMON    071813109         83      1238 Shares                 X                  3       1238      0       0
BB&T CORP COM         COMMON    054937107        800     27480 Shares                 X                  1      26580      0     900
BB&T CORP COM         COMMON    054937107        453     15549 Shares                          X         1      15549      0       0
BCE INC               COMMON    05534B760        130      3028 Shares                 X                  1       3028      0       0
BCE INC               COMMON    05534B760         29       664 Shares                          X         1        664      0       0
BEAM INC              COMMON    073730103        449      7343 Shares                 X                  1       7343      0       0
BEAM INC              COMMON    073730103        199      3258 Shares                          X         1       3151      0     107
BECTON DICKINSON & CO
 COM                  COMMON    075887109       1028     13143 Shares                 X                  1      13143      0       0
BECTON DICKINSON & CO
 COM                  COMMON    075887109        319      4079 Shares                          X         1       4079      0       0
BED BATH & BEYOND INC
 COM                  COMMON    075896100        110      1970 Shares                 X                  1       1970      0       0
BERKSHIRE HATHAWAY
 INC CLASS A          COMMON    084670108        268         2 Shares                          X         1          2      0       0
BERKSHIRE HATHAWAY
 INC DEL CL B         COMMON    084670702       4035     44980 Shares                 X                  1      44675      0     305
BERKSHIRE HATHAWAY
 INC DEL CL B         COMMON    084670702        903     10072 Shares                          X         1       7534      0    2538


                                     3 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
BERKSHIRE HATHAWAY
 INC DEL CL B         COMMON    084670702         50       552 Shares                 X                  3        552      0       0
BERKSHIRE HATHAWAY
 INC DEL CL B         COMMON    084670702         18       200 Shares                          X         4        200      0       0
BEST BUY COMPANY INC  COMMON    086516101         60      5076 Shares                 X                  1       5076      0       0
BEST BUY COMPANY INC  COMMON    086516101          5       407 Shares                          X         1        375      0      32
BHP BILLITON LTD
 SPONSORED ADR        COMMON    088606108        457      5828 Shares                 X                  1       5828      0       0
BHP BILLITON LTD
 SPONSORED ADR        COMMON    088606108        413      5265 Shares                          X         1       3793      0    1472
BIG LOTS INC          COMMON    089302103          4       150 Shares                 X                  1        150      0       0
BIOGEN IDEC INC       COMMON    09062X103       2577     17605 Shares                 X                  1      17605      0       0
BIOGEN IDEC INC       COMMON    09062X103        325      2218 Shares                          X         1       2108      0     110
BIOMARIN
 PHARMACEUTICAL INC   COMMON    09061G101         10       200 Shares                 X                  1        200      0       0
BK OF AMERICA 7.250%
 CONV PFD SER L       PREFERRED 060505682         57        50 Shares                          X         1          0      0      50
BLACK HILLS CORP      COMMON    092113109         58      1600 Shares                 X                  1       1600      0       0
BLACKROCK ENERGY &
 RESOURCES TRUST      PREFERRED 09250U101         10       438 Shares                          X         1          0      0     438
BLACKROCK HEALTH
 SCIENCES TRUST       PREFERRED 09250W107        130      4650 Shares                          X         1          0      0    4650
BLACKROCK INC         COMMON    09247X101       3665     17732 Shares                 X                  1      17732      0       0
BLACKROCK INC         COMMON    09247X101        327      1582 Shares                          X         1       1582      0       0
BLACKROCK INC         COMMON    09247X101         31       148 Shares                 X                  3        148      0       0
BLACKROCK INTL GROWTH
 & INCOME TR *        OTHER     092524107          1       200 Shares                 X                  1          0      0     200
BLACKROCK KELSO
 CAPITAL CORP         COMMON    092533108          4       420 Shares                          X         1        420      0       0
BLACKROCK MUNI
 ENHANCED FUND INC    PREFERRED 09253Y100         16      1316 Shares                 X                  1          0      0    1316
BLACKROCK MUNI INCOME
 TRUST                PREFERRED 09248F109          5       344 Shares                 X                  1          0      0     344
BLACKROCK MUNIHLDGS
 NJ INSURED FD        PREFERRED 09254X101         51      3050 Shares                          X         1          0      0    3050
BLACKROCK MUNIHLDGS
 NY INSURED FD        PREFERRED 09255C106         49      3050 Shares                          X         1          0      0    3050
BLACKROCK MUNIYIELD
 QUALITY FD III       PREFERRED 09254E103         15       984 Shares                 X                  1          0      0     984
BLACKROCK MUNIYLD
 QUALITY FUND II      PREFERRED 09254G108         99      6850 Shares                          X         1          0      0    6850
BLACKROCK REAL ASSET
 EQUITY TRUST         PREFERRED 09254B109         21      2000 Shares                 X                  1          0      0    2000
BLACKSTONE GROUP LP
 (THE) *              OTHER     09253U108         18      1130 Shares                 X                  1       1130      0       0
BLACKSTONE GROUP LP
 (THE) *              OTHER     09253U108          2       100 Shares                          X         1          0      0     100
BLONDER TONGUE LABS
 INC COM              COMMON    093698108        230    200001 Shares                 X                  3     200001      0       0
BOEING CO COM         COMMON    097023105       6557     87012 Shares                 X                  1      86390      0     622
BOEING CO COM         COMMON    097023105       1194     15845 Shares                          X         1      14149      0    1696
BOEING CO COM         COMMON    097023105        749      9944 Shares                 X                  3       7444      0    2500
BOEING CO COM         COMMON    097023105         57       750 Shares                          X         4        750      0       0
BOK FINANCIAL
 CORPORATION          COMMON    05561Q201          1        11 Shares                 X                  1         11      0       0
BORG WARNER INC COM   COMMON    099724106        578      8070 Shares                 X                  1       8070      0       0
BORG WARNER INC COM   COMMON    099724106        367      5120 Shares                 X                  3       5120      0       0
BOSTON BEER
 INCORPORATED CLASS A COMMON    100557107          7        50 Shares                 X                  1         50      0       0
BOSTON PROPERTIES INC
 (REIT)               COMMON    101121101         21       200 Shares                 X                  1        200      0       0
BOSTON PROPERTIES INC
 (REIT)               COMMON    101121101         63       600 Shares                          X         1        600      0       0
BP PLC SPONSORED ADR  COMMON    055622104        820     19699 Shares                 X                  1      19699      0       0
BP PLC SPONSORED ADR  COMMON    055622104        479     11502 Shares                          X         1      10902      0     600
BRANDYWINE REALTY
 TRUST (REIT)         COMMON    105368203         18      1500 Shares                 X                  1       1500      0       0
BRIGGS & STRATTON
 CORP                 COMMON    109043109         17       800 Shares                 X                  1        800      0       0
BRIGGS & STRATTON
 CORP                 COMMON    109043109         72      3401 Shares                 X                  3       3401      0       0
BRINKER INTL INC COM  COMMON    109641100         44      1425 Shares                          X         1       1425      0       0
BRISTOL-MYERS SQUIBB
 CO                   COMMON    110122108      14283    438261 Shares                 X                  1     437731      0     530
BRISTOL-MYERS SQUIBB
 CO                   COMMON    110122108       6572    201668 Shares                          X         1     180683      0   20985
BRISTOL-MYERS SQUIBB
 CO                   COMMON    110122108        796     24434 Shares                 X                  3      17384      0    7050
BRISTOL-MYERS SQUIBB
 CO                   COMMON    110122108         33      1000 Shares                          X         4       1000      0       0
BRISTOL-MYERS SQUIBB
 CO                   COMMON    110122108        151      4641 Shares                 X                  3       4641      0       0
BROADCOM CORP CL A    COMMON    111320107        237      7149 Shares                 X                  1       7149      0       0
BROADCOM CORP CL A    COMMON    111320107         10       314 Shares                          X         1        314      0       0
BROADRIDGE FINANCIAL
 SOLUTIONS INC        COMMON    11133T103          3       150 Shares                          X         1        150      0       0
BROCADE
 COMMUNICATIONS
 SYSTEM               COMMON    111621306          3       500 Shares                 X                  1        500      0       0
BROOKFIELD
 INFRASTRUCTURE
 PTNRS *              OTHER     G16252101         11       300 Shares                 X                  1        300      0       0
BROWN & BROWN INC
 COMMON               COMMON    115236101        366     14370 Shares                 X                  1      14370      0       0
BROWN & BROWN INC
 COMMON               COMMON    115236101        144      5640 Shares                 X                  3       5640      0       0
BROWN & BROWN INC
 COMMON               COMMON    115236101        122      4800 Shares                 X                  3       4800      0       0
BROWN-FORMAN CORP
 CL B                 COMMON    115637209        759     12006 Shares                 X                  1      12006      0       0
BROWN-FORMAN CORP
 CL B                 COMMON    115637209         69      1095 Shares                          X         1       1095      0       0
BROWN-FORMAN CORP
 CL B                 COMMON    115637209         12       194 Shares                 X                  3        194      0       0
BUCKEYE PARTNERS LP
 UNIT LTD PARTNER *   OTHER     118230101          2        50 Shares                          X         1         50      0       0
CA INC                COMMON    12673P105        110      5000 Shares                 X                  1       5000      0       0
CABOT OIL & GAS CORP  COMMON    127097103        372      7482 Shares                 X                  1       7482      0       0
CABOT OIL & GAS CORP  COMMON    127097103        147      2950 Shares                 X                  3       2950      0       0
CABOT OIL & GAS CORP  COMMON    127097103        125      2505 Shares                 X                  3       2505      0       0
CALAMOS STRATEGIC TOT
 RET FD               PREFERRED 128125101         49      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         68      1000 Shares                 X                  1       1000      0       0
CAMECO CORPORATION    COMMON    13321L108          4       200 Shares                 X                  1        200      0       0
CAMERON INTERNATIONAL
 CORP                 COMMON    13342B105       2979     52760 Shares                 X                  1      52760      0       0
CAMERON INTERNATIONAL
 CORP                 COMMON    13342B105         82      1460 Shares                          X         1       1460      0       0
CAMERON INTERNATIONAL
 CORP                 COMMON    13342B105        320      5675 Shares                 X                  3       5675      0       0
CAMERON INTERNATIONAL
 CORP                 COMMON    13342B105         28       500 Shares                          X         4        500      0       0
CAMPBELL SOUP CO COM  COMMON    134429109         23       650 Shares                 X                  1        650      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          9        95 Shares                 X                  1         95      0       0
CANADIAN NATURAL
 RESOURCES LTD        COMMON    136385101          9       322 Shares                          X         1        322      0       0
CANADIAN PACIFIC
 RAILWAY LTD          COMMON    13645T100          0         1 Shares                 X                  3          1      0       0
CANON INC SPONS ADR   COMMON    138006309         22       555 Shares                          X         1        555      0       0
CAPITAL ONE FINANCIAL
 CORP                 COMMON    14040H105        267      4613 Shares                 X                  1       4613      0       0
CAPITAL ONE FINANCIAL
 CORP                 COMMON    14040H105        170      2940 Shares                          X         1       2440      0     500
CAPSTEAD MTG CORP
 CONV PFD SER B       PREFERRED 14067E308         34      2400 Shares                 X                  1          0      0    2400
CARDINAL HEALTH INC   COMMON    14149Y108        430     10439 Shares                 X                  1      10439      0       0


                                     4 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
CARDINAL HEALTH INC   COMMON    14149Y108         50      1222 Shares                          X         1       1222      0       0
CARDINAL HEALTH INC   COMMON    14149Y108         16       380 Shares                 X                  3        380      0       0
CAREFUSION CORP       COMMON    14170T101          6       205 Shares                          X         1        205      0       0
CARLISLE COMPANIES
 INC                  COMMON    142339100         22       370 Shares                 X                  1        370      0       0
CARLISLE COMPANIES
 INC                  COMMON    142339100         59      1000 Shares                          X         1       1000      0       0
CARMAX INC            COMMON    143130102       2439     64963 Shares                 X                  1      64963      0       0
CARMAX INC            COMMON    143130102        107      2844 Shares                          X         1       2844      0       0
CARMAX INC            COMMON    143130102         37       991 Shares                 X                  3        991      0       0
CARNIVAL CORPORATION  COMMON    143658300        556     15124 Shares                 X                  1      15124      0       0
CARNIVAL CORPORATION  COMMON    143658300        220      5975 Shares                          X         1       4975      0    1000
CARPENTER TECHNOLOGY
 CORP COM             COMMON    144285103         40       776 Shares                          X         1        776      0       0
CATAMARAN CORPORATION COMMON    148887102         59      1248 Shares                 X                  1       1248      0       0
CATERPILLAR INC       COMMON    149123101       7264     81065 Shares                 X                  1      79610      0    1455
CATERPILLAR INC       COMMON    149123101       2426     27069 Shares                          X         1      25552      0    1517
CATERPILLAR INC       COMMON    149123101         40       450 Shares                 X                  3        450      0       0
CATERPILLAR INC       COMMON    149123101        166      1850 Shares                          X         4       1850      0       0
CBRE CLARION GLBL
 REAL ESTATE INCOME   PREFERRED 12504G100       3127    352976 Shares                 X                  1          0      0  352976
CBRE CLARION GLBL
 REAL ESTATE INCOME   PREFERRED 12504G100       1835    207108 Shares                          X         1          0      0  207108
CBRE CLARION GLBL
 REAL ESTATE INCOME   PREFERRED 12504G100          0         4 Shares                 X                  3          0      0       4
CBRE GROUP INC        COMMON    12504L109        509     25599 Shares                 X                  1      25599      0       0
CBRE GROUP INC        COMMON    12504L109          8       388 Shares                          X         1        388      0       0
CBRE GROUP INC        COMMON    12504L109        323     16215 Shares                 X                  3      16215      0       0
CBS CORP  CL A        COMMON    124857103          6       155 Shares                 X                  1        155      0       0
CBS CORP CL B         COMMON    124857202        872     22907 Shares                 X                  1      22407      0     500
CBS CORP CL B         COMMON    124857202        103      2711 Shares                          X         1       2386      0     325
CBS CORP CL B         COMMON    124857202        247      6485 Shares                 X                  3       6485      0       0
CBS CORP CL B         COMMON    124857202        207      5430 Shares                 X                  3       5430      0       0
CEDAR FAIR LTD PTR *  OTHER     150185106         25       750 Shares                 X                  1        750      0       0
CELGENE CORP COM      COMMON    151020104       1007     12831 Shares                 X                  1      12491      0     340
CELGENE CORP COM      COMMON    151020104        239      3050 Shares                          X         1       2150      0     900
CENOVUS ENERGY INC    COMMON    15135U109         10       300 Shares                          X         1        300      0       0
CENTERPOINT ENERGY
 INC                  COMMON    15189T107          1        63 Shares                 X                  1         63      0       0
CENTRAIS ELETRICAS
 BRAS-SP ADR CM       COMMON    15234Q207          5      1540 Shares                          X         1       1540      0       0
CENTRAL FUND OF
 CANADA               COMMON    153501101          2       100 Shares                          X         1        100      0       0
CENTURYLINK INC       COMMON    156700106       3272     83652 Shares                 X                  1      83468      0     184
CENTURYLINK INC       COMMON    156700106        354      9053 Shares                          X         1       8788      0     265
CENTURYLINK INC       COMMON    156700106        571     14602 Shares                 X                  3      11427      0    3175
CENTURYLINK INC       COMMON    156700106         39      1000 Shares                          X         4       1000      0       0
CERAGON NETWORKS LTD  COMMON    M22013102          3       622 Shares                 X                  1        622      0       0
CERNER CORP           COMMON    156782104       4518     58295 Shares                 X                  1      57965      0     330
CERNER CORP           COMMON    156782104        882     11385 Shares                          X         1      11135      0     250
CERNER CORP           COMMON    156782104        484      6243 Shares                 X                  3       4352      0    1891
CERNER CORP           COMMON    156782104        112      1450 Shares                 X                  3       1450      0       0
CF INDUSTRIES
 HOLDINGS INC         COMMON    125269100         25       125 Shares                          X         1        125      0       0
CH ENERGY GROUP INC
 COM                  COMMON    12541M102          7       100 Shares                 X                  1        100      0       0
CH ENERGY GROUP INC
 COM                  COMMON    12541M102         65      1000 Shares                          X         1       1000      0       0
CH ROBINSON WORLDWIDE
 INC                  COMMON    12541W209        425      6725 Shares                 X                  1       6725      0       0
CH ROBINSON WORLDWIDE
 INC                  COMMON    12541W209        275      4350 Shares                 X                  3       4350      0       0
CHECK POINT SOFTWARE
 TECH COM             COMMON    M22465104          6       131 Shares                 X                  1        131      0       0
CHENIERE ENERGY
 PARTNERS LP *        OTHER     16411Q101         47      2200 Shares                          X         1          0      0    2200
CHESAPEAKE ENERGY
 CORP COM             COMMON    165167107         57      3410 Shares                 X                  1       3410      0       0
CHESAPEAKE ENERGY
 CORP COM             COMMON    165167107         46      2775 Shares                          X         1       2775      0       0
CHESAPEAKE GRANITE
 WASH TRUST           OTHER     165185109          9       525 Shares                 X                  1          0      0     525
CHEVRON CORP          COMMON    166764100      31304    289474 Shares                 X                  1     286638      0    2836
CHEVRON CORP          COMMON    166764100      18580    171816 Shares                          X         1     161472      0   10344
CHEVRON CORP          COMMON    166764100       1270     11744 Shares                 X                  3       9444      0    2300
CHEVRON CORP          COMMON    166764100        204      1890 Shares                          X         4       1890      0       0
CHICAGO BRIDGE & IRON
 CO N V COM           COMMON    167250109          1        25 Shares                          X         1         25      0       0
CHIMERA INVESTMENT
 CORP                 COMMON    16934Q109          3      1250 Shares                 X                  1       1250      0       0
CHINA MOBILE LTD SPON
 ADR                  COMMON    16941M109         29       501 Shares                 X                  1        501      0       0
CHINA MOBILE LTD SPON
 ADR                  COMMON    16941M109         37       625 Shares                          X         1        625      0       0
CHIPOTLE MEXICAN
 GRILL-CL A           COMMON    169656105       1416      4760 Shares                 X                  1       4760      0       0
CHIPOTLE MEXICAN
 GRILL-CL A           COMMON    169656105         45       150 Shares                          X         1        150      0       0
CHUBB CORP            COMMON    171232101        440      5845 Shares                 X                  1       5845      0       0
CHUBB CORP            COMMON    171232101         53       700 Shares                          X         1        700      0       0
CHURCH & DWIGHT CO
 INC                  COMMON    171340102        399      7456 Shares                 X                  1       7456      0       0
CHURCH & DWIGHT CO
 INC                  COMMON    171340102          3        50 Shares                          X         1         50      0       0
CHURCH & DWIGHT CO
 INC                  COMMON    171340102        134      2500 Shares                 X                  3       2500      0       0
CHURCH & DWIGHT CO
 INC                  COMMON    171340102        113      2110 Shares                 X                  3       2110      0       0
CIGNA CORP            COMMON    125509109        165      3080 Shares                          X         1       3080      0       0
CIGNA CORP            COMMON    125509109          4        68 Shares                 X                  3         68      0       0
CINCINNATI FINANCIAL
 CORP COMMON          COMMON    172062101         16       401 Shares                 X                  1        401      0       0
CINCINNATI FINANCIAL
 CORP COMMON          COMMON    172062101         22       550 Shares                          X         1        550      0       0
CINEMARK HOLDINGS INC COMMON    17243V102         19       750 Shares                 X                  1        750      0       0
CIRRUS LOGIC INC      COMMON    172755100          6       200 Shares                 X                  1        200      0       0
CISCO SYSTEMS INC     COMMON    17275R102       7977    405953 Shares                 X                  1     399953      0    6000
CISCO SYSTEMS INC     COMMON    17275R102       3192    162454 Shares                          X         1     152487      0    9967
CISCO SYSTEMS INC     COMMON    17275R102         86      4391 Shares                 X                  3       4391      0       0
CITIGROUP INC         COMMON    172967424        191      4819 Shares                 X                  1       4819      0       0
CITIGROUP INC         COMMON    172967424         71      1806 Shares                          X         1       1420      0     386
CITRIX SYSTEMS INC
 COM                  COMMON    177376100       3011     45887 Shares                 X                  1      45887      0       0
CITRIX SYSTEMS INC
 COM                  COMMON    177376100         78      1196 Shares                          X         1       1196      0       0
CITRIX SYSTEMS INC
 COM                  COMMON    177376100        178      2710 Shares                 X                  3       2710      0       0
CITRIX SYSTEMS INC
 COM                  COMMON    177376100        146      2225 Shares                 X                  3       2225      0       0
CLIFFS NATURAL
 RESOURCES INC        COMMON    18683K101        594     15405 Shares                 X                  1      15405      0       0


                                     5 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
CLIFFS NATURAL
 RESOURCES INC        COMMON    18683K101         49      1270 Shares                          X         1       1270      0       0
CLOROX COMPANY        COMMON    189054109        839     11457 Shares                 X                  1      11457      0       0
CLOROX COMPANY        COMMON    189054109        543      7421 Shares                          X         1       5421      0    2000
CLOROX COMPANY        COMMON    189054109         32       432 Shares                 X                  3        432      0       0
CLOUGH GLOBAL
 OPPORTUNITIES        PREFERRED 18914E106        125     10613 Shares                 X                  1          0      0   10613
CME GROUP INC         COMMON    12572Q105         27       530 Shares                 X                  1        530      0       0
CME GROUP INC         COMMON    12572Q105          3        50 Shares                          X         1         50      0       0
CNOOC LTD -ADR        COMMON    126132109         26       116 Shares                 X                  1        116      0       0
COACH INC COMMON      COMMON    189754104       2512     45260 Shares                 X                  1      43632      0    1628
COACH INC COMMON      COMMON    189754104        307      5527 Shares                          X         1       5012      0     515
COACH INC COMMON      COMMON    189754104        342      6168 Shares                 X                  3       5983      0     185
COACH INC COMMON      COMMON    189754104        148      2675 Shares                 X                  3       2675      0       0
COCA COLA CO COM      COMMON    191216100      13842    381836 Shares                 X                  1     376386      0    5450
COCA COLA CO COM      COMMON    191216100       6999    193079 Shares                          X         1     186803      0    6276
COCA COLA CO COM      COMMON    191216100        374     10309 Shares                 X                  3       9702      0     607
COCA COLA CO COM      COMMON    191216100         82      2250 Shares                          X         4       2250      0       0
COCA COLA CO COM      COMMON    191216100        198      5468 Shares                 X                  3       5468      0       0
COCA-COLA ENTERPRISES
 INC                  COMMON    19122T109         53      1656 Shares                 X                  1       1656      0       0
CODORUS VALLEY
 BANCORP INC          COMMON    192025104        201     13334 Shares                 X                  1      13334      0       0
CODORUS VALLEY
 BANCORP INC          COMMON    192025104        115      7637 Shares                          X         1       7637      0       0
COGNIZANT TECHNOLOGY
 SOLUTIONS CORP       COMMON    192446102       2382     32246 Shares                 X                  1      32246      0       0
COGNIZANT TECHNOLOGY
 SOLUTIONS CORP       COMMON    192446102        306      4148 Shares                          X         1       4148      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         27      1600 Shares                          X         1          0      0    1600
COHU INCORPORATED     COMMON    192576106          9       800 Shares                 X                  1        800      0       0
COLGATE PALMOLIVE CO
 COM                  COMMON    194162103       5601     53577 Shares                 X                  1      53577      0       0
COLGATE PALMOLIVE CO
 COM                  COMMON    194162103       3921     37507 Shares                          X         1      33457      0    4050
COLGATE PALMOLIVE CO
 COM                  COMMON    194162103        485      4641 Shares                 X                  3       4641      0       0
COMCAST CORP NEW A    COMMON    20030N101       8356    223656 Shares                 X                  1     222190      0    1466
COMCAST CORP NEW A    COMMON    20030N101       1145     30659 Shares                          X         1      25363      0    5296
COMCAST CORP NEW A    COMMON    20030N101       1477     39526 Shares                 X                  3      29831      0    9695
COMCAST CORP-SPECIAL
 CL A                 COMMON    20030N200        185      5140 Shares                 X                  1       5140      0       0
COMCAST CORP-SPECIAL
 CL A                 COMMON    20030N200        129      3597 Shares                          X         1       3597      0       0
COMMONWEALTH REIT     COMMON    203233101          6       400 Shares                          X         1        400      0       0
COMMUNITY BANK SYSTEM
 INC                  COMMON    203607106         71      2600 Shares                 X                  1        100      0    2500
COMMUNITY BANK SYSTEM
 INC                  COMMON    203607106         16       600 Shares                          X         1        600      0       0
COMMUNITY HEALTH
 SYSTEMS INC          COMMON    203668108          8       260 Shares                 X                  1        260      0       0
COMPANHIA DE BEBIDAS
 DAS AMERICAS         PREFERRED 20441W203          9       212 Shares                 X                  1          0      0     212
COMPANHIA PARANAENSE
 DE ENERGIA           COMMON    20441B407          2       142 Shares                 X                  1        142      0       0
COMPASS DIVERSIFIED
 HLDG *               OTHER     20451Q104         22      1500 Shares                 X                  1       1500      0       0
COMPUTER TASK GROUP   COMMON    205477102       1071     58750 Shares                 X                  1      58750      0       0
COMVERSE INC          COMMON    20585P105          1        20 Shares                 X                  1         20      0       0
COMVERSE TECHNOLOGY
 INC COM              COMMON    205862402          1       200 Shares                 X                  1        200      0       0
CONAGRA FOODS INC     COMMON    205887102         11       360 Shares                 X                  1        360      0       0
CONAGRA FOODS INC     COMMON    205887102        352     11946 Shares                          X         1      11946      0       0
CONOCOPHILLIPS        COMMON    20825C104      10809    186399 Shares                 X                  1     184515      0    1884
CONOCOPHILLIPS        COMMON    20825C104       3435     59234 Shares                          X         1      54835      0    4399
CONOCOPHILLIPS        COMMON    20825C104        926     15968 Shares                 X                  3      12488      0    3480
CONOCOPHILLIPS        COMMON    20825C104         87      1500 Shares                          X         4       1500      0       0
CONSOL ENERGY INC     COMMON    20854P109          3       100 Shares                 X                  1        100      0       0
CONSOL ENERGY INC     COMMON    20854P109         27       850 Shares                          X         1          0      0     850
CONSOLIDATED EDISON
 INC                  COMMON    209115104        136      2440 Shares                 X                  1       2440      0       0
CONSOLIDATED EDISON
 INC                  COMMON    209115104         71      1274 Shares                          X         1       1024      0     250
CONSOLIDATED EDISON
 INC                  COMMON    209115104          6       101 Shares                 X                  3        101      0       0
CONSTELLATION BRANDS
 INC CL A             COMMON    21036P108         10       270 Shares                          X         1        270      0       0
CONTINENTAL RESOURCES
 INC                  COMMON    212015101         40       550 Shares                          X         1        500      0      50
CORE LABORATORIES N V COMMON    N22717107        474      4332 Shares                 X                  1       4332      0       0
CORE LABORATORIES N V COMMON    N22717107        331      3025 Shares                 X                  3       3025      0       0
CORNING INC           COMMON    219350105       2319    183737 Shares                 X                  1     183737      0       0
CORNING INC           COMMON    219350105        321     25440 Shares                          X         1      23440      0    2000
CORNING INC           COMMON    219350105         27      2100 Shares                 X                  3       2100      0       0
CORNING INC           COMMON    219350105         45      3601 Shares                 X                  3       3601      0       0
COSTCO WHOLESALE CORP
 COM                  COMMON    22160K105        612      6196 Shares                 X                  1       6196      0       0
COSTCO WHOLESALE CORP
 COM                  COMMON    22160K105        285      2886 Shares                          X         1       2886      0       0
COSTCO WHOLESALE CORP
 COM                  COMMON    22160K105         23       233 Shares                 X                  3         18      0     215
COSTCO WHOLESALE CORP
 COM                  COMMON    22160K105        123      1250 Shares                          X         4       1250      0       0
COVANCE INC COM       COMMON    222816100         58      1000 Shares                          X         1       1000      0       0
COVANTA HOLDING CORP  COMMON    22282E102          1        69 Shares                 X                  1         69      0       0
COVIDIEN PLC          COMMON    G2554F113        137      2378 Shares                 X                  1       2303      0      75
COVIDIEN PLC          COMMON    G2554F113        100      1732 Shares                          X         1        929      0     803
CRANE CO              COMMON    224399105        324      7000 Shares                 X                  1       7000      0       0
CREDIT SUISSE GROUP
 SPONSORED ADR        COMMON    225401108         19       756 Shares                 X                  1        756      0       0
CREDIT SUISSE GROUP
 SPONSORED ADR        COMMON    225401108         17       675 Shares                          X         1        675      0       0
CREE RESEARCH INC COM COMMON    225447101         25       750 Shares                          X         1          0      0     750
CRH PLC SPONSORED ADR COMMON    12626K203          2        77 Shares                 X                  1         77      0       0
CROWN CASTLE INTL
 CORP COM             COMMON    228227104         74      1020 Shares                 X                  1       1020      0       0
CROWN CASTLE INTL
 CORP COM             COMMON    228227104          3        36 Shares                          X         1         36      0       0
CROWN HOLDINGS INC    COMMON    228368106        425     11550 Shares                 X                  1      11550      0       0
CROWN HOLDINGS INC    COMMON    228368106        153      4160 Shares                 X                  3       4160      0       0
CROWN HOLDINGS INC    COMMON    228368106        126      3435 Shares                 X                  3       3435      0       0
CSX CORP COMMON       COMMON    126408103       2226    112812 Shares                 X                  1     112812      0       0
CSX CORP COMMON       COMMON    126408103       1273     64544 Shares                          X         1      63944      0     600
CUMMINS INC COM       COMMON    231021106       1561     14410 Shares                 X                  1      14185      0     225
CUMMINS INC COM       COMMON    231021106        163      1507 Shares                          X         1       1507      0       0
CUMMINS INC COM       COMMON    231021106        154      1425 Shares                 X                  3       1425      0       0


                                     6 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
CUMMINS INC COM       COMMON    231021106        130      1200 Shares                 X                  3       1200      0       0
CURTISS WRIGHT CORP   COMMON    231561101         18       552 Shares                 X                  1        552      0       0
CVS/CAREMARK CORP     COMMON    126650100       2781     57508 Shares                 X                  1      57508      0       0
CVS/CAREMARK CORP     COMMON    126650100       1114     23036 Shares                          X         1      22452      0     584
CVS/CAREMARK CORP     COMMON    126650100         39       800 Shares                          X         4        800      0       0
CYS INVESTMENTS INC   COMMON    12673A108         12      1050 Shares                          X         1       1050      0       0
D R HORTON INC        COMMON    23331A109       1043     52744 Shares                 X                  1      51744      0    1000
D R HORTON INC        COMMON    23331A109        364     18396 Shares                          X         1      18321      0      75
D R HORTON INC        COMMON    23331A109          9       466 Shares                 X                  3        466      0       0
DANAHER CORP COM      COMMON    235851102       3903     69824 Shares                 X                  1      69622      0     202
DANAHER CORP COM      COMMON    235851102        379      6781 Shares                          X         1       5276      0    1505
DANAHER CORP COM      COMMON    235851102        644     11513 Shares                 X                  3       8570      0    2943
DARDEN RESTAURANTS
 INC COM              COMMON    237194105        898     19927 Shares                 X                  1      19927      0       0
DARDEN RESTAURANTS
 INC COM              COMMON    237194105        119      2630 Shares                          X         1       2630      0       0
DARDEN RESTAURANTS
 INC COM              COMMON    237194105         27       606 Shares                 X                  3        606      0       0
DEERE & CO COMMON     COMMON    244199105       2343     27107 Shares                 X                  1      26507      0     600
DEERE & CO COMMON     COMMON    244199105        473      5470 Shares                          X         1       3984      0    1486
DEERE & CO COMMON     COMMON    244199105         29       333 Shares                 X                  3         26      0     307
DELHAIZE GROUP
 SPONSORED ADR        COMMON    29759W101          4       100 Shares                 X                  1        100      0       0
DELL INC              COMMON    24702R101        210     20701 Shares                 X                  1      20701      0       0
DELL INC              COMMON    24702R101         54      5337 Shares                          X         1       3587      0    1750
DELPHI AUTOMOTIVE PLC COMMON    G27823106         47      1238 Shares                 X                  1       1238      0       0
DELTA AIR LINES INC   COMMON    247361702          0        18 Shares                 X                  1         18      0       0
DENTSPLY
 INTERNATIONAL INC
 COM                  COMMON    249030107       1006     25399 Shares                 X                  1      25299      0     100
DENTSPLY
 INTERNATIONAL INC
 COM                  COMMON    249030107        139      3500 Shares                          X         1       3500      0       0
DESARROLLADORA HOMEX
 ADR                  COMMON    25030W100          1       114 Shares                 X                  1        114      0       0
DEUTSCHE BANK AG-REG  COMMON    D18190898          3        72 Shares                 X                  1         72      0       0
DEVON ENERGY CORP     COMMON    25179M103         40       770 Shares                 X                  1        770      0       0
DEVON ENERGY CORP     COMMON    25179M103         96      1836 Shares                          X         1       1836      0       0
DIAGEO PLC SPONSORED
 ADR                  COMMON    25243Q205        273      2342 Shares                 X                  1       2342      0       0
DIAGEO PLC SPONSORED
 ADR                  COMMON    25243Q205         15       125 Shares                          X         1        125      0       0
DIAGEO PLC SPONSORED
 ADR                  COMMON    25243Q205         58       500 Shares                 X                  3        500      0       0
DIAMOND OFFSHORE
 DRILLING COM         COMMON    25271C102         37       550 Shares                 X                  1        550      0       0
DIEBOLD INC COMMON    COMMON    253651103          3        90 Shares                 X                  1         90      0       0
DINEEQUITY INC        COMMON    254423106        419      6252 Shares                 X                  1       6252      0       0
DINEEQUITY INC        COMMON    254423106        165      2460 Shares                 X                  3       2460      0       0
DINEEQUITY INC        COMMON    254423106        140      2090 Shares                 X                  3       2090      0       0
DIRECTV               COMMON    25490A309         82      1636 Shares                 X                  1       1636      0       0
DIRECTV               COMMON    25490A309        323      6446 Shares                          X         1       6446      0       0
DIREXION DAILY SMALL
 CAP BEAR 3X ETF      PREFERRED 25459W110          1       100 Shares                          X         1          0      0     100
DISCOVER FINANCIAL
 SERVICES             COMMON    254709108         58      1504 Shares                 X                  1       1504      0       0
DISCOVER FINANCIAL
 SERVICES             COMMON    254709108         15       395 Shares                          X         1        239      0     156
DISCOVERY
 COMMUNICATIONS INC   COMMON    25470F104         15       234 Shares                 X                  1        234      0       0
DISCOVERY
 COMMUNICATIONS INC   COMMON    25470F104         44       696 Shares                          X         1        696      0       0
DISCOVERY
 COMMUNICATIONS INC
 - C                  COMMON    25470F302         14       234 Shares                 X                  1        234      0       0
DISCOVERY
 COMMUNICATIONS INC
 - C                  COMMON    25470F302         72      1239 Shares                          X         1       1239      0       0
DISH NETWORK CORP
 CL A                 COMMON    25470M109         13       350 Shares                 X                  1        350      0       0
DISNEY WALT CO        COMMON    254687106       4918     98768 Shares                 X                  1      98468      0     300
DISNEY WALT CO        COMMON    254687106       2220     44596 Shares                          X         1      39346      0    5250
DISNEY WALT CO        COMMON    254687106        120      2401 Shares                 X                  3       2401      0       0
DNB FINANCIAL
 CORPORATION          COMMON    233237106         29      1878 Shares                 X                  1       1878      0       0
DNP SELECT INCOME
 FUND                 PREFERRED 23325P104          9      1000 Shares                          X         1          0      0    1000
DOLLAR GENERAL
 CORPORATION          COMMON    256677105         44      1006 Shares                 X                  1       1006      0       0
DOLLAR GENERAL
 CORPORATION          COMMON    256677105          2        48 Shares                          X         1         48      0       0
DOLLAR TREE INC       COMMON    256746108        215      5294 Shares                 X                  1       5294      0       0
DOLLAR TREE INC       COMMON    256746108         27       656 Shares                          X         1        656      0       0
DOMINION RESOURCES
 INC                  COMMON    25746U109       6125    118240 Shares                 X                  1     117390      0     850
DOMINION RESOURCES
 INC                  COMMON    25746U109       3108     60003 Shares                          X         1      50903      0    9100
DOMINION RESOURCES
 INC                  COMMON    25746U109         49       941 Shares                 X                  3        941      0       0
DOMINION RESOURCES
 INC                  COMMON    25746U109        155      3000 Shares                          X         4       3000      0       0
DOVER CORP COMMON     COMMON    260003108        551      8380 Shares                 X                  1       8380      0       0
DOVER CORP COMMON     COMMON    260003108         26       394 Shares                          X         1        394      0       0
DOW CHEMICAL CO       COMMON    260543103       2838     87778 Shares                 X                  1      87778      0       0
DOW CHEMICAL CO       COMMON    260543103       1444     44679 Shares                          X         1      44679      0       0
DOW CHEMICAL CO       COMMON    260543103        101      3118 Shares                 X                  3       3118      0       0
DR PEPPER SNAPPLE
 GROUP INC            COMMON    26138E109         23       521 Shares                 X                  3         41      0     480
DREYFUS MUNICIPAL
 INCOME FUND          PREFERRED 26201R102         75      7200 Shares                          X         1          0      0    7200
DREYFUS STRATEGIC
 MUNI BOND FUND       PREFERRED 26202F107        258     27602 Shares                 X                  1          0      0   27602
DREYFUS STRATEGIC
 MUNI BOND FUND       PREFERRED 26202F107        106     11300 Shares                          X         1          0      0   11300
DRYSHIPS INC          COMMON    Y2109Q101          2      1000 Shares                 X                  1       1000      0       0
DTE ENERGY COMPANY
 COMMON               COMMON    233331107        147      2450 Shares                 X                  1       2450      0       0
DTE ENERGY COMPANY
 COMMON               COMMON    233331107         60      1001 Shares                          X         1       1001      0       0
DUKE ENERGY HOLDING
 CORP                 COMMON    26441C204       2399     37595 Shares                 X                  1      37073      0     522
DUKE ENERGY HOLDING
 CORP                 COMMON    26441C204        722     11323 Shares                          X         1      10219      0    1104
DUKE ENERGY HOLDING
 CORP                 COMMON    26441C204         17       265 Shares                 X                  3        265      0       0
DUN & BRADSTREET CORP COMMON    26483E100         16       208 Shares                 X                  1        208      0       0
DUN & BRADSTREET CORP COMMON    26483E100         24       308 Shares                          X         1        308      0       0
E I DUPONT DE NEMOURS
 & CO COMMON          COMMON    263534109       6310    140285 Shares                 X                  1     139720      0     565
E I DUPONT DE NEMOURS
 & CO COMMON          COMMON    263534109       5537    123093 Shares                          X         1     116347      0    6746
E I DUPONT DE NEMOURS
 & CO COMMON          COMMON    263534109        521     11585 Shares                 X                  3       7810      0    3775
E I DUPONT DE NEMOURS
 & CO COMMON          COMMON    263534109         67      1500 Shares                          X         4       1500      0       0
E I DUPONT DE NEMOURS
 & CO COMMON          COMMON    263534109       3174     70575 Shares                 X                  3      70575      0       0
EASTERN INSURANCE
 HOLDINGS             COMMON    276534104          9       500 Shares                 X                  1        500      0       0
EASTMAN CHEMICAL
 COMPANY COM          COMMON    277432100         68      1000 Shares                          X         1          0      0    1000
EASTMAN CHEMICAL
 COMPANY COM          COMMON    277432100          1        15 Shares                 X                  3         15      0       0


                                     7 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
EATON CORP PLC        COMMON    G29183103        752     13880 Shares                 X                  1      13880      0       0
EATON CORP PLC        COMMON    G29183103         33       600 Shares                          X         1        600      0       0
EATON VANCE CORP      COMMON    278265103       1962     61609 Shares                 X                  1      61609      0       0
EATON VANCE CORP      COMMON    278265103        106      3316 Shares                          X         1       3316      0       0
EATON VANCE CORP      COMMON    278265103         32       998 Shares                 X                  3        998      0       0
EATON VANCE FLOATING
 RATE INCOME CEF      PREFERRED 278279104          8       450 Shares                 X                  1          0      0     450
EATON VANCE MUNICIPAL
 BOND FD II           PREFERRED 27827K109         32      2400 Shares                 X                  1          0      0    2400
EATON VANCE MUNICIPAL
 INCOME TRUST         PREFERRED 27826U108         69      5000 Shares                          X         1          0      0    5000
EATON VANCE SR
 FLOATING RATE CEF    PREFERRED 27828Q105        562     35200 Shares                 X                  1          0      0   35200
EATON VANCE SR
 FLOATING RATE CEF    PREFERRED 27828Q105         61      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
EBAY INC COM          COMMON    278642103       2622     51412 Shares                 X                  1      51412      0       0
EBAY INC COM          COMMON    278642103         68      1342 Shares                          X         1       1342      0       0
ECOLAB INC COM        COMMON    278865100       1210     16825 Shares                 X                  1      16825      0       0
ECOLAB INC COM        COMMON    278865100        144      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         45      1000 Shares                          X         1       1000      0       0
EDWARDS LIFESCIENCES
 CORP COM             COMMON    28176E108         41       450 Shares                 X                  1        450      0       0
EL PASO PIPELINE
 PARTNERS LP *        OTHER     283702108         45      1229 Shares                 X                  1       1229      0       0
ELAN CORP PLC SPONS
 ADR                  COMMON    284131208          1        50 Shares                 X                  1         50      0       0
ELECTRONICS ARTS COM  COMMON    285512109          8       585 Shares                 X                  1        585      0       0
ELECTRONICS ARTS COM  COMMON    285512109          1        50 Shares                          X         1         50      0       0
ELEMENTS ROGERS INTL
 COMMOD AGRI ETN *    OTHER     870297603          5       500 Shares                 X                  1          0      0     500
EMC CORP MASS COM     COMMON    268648102       7657    302638 Shares                 X                  1     301738      0     900
EMC CORP MASS COM     COMMON    268648102       1194     47189 Shares                          X         1      46739      0     450
EMC CORP MASS COM     COMMON    268648102         40      1564 Shares                 X                  3       1564      0       0
EMERSON ELECTRIC CO   COMMON    291011104       4873     92020 Shares                 X                  1      91220      0     800
EMERSON ELECTRIC CO   COMMON    291011104       4562     86140 Shares                          X         1      74140      0   12000
EMERSON ELECTRIC CO   COMMON    291011104        172      3251 Shares                 X                  3       2836      0     415
EMERSON ELECTRIC CO   COMMON    291011104        369      6969 Shares                 X                  3       6969      0       0
ENBRIDGE INC          COMMON    29250N105       1263     29151 Shares                 X                  1      29151      0       0
ENBRIDGE INC          COMMON    29250N105        100      2311 Shares                          X         1       2311      0       0
ENBRIDGE INC          COMMON    29250N105         99      2286 Shares                 X                  3       2286      0       0
ENCANA CORP           COMMON    292505104         30      1500 Shares                          X         1       1500      0       0
ENERGEN CORP COMMON   COMMON    29265N108         13       284 Shares                 X                  1        284      0       0
ENERGIZER HLDGS INC
 COM                  COMMON    29266R108       1774     22180 Shares                 X                  1      22180      0       0
ENERGIZER HLDGS INC
 COM                  COMMON    29266R108         92      1156 Shares                          X         1       1156      0       0
ENERGIZER HLDGS INC
 COM                  COMMON    29266R108         30       370 Shares                 X                  3        370      0       0
ENERGY TRANSFER
 EQUITY LP *          OTHER     29273V100          5       100 Shares                 X                  1        100      0       0
ENERGY TRANSFER
 PARTNERS LP *        OTHER     29273R109         38       883 Shares                 X                  1        850      0      33
ENERGY TRANSFER
 PARTNERS LP *        OTHER     29273R109        109      2550 Shares                          X         1       2500      0      50
ENI SPA-SPONS ADR     COMMON    26874R108         14       288 Shares                 X                  1        288      0       0
ENI SPA-SPONS ADR     COMMON    26874R108         19       380 Shares                          X         1        380      0       0
ENSCO PLC CL A        COMMON    G3157S106         17       282 Shares                 X                  1        282      0       0
ENSCO PLC CL A        COMMON    G3157S106         47       800 Shares                          X         1          0      0     800
ENTERGY CORP COM NEW  COMMON    29364G103        103      1612 Shares                 X                  1       1612      0       0
ENTERGY CORP COM NEW  COMMON    29364G103        100      1575 Shares                          X         1       1575      0       0
ENTERPRISE PRODUCTS
 PARTNERS LP          OTHER     293792107        134      2673 Shares                 X                  3       2673      0       0
ENTERPRISE PRODUCTS
 PARTNERS LP *        OTHER     293792107        248      4952 Shares                 X                  1       4952      0       0
ENTERPRISE PRODUCTS
 PARTNERS LP *        OTHER     293792107         45       904 Shares                          X         1        904      0       0
EOG RESOURCES INC COM COMMON    26875P101        254      2100 Shares                 X                  1       2100      0       0
EOG RESOURCES INC COM COMMON    26875P101         82       681 Shares                          X         1        681      0       0
EQT CORPORATION       COMMON    26884L109         46       775 Shares                 X                  1        775      0       0
EQT CORPORATION       COMMON    26884L109         65      1100 Shares                          X         1       1100      0       0
EQUIFAX INC COM       COMMON    294429105         65      1200 Shares                          X         1       1200      0       0
EQUINIX INC           COMMON    29444U502         97       468 Shares                 X                  1        468      0       0
EQUINIX INC           COMMON    29444U502          5        22 Shares                          X         1         22      0       0
EQUITY ONE INC        COMMON    294752100          4       200 Shares                 X                  1        200      0       0
EQUITY RESIDENTIAL
 REIT                 COMMON    29476L107         16       286 Shares                 X                  1        286      0       0
EQUITY RESIDENTIAL
 REIT                 COMMON    29476L107         55       975 Shares                          X         1        975      0       0
ERICSSON SPONS ADR    COMMON    294821608         31      3084 Shares                 X                  1       3084      0       0
ERICSSON SPONS ADR    COMMON    294821608         21      2115 Shares                          X         1       2115      0       0
ERIE INDEMNITY CO
 CL A                 COMMON    29530P102         87      1250 Shares                 X                  1       1250      0       0
ESTEE LAUDER
 COMPANIES INC        COMMON    518439104       1035     17297 Shares                 X                  1      17297      0       0
ESTEE LAUDER
 COMPANIES INC        COMMON    518439104        138      2300 Shares                          X         1       2300      0       0
EVANS BANCORP INC     COMMON    29911Q208          0         1 Shares                 X                  3          1      0       0
EVEREST RE GROUP LTD
 COM                  COMMON    G3223R108         12       106 Shares                 X                  1        106      0       0
EXELIS                COMMON    30162A108         27      2400 Shares                          X         1       2400      0       0
EXELON CORP           COMMON    30161N101       1966     66108 Shares                 X                  1      66108      0       0
EXELON CORP           COMMON    30161N101       1407     47297 Shares                          X         1      46247      0    1050
EXPEDITORS INTL WASH
 INC COM              COMMON    302130109        442     11170 Shares                 X                  1      11170      0       0
EXPEDITORS INTL WASH
 INC COM              COMMON    302130109         10       248 Shares                          X         1         48      0     200
EXPEDITORS INTL WASH
 INC COM              COMMON    302130109        103      2610 Shares                 X                  3       2610      0       0
EXPEDITORS INTL WASH
 INC COM              COMMON    302130109         87      2200 Shares                 X                  3       2200      0       0
EXPRESS SCRIPTS
 HOLDING C            COMMON    30219G108      12080    223696 Shares                 X                  1     221873      0    1823
EXPRESS SCRIPTS
 HOLDING C            COMMON    30219G108       4608     85325 Shares                          X         1      77522      0    7803
EXPRESS SCRIPTS
 HOLDING C            COMMON    30219G108        930     17214 Shares                 X                  3      14566      0    2648
EXXON MOBIL CORP      COMMON    30231G102      54769    632798 Shares                 X                  1     626370      0    6428
EXXON MOBIL CORP      COMMON    30231G102      45697    527980 Shares                          X         1     455956      0   72024
EXXON MOBIL CORP      COMMON    30231G102       4046     46746 Shares                 X                  3      43410      0    3336
EXXON MOBIL CORP      COMMON    30231G102        325      3750 Shares                          X         4       3750      0       0
F5 NETWORKS INC       COMMON    315616102        698      7184 Shares                 X                  1       7184      0       0
F5 NETWORKS INC       COMMON    315616102        106      1094 Shares                          X         1       1094      0       0
F5 NETWORKS INC       COMMON    315616102        125      1290 Shares                 X                  3       1290      0       0
F5 NETWORKS INC       COMMON    315616102        106      1090 Shares                 X                  3       1090      0       0


                                     8 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
FACEBOOK INC-A        COMMON    30303M102         45      1700 Shares                 X                  1       1700      0       0
FACTSET RESEARCH
 SYSTEMS INC          COMMON    303075105         16       180 Shares                 X                  1        180      0       0
FACTSET RESEARCH
 SYSTEMS INC          COMMON    303075105         44       500 Shares                          X         1        500      0       0
FAMILY DOLLAR STORES  COMMON    307000109          2        33 Shares                 X                  1         33      0       0
FAMILY DOLLAR STORES  COMMON    307000109          5        75 Shares                          X         1         75      0       0
FASTENAL CO           COMMON    311900104       2109     45203 Shares                 X                  1      45203      0       0
FASTENAL CO           COMMON    311900104        135      2886 Shares                          X         1       2886      0       0
FASTENAL CO           COMMON    311900104        152      3250 Shares                 X                  3       3250      0       0
FASTENAL CO           COMMON    311900104        128      2750 Shares                 X                  3       2750      0       0
FEDEX CORP COM        COMMON    31428X106       1685     18374 Shares                 X                  1      17674      0     700
FEDEX CORP COM        COMMON    31428X106        178      1943 Shares                          X         1       1943      0       0
FEDEX CORP COM        COMMON    31428X106         18       194 Shares                 X                  3        194      0       0
FEI CO                COMMON    30241L109        201      3620 Shares                 X                  1       3620      0       0
FEI CO                COMMON    30241L109        148      2665 Shares                 X                  3       2665      0       0
FIDELITY NATL
 INFORMATION SERVICES COMMON    31620M106         56      1620 Shares                 X                  1       1620      0       0
FIFTH THIRD BANCORP
 COM                  COMMON    316773100        165     10824 Shares                 X                  1      10824      0       0
FINANCIAL
 INSTITUTIONS
 INCORPORATED         COMMON    317585404          0         1 Shares                 X                  3          1      0       0
FIRST NIAGARA
 FINANCIAL GROUP      COMMON    33582V108         20      2572 Shares                 X                  1       2572      0       0
FIRST NIAGARA
 FINANCIAL GROUP      COMMON    33582V108          2       225 Shares                          X         1        225      0       0
FIRST NIAGARA
 FINANCIAL GROUP      COMMON    33582V108        427     53803 Shares                 X                  3      53803      0       0
FIRST POTOMAC REALTY
 TRUST                COMMON    33610F109         29      2320 Shares                 X                  1       2320      0       0
FIRST TRUST ENHANCED
 EQUITY INCOME        PREFERRED 337318109         26      2200 Shares                          X         1          0      0    2200
FIRST UNITED CORP COM COMMON    33741H107         17      2416 Shares                 X                  3       2416      0       0
FIRSTENERGY CORP      COMMON    337932107        144      3439 Shares                 X                  1       3439      0       0
FIRSTENERGY CORP      COMMON    337932107        113      2709 Shares                          X         1       2509      0     200
FISERV INC            COMMON    337738108          4        50 Shares                 X                  1         50      0       0
FISERV INC            COMMON    337738108         16       200 Shares                          X         1          0      0     200
FLAHERTY/CRUMRINE
 CLAY PREF SEC FD     PREFERRED 338478100         10       500 Shares                          X         1          0      0     500
FLEXTRONICS INTL LTD  COMMON    Y2573F102         11      1700 Shares                          X         1       1700      0       0
FLOWERS FOODS INC COM COMMON    343498101         17       750 Shares                 X                  1        750      0       0
FLOWSERVE CORP COM    COMMON    34354P105          6        40 Shares                 X                  1         40      0       0
FLUOR CORP            COMMON    343412102          4        73 Shares                 X                  1         73      0       0
FLUOR CORP            COMMON    343412102        176      3000 Shares                          X         1       3000      0       0
FMC TECHNOLOGIES INC
 COM                  COMMON    30249U101         15       339 Shares                 X                  1        339      0       0
FNB CORP PA           COMMON    302520101         69      6463 Shares                 X                  1       6463      0       0
FNB CORP PA           COMMON    302520101         52      4907 Shares                          X         1          0      0    4907
FOOT LOCKER INC       COMMON    344849104         43      1338 Shares                 X                  1       1338      0       0
FOOT LOCKER INC       COMMON    344849104          2        62 Shares                          X         1         62      0       0
FORD MOTOR CO         COMMON    345370860       1060     81882 Shares                 X                  1      81532      0     350
FORD MOTOR CO         COMMON    345370860        164     12691 Shares                          X         1      11836      0     855
FORD MOTOR CO         COMMON    345370860        100      7750 Shares                          X         4       7750      0       0
FORD MOTOR CO         COMMON    345370860         15      1140 Shares                 X                  3       1140      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
FORTUNE HOME BRANDS
 HOME & SEC INC       COMMON    34964C106         34      1160 Shares                 X                  1       1160      0       0
FORTUNE HOME BRANDS
 HOME & SEC INC       COMMON    34964C106         46      1583 Shares                          X         1       1583      0       0
FOSTER WHEELER AG     COMMON    H27178104         66      2734 Shares                 X                  1       2734      0       0
FRANKLIN RESOURCES
 INC                  COMMON    354613101         45       360 Shares                 X                  1        360      0       0
FREEPORT-MCMORAN
 COPPER & GOLD INC    COMMON    35671D857       4114    120278 Shares                 X                  1     118771      0    1507
FREEPORT-MCMORAN
 COPPER & GOLD INC    COMMON    35671D857        551     16103 Shares                          X         1      12543      0    3560
FREEPORT-MCMORAN
 COPPER & GOLD INC    COMMON    35671D857        463     13540 Shares                 X                  3      10378      0    3162
FREEPORT-MCMORAN
 COPPER & GOLD INC    COMMON    35671D857         55      1600 Shares                          X         4       1600      0       0
FRONTIER
 COMMUNICATIONS CORP  COMMON    35906A108         14      3387 Shares                 X                  1       3387      0       0
FRONTIER
 COMMUNICATIONS CORP  COMMON    35906A108         34      7901 Shares                          X         1       7169      0     732
FULTON FINANCIAL CORP COMMON    360271100       4490    467256 Shares                 X                  1     467256      0       0
FULTON FINANCIAL CORP COMMON    360271100         84      8774 Shares                          X         1       8432      0     342
FULTON FINANCIAL CORP COMMON    360271100         96     10000 Shares                 X                  3      10000      0       0
FULTON FINANCIAL CORP COMMON    360271100       3771    392361 Shares                 X                  3     392361      0       0
GALLAGHER ARTHUR J.
 & CO                 COMMON    363576109        711     20526 Shares                 X                  1      20526      0       0
GALLAGHER ARTHUR J.
 & CO                 COMMON    363576109         75      2156 Shares                          X         1       2156      0       0
GALLAGHER ARTHUR J.
 & CO                 COMMON    363576109         69      1978 Shares                 X                  3       1978      0       0
GAMESTOP CORP -
 CLASS A              COMMON    36467W109        321     12785 Shares                 X                  1      12785      0       0
GAMESTOP CORP -
 CLASS A              COMMON    36467W109        216      8615 Shares                 X                  3       8615      0       0
GANNET CO COMMON      COMMON    364730101         36      2000 Shares                          X         1       2000      0       0
GAP INC COM           COMMON    364760108         47      1500 Shares                 X                  1       1500      0       0
GAP INC COM           COMMON    364760108         78      2500 Shares                          X         1       2500      0       0
GENERAL DYNAMICS CORP
 COM                  COMMON    369550108       1762     25442 Shares                 X                  1      25442      0       0
GENERAL DYNAMICS CORP
 COM                  COMMON    369550108        506      7305 Shares                          X         1       7305      0       0
GENERAL DYNAMICS CORP
 COM                  COMMON    369550108          0         1 Shares                 X                  3          1      0       0
GENERAL ELECTRIC
 COMPANY              COMMON    369604103      27170   1294426 Shares                 X                  1    1276435      0   17991
GENERAL ELECTRIC
 COMPANY              COMMON    369604103      23617   1125135 Shares                          X         1    1082701      0   42434
GENERAL ELECTRIC
 COMPANY              COMMON    369604103        970     46204 Shares                 X                  3      34429      0   11775
GENERAL ELECTRIC
 COMPANY              COMMON    369604103         84      4000 Shares                          X         4       4000      0       0
GENERAL ELECTRIC
 COMPANY              COMMON    369604103        933     44435 Shares                 X                  3      44435      0       0
GENERAL MILLS INC     COMMON    370334104       2941     72765 Shares                 X                  1      72765      0       0
GENERAL MILLS INC     COMMON    370334104       1618     40038 Shares                          X         1      39138      0     900
GENERAL MOTORS CO     COMMON    37045V100          9       324 Shares                 X                  1        324      0       0
GENUINE PARTS INC     COMMON    372460105         43       675 Shares                 X                  1        675      0       0
GENUINE PARTS INC     COMMON    372460105         79      1250 Shares                          X         1       1250      0       0
GILEAD SCIENCES INC
 COM                  COMMON    375558103       2172     29565 Shares                 X                  1      29565      0       0
GILEAD SCIENCES INC
 COM                  COMMON    375558103        685      9322 Shares                          X         1       8533      0     789
GILEAD SCIENCES INC
 COM                  COMMON    375558103        146      1985 Shares                 X                  3       1800      0     185
GLACIER BANCORP INC
 NEW                  COMMON    37637Q105        399     27107 Shares                 X                  1      27107      0       0
GLACIER BANCORP INC
 NEW                  COMMON    37637Q105         48      3257 Shares                          X         1       3257      0       0


                                     9 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
GLACIER BANCORP INC
 NEW                  COMMON    37637Q105         45      3026 Shares                 X                  3       3026      0       0
GLATFELTER            COMMON    377316104        263     15025 Shares                 X                  1      15025      0       0
GLAXOSMITHKLINE PLC
 ADR                  COMMON    37733W105        720     16554 Shares                 X                  1      16554      0       0
GLAXOSMITHKLINE PLC
 ADR                  COMMON    37733W105       1100     25311 Shares                          X         1      19811      0    5500
GLAXOSMITHKLINE PLC
 ADR                  COMMON    37733W105         17       401 Shares                 X                  3        401      0       0
GLOBAL PAYMENTS INC   COMMON    37940X102        316      6977 Shares                 X                  1       6977      0       0
GLOBAL PAYMENTS INC   COMMON    37940X102        222      4900 Shares                 X                  3       4900      0       0
GM CO WARRANTS
 7/10/16              COMMON    37045V118          0        16 Shares                 X                  1         16      0       0
GM CO WARRANTS
 7/10/19              COMMON    37045V126          0        16 Shares                 X                  1         16      0       0
GOLAR LNG PARTNERS
 LP *                 OTHER     Y2745C102          4       123 Shares                 X                  1        123      0       0
GOLDCORP INC          COMMON    380956409          2        50 Shares                 X                  1         50      0       0
GOLDMAN SACHS GROUP
 INC COM              COMMON    38141G104       3422     26830 Shares                 X                  1      25880      0     950
GOLDMAN SACHS GROUP
 INC COM              COMMON    38141G104        413      3239 Shares                          X         1       2980      0     259
GOOGLE INC CL A       COMMON    38259P508       9668     13667 Shares                 X                  1      13617      0      50
GOOGLE INC CL A       COMMON    38259P508        827      1169 Shares                          X         1        916      0     253
GOOGLE INC CL A       COMMON    38259P508       1104      1561 Shares                 X                  3       1167      0     394
GOVERNMENT PROPERTIES
 INCOME TRUST         COMMON    38376A103         24      1000 Shares                 X                  1       1000      0       0
GOVERNMENT PROPERTIES
 INCOME TRUST         COMMON    38376A103         72      3000 Shares                          X         1       3000      0       0
GRACO INC COM         COMMON    384109104        465      9027 Shares                 X                  1       9027      0       0
GRACO INC COM         COMMON    384109104          3        50 Shares                          X         1         50      0       0
GRACO INC COM         COMMON    384109104        177      3430 Shares                 X                  3       3430      0       0
GRACO INC COM         COMMON    384109104        145      2825 Shares                 X                  3       2825      0       0
GREAT PLAINS ENERGY
 INC                  COMMON    391164100         16       770 Shares                 X                  1        770      0       0
GREATBATCH INC        COMMON    39153L106         36      1564 Shares                 X                  3       1564      0       0
GREEN MOUNTAIN COFFEE
 ROASTERS INC         COMMON    393122106        345      8354 Shares                 X                  1       8354      0       0
GREEN MOUNTAIN COFFEE
 ROASTERS INC         COMMON    393122106        129      3110 Shares                 X                  3       3110      0       0
GREEN MOUNTAIN COFFEE
 ROASTERS INC         COMMON    393122106        109      2625 Shares                 X                  3       2625      0       0
GRUPO TELEVISA SA
 SPONS ADR            COMMON    40049J206          8       297 Shares                          X         1        297      0       0
GUGGENHEIM RUSSELL
 TOP 50 ETF           PREFERRED 78355W205          7        67 Shares                 X                  1          0      0      67
GUGGENHEIM S&P GBL
 WATER IDX ETF        PREFERRED 18383Q507          2       100 Shares                          X         1          0      0     100
H & R BLOCK COMMON    COMMON    093671105        324     17457 Shares                 X                  1      17457      0       0
H & R BLOCK COMMON    COMMON    093671105         37      1992 Shares                          X         1       1992      0       0
H & R BLOCK COMMON    COMMON    093671105         35      1904 Shares                 X                  3       1904      0       0
HALLIBURTON HLDG CO
 COM                  COMMON    406216101        243      7010 Shares                 X                  1       7010      0       0
HALLIBURTON HLDG CO
 COM                  COMMON    406216101        173      5000 Shares                          X         1       5000      0       0
HANESBRANDS INC       COMMON    410345102         14       400 Shares                          X         1          0      0     400
HARLEY DAVIDSON
 COMMON               COMMON    412822108        261      5338 Shares                 X                  1       5338      0       0
HARLEY DAVIDSON
 COMMON               COMMON    412822108        166      3400 Shares                          X         1        200      0    3200
HARRIS CORP COMMON    COMMON    413875105        246      5025 Shares                          X         1       5025      0       0
HARRIS CORP COMMON    COMMON    413875105         26       537 Shares                 X                  3        537      0       0
HARSCO CORP COMMON    COMMON    415864107       2716    115569 Shares                 X                  1     115569      0       0
HARSCO CORP COMMON    COMMON    415864107        945     40221 Shares                          X         1      40221      0       0
HARTFORD FINANCIAL
 SVCS GRP INC         COMMON    416515104         55      2434 Shares                 X                  1       2434      0       0
HARTFORD FINANCIAL
 SVCS GRP INC         COMMON    416515104         35      1570 Shares                          X         1       1480      0      90
HATTERAS FINANCIAL
 CORP                 COMMON    41902R103        935     37699 Shares                 X                  1      37699      0       0
HATTERAS FINANCIAL
 CORP                 COMMON    41902R103         43      1742 Shares                          X         1       1742      0       0
HATTERAS FINANCIAL
 CORP                 COMMON    41902R103         13       507 Shares                 X                  3        507      0       0
HAWAIIAN ELECTRIC
 INDUSTRIES COMMON    COMMON    419870100         18       714 Shares                 X                  1        714      0       0
HCP INCORPORATED
 REITS                COMMON    40414L109         73      1614 Shares                 X                  1       1614      0       0
HCP INCORPORATED
 REITS                COMMON    40414L109          9       208 Shares                          X         1        208      0       0
HEALTH CARE REIT INC  COMMON    42217K106         78      1279 Shares                 X                  1       1279      0       0
HEALTH CARE REIT INC  COMMON    42217K106         12       190 Shares                          X         1        190      0       0
HEALTH MANAGEMENT-
 CLASS A              COMMON    421933102          5       540 Shares                 X                  1        540      0       0
HEALTH MANAGEMENT-
 CLASS A              COMMON    421933102          0        50 Shares                          X         1         50      0       0
HEICO CORPORATION -
 CLASS A              COMMON    422806208        260      8141 Shares                 X                  1       8141      0       0
HEICO CORPORATION -
 CLASS A              COMMON    422806208        101      3162 Shares                 X                  3       3162      0       0
HEICO CORPORATION -
 CLASS A              COMMON    422806208        101      3158 Shares                 X                  3       3158      0       0
HEINZ H J CO COM      COMMON    423074103       1830     31725 Shares                 X                  1      31725      0       0
HEINZ H J CO COM      COMMON    423074103        637     11044 Shares                          X         1      11044      0       0
HEINZ H J CO COM      COMMON    423074103         61      1062 Shares                 X                  3       1062      0       0
HEINZ H J CO COM      COMMON    423074103         87      1500 Shares                          X         4       1500      0       0
HENRY SCHEIN INC COM  COMMON    806407102         92      1149 Shares                 X                  1       1149      0       0
HERBALIFE LTD         COMMON    G4412G101        307      9328 Shares                 X                  1       9328      0       0
HERBALIFE LTD         COMMON    G4412G101        223      6780 Shares                 X                  3       6780      0       0
HERCULES TECHNOLOGY
 GROWTH               COMMON    427096508          9       812 Shares                 X                  1        812      0       0
HESS CORPORATION      COMMON    42809H107         53      1000 Shares                          X         1       1000      0       0
HEWLETT-PACKARD CO    COMMON    428236103        724     50806 Shares                 X                  1      50806      0       0
HEWLETT-PACKARD CO    COMMON    428236103        402     28218 Shares                          X         1      25018      0    3200
HEWLETT-PACKARD CO    COMMON    428236103         17      1201 Shares                 X                  3       1201      0       0
HILLSHIRE BRANDS
 COMPANY              COMMON    432589109          5       160 Shares                 X                  1        160      0       0
HILLSHIRE BRANDS
 COMPANY              COMMON    432589109         31      1085 Shares                          X         1        445      0     640
HOLOGIC INC COM       COMMON    436440101         68      3400 Shares                          X         1          0      0    3400
HOME DEPOT INC COM    COMMON    437076102       7017    113459 Shares                 X                  1     112359      0    1100
HOME DEPOT INC COM    COMMON    437076102       4836     78190 Shares                          X         1      74050      0    4140
HOME DEPOT INC COM    COMMON    437076102         53       861 Shares                 X                  3        861      0       0
HOME PROPERTIES INC
 (REIT)               COMMON    437306103        153      2500 Shares                          X         1          0      0    2500
HONDA MTR LTD AMERN
 SHS                  COMMON    438128308         12       320 Shares                 X                  1        320      0       0
HONDA MTR LTD AMERN
 SHS                  COMMON    438128308         25       675 Shares                          X         1        675      0       0
HONEYWELL INTL INC
 COM                  COMMON    438516106        881     13886 Shares                 X                  1      13886      0       0
HONEYWELL INTL INC
 COM                  COMMON    438516106       1821     28688 Shares                          X         1      28688      0       0
HONEYWELL INTL INC
 COM                  COMMON    438516106        186      2925 Shares                 X                  3       2925      0       0
HONEYWELL INTL INC
 COM                  COMMON    438516106         13       200 Shares                          X         4        200      0       0
HOSPIRA INC           COMMON    441060100         68      2185 Shares                 X                  1       2185      0       0
HOSPIRA INC           COMMON    441060100         29       924 Shares                          X         1        924      0       0
HSBC HOLDINGS PLC PFD
 6.2SER A             PREFERRED 404280604         25      1000 Shares                 X                  1          0      0    1000


                                    10 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
HSBC HOLDINGS PLC
 SPON ADR             COMMON    404280406         54      1025 Shares                 X                  1       1025      0       0
HSBC HOLDINGS PLC
 SPON ADR             COMMON    404280406         17       323 Shares                          X         1        323      0       0
HUGOTON ROYALTY TRUST COMMON    444717102          1       150 Shares                          X         1          0      0     150
HUNTINGTON INGALLS
 INDUSTRIES WI        COMMON    446413106         11       249 Shares                          X         1        249      0       0
IBM CORPORATION       COMMON    459200101      36200    188985 Shares                 X                  1     187052      0    1933
IBM CORPORATION       COMMON    459200101      17003     88764 Shares                          X         1      80368      0    8396
IBM CORPORATION       COMMON    459200101        757      3954 Shares                 X                  3       3085      0     869
IBM CORPORATION       COMMON    459200101        215      1125 Shares                          X         4       1125      0       0
IBM CORPORATION       COMMON    459200101      56062    292675 Shares                 X                  3     292675      0       0
ICICI BANK LIMITED
 SPONSORED ADR        COMMON    45104G104          8       172 Shares                 X                  1        172      0       0
ICON PLC SPONSORED
 ADR                  COMMON    45103T107         14       508 Shares                 X                  1        508      0       0
ILLINOIS TOOL WKS INC
 COM                  COMMON    452308109        266      4380 Shares                 X                  1       4380      0       0
ILLINOIS TOOL WKS INC
 COM                  COMMON    452308109         73      1200 Shares                          X         1       1200      0       0
ILLUMINA INC          COMMON    452327109          8       150 Shares                 X                  1        150      0       0
IMMUNOGEN INC         COMMON    45253H101          1       100 Shares                          X         1          0      0     100
IMPERIAL OIL LTD      COMMON    453038408         65      1500 Shares                          X         1       1500      0       0
INDIA FUND            PREFERRED 454089103         52      2500 Shares                 X                  1          0      0    2500
INERGY LP *           OTHER     456615103         33      1810 Shares                 X                  1       1810      0       0
INFOSYS LIMITED       COMMON    456788108          8       200 Shares                 X                  1        200      0       0
ING GROEP NV
 SPONSORED ADR        COMMON    456837103          2       214 Shares                 X                  1        214      0       0
ING GROEP NV
 SPONSORED ADR        COMMON    456837103         14      1450 Shares                          X         1       1450      0       0
INGERSOLL-RAND PUBLIC
 LTD CO               COMMON    G47791101         17       350 Shares                 X                  1        350      0       0
INGERSOLL-RAND PUBLIC
 LTD CO               COMMON    G47791101        224      4670 Shares                          X         1       4670      0       0
INGREDION INC         COMMON    457187102         26       400 Shares                          X         1        400      0       0
INTEGRYS ENERGY GROUP
 INC                  COMMON    45822P105         17       320 Shares                          X         1        320      0       0
INTEL CORP COM        COMMON    458140100       9854    477905 Shares                 X                  1     474525      0    3380
INTEL CORP COM        COMMON    458140100       5002    242599 Shares                          X         1     215209      0   27390
INTEL CORP COM        COMMON    458140100         69      3347 Shares                 X                  3       3347      0       0
INTEL CORP COM        COMMON    458140100        103      5000 Shares                          X         4       5000      0       0
INTEL CORP COM        COMMON    458140100        247     12001 Shares                 X                  3      12001      0       0
INTERCONTINENTAL
 EXCHANGE INC         COMMON    45865V100        721      5827 Shares                 X                  1       5827      0       0
INTERCONTINENTAL
 EXCHANGE INC         COMMON    45865V100        285      2305 Shares                 X                  3       2305      0       0
INTERDIGITAL INC      COMMON    45867G101         21       500 Shares                 X                  1        500      0       0
INTERNATIONAL PAPER
 CO COM               COMMON    460146103        197      4943 Shares                 X                  1       4943      0       0
INTERNATIONAL PAPER
 CO COM               COMMON    460146103        176      4423 Shares                          X         1       2487      0    1936
INTERNATIONAL
 SPEEDWAY CORP CL A   COMMON    460335201          1        50 Shares                 X                  1         50      0       0
INTL FLAVORS &
 FRAGRANCES INC COM   COMMON    459506101         47       700 Shares                 X                  1        700      0       0
INTUIT INC COM        COMMON    461202103          4        75 Shares                 X                  1         75      0       0
INTUITIVE SURGICAL
 INC                  COMMON    46120E602       5208     10621 Shares                 X                  1      10501      0     120
INTUITIVE SURGICAL
 INC                  COMMON    46120E602        255       520 Shares                          X         1        520      0       0
INTUITIVE SURGICAL
 INC                  COMMON    46120E602        471       961 Shares                 X                  3        806      0     155
INTUITIVE SURGICAL
 INC                  COMMON    46120E602        306       625 Shares                          X         4        625      0       0
INVECO TRST FOR
 INVETMT GRDE NY MU   PREFERRED 46131T101          8       500 Shares                          X         1          0      0     500
INVESC ADVATG MUNIPAL
 INCME TRU II         PREFERRED 46132E103          8       600 Shares                 X                  1          0      0     600
INVESCO BOND FUND     PREFERRED 46132L107         17       818 Shares                 X                  1          0      0     818
INVESCO HIGH INCOME
 TRUST II             PREFERRED 46131F101          2       111 Shares                 X                  1          0      0     111
INVESCO LIMITED       COMMON    G491BT108         12       466 Shares                 X                  1        466      0       0
INVESCO MORTGAGE
 CAPITAL              COMMON    46131B100          4       200 Shares                          X         1        200      0       0
INVESCO MUNICIPAL
 OPPORTNITY TRUST     PREFERRED 46132C107         17      1152 Shares                 X                  1          0      0    1152
INVESCO MUNICIPAL
 OPPORTNITY TRUST     PREFERRED 46132C107        108      7385 Shares                          X         1          0      0    7385
INVESCO SENIOR INCOME
 TRUST                PREFERRED 46131H107          0         2 Shares                 X                  1          0      0       2
INVESCO TRUST FOR
 INVEST GRAD MUNI     PREFERRED 46131M106          9       600 Shares                 X                  1          0      0     600
INVESCO TRUST FOR
 INVEST GRAD MUNI     PREFERRED 46131M106         89      5851 Shares                          X         1          0      0    5851
INVESCO VALUE
 MUNICIPAL INCOME
 TRUST                PREFERRED 46132P108         47      2814 Shares                          X         1          0      0    2814
INVESCO VAN KAMPEN
 QUALITY MUNI INC     PREFERRED 46133G107         44      3196 Shares                          X         1          0      0    3196
INVESO PENLVNA VALUE
 MUNCPA INC TR        PREFERRED 46132K109        534     34907 Shares                 X                  1          0      0   34907
INVESO PENLVNA VALUE
 MUNCPA INC TR        PREFERRED 46132K109        211     13763 Shares                          X         1          0      0   13763
IPG PHOTONICS CORP    COMMON    44980X109        407      6108 Shares                 X                  1       6108      0       0
IPG PHOTONICS CORP    COMMON    44980X109        294      4410 Shares                 X                  3       4410      0       0
IRON MTN INC PA COM   COMMON    462846106         11       358 Shares                          X         1        358      0       0
ISHARES BARCLAYS
 INTER GOV/CRED ETF   PREFERRED 464288612       4757     42320 Shares                          X         3          0      0   42320
ISHARES BARCLAYS TIPS
 BOND ETF             PREFERRED 464287176       1492     12288 Shares                 X                  1          0      0   12288
ISHARES BARCLAYS TIPS
 BOND ETF             PREFERRED 464287176         44       365 Shares                          X         1          0      0     365
ISHARES BARCLAYS TIPS
 BOND ETF             PREFERRED 464287176       1780     14658 Shares                 X                  3          0      0   14658
ISHARES CORE S&P 500
 ETF                  PREFERRED 464287200       5862     40954 Shares                 X                  1          0      0   40954
ISHARES CORE S&P 500
 ETF                  PREFERRED 464287200        992      6927 Shares                          X         1          0      0    6927
ISHARES CORE S&P
 MID-CAP ETF          PREFERRED 464287507        183      1799 Shares                 X                  1          0      0    1799
ISHARES CORE S&P
 MID-CAP ETF          PREFERRED 464287507        873      8580 Shares                          X         3          0      0    8580
ISHARES CORE S&P
 SMALL-CAP ETF        PREFERRED 464287804       1450     18564 Shares                 X                  1          0      0   18564
ISHARES CORE S&P
 SMALL-CAP ETF        PREFERRED 464287804        903     11559 Shares                          X         3          0      0   11559
ISHARES CORE TOTAL
 U.S. BOND MKT ETF    PREFERRED 464287226        280      2520 Shares                 X                  1          0      0    2520
ISHARES CORE TOTAL
 U.S. BOND MKT ETF    PREFERRED 464287226         78       701 Shares                          X         1          0      0     701
ISHARES DJ SELECT
 DIVIDEND ETF         PREFERRED 464287168        101      1760 Shares                 X                  1          0      0    1760
ISHARES DJ US BASIC
 MATERIALS ETF        PREFERRED 464287838         52       750 Shares                          X         1          0      0     750
ISHARES DJ US
 FINANCIAL SECTOR ETF PREFERRED 464287788         12       200 Shares                 X                  1          0      0     200
ISHARES DJ US HOME
 CONSTRUCTION ETF     PREFERRED 464288752         17       825 Shares                          X         1          0      0     825
ISHARES DJ US
 UTILITIES SECTOR ETF PREFERRED 464287697          5        60 Shares                 X                  1          0      0      60
ISHARES FTSE CHINA 25
 ETF *                OTHER     464287184         10       258 Shares                 X                  1          0      0     258
ISHARES FTSE DEVLPD
 SMALL  EX NA ETF *   OTHER     464288497          1        40 Shares                          X         1          0      0      40
ISHARES GLOBAL
 INFL-LINKED          PREFERRED 46429B812         80      1475 Shares                 X                  1          0      0    1475
ISHARES GOLD TRUST    PREFERRED 464285105       1225     75256 Shares                 X                  1          0      0   75256
ISHARES GOLD TRUST    PREFERRED 464285105          1        50 Shares                          X         1          0      0      50
ISHARES HIGH DIVIDEND
 EQUITY ETF           PREFERRED 46429B663      33564    571198 Shares                 X                  1          0      0  571198
ISHARES HIGH DIVIDEND
 EQUITY ETF           PREFERRED 46429B663       2139     36400 Shares                          X         1          0      0   36400
ISHARES HIGH DIVIDEND
 EQUITY ETF           PREFERRED 46429B663       9844    167528 Shares                 X                  3          0      0  167528


                                    11 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
ISHARES HIGH DIVIDEND
 EQUITY ETF           PREFERRED 46429B663        235      4000 Shares                          X         4          0      0    4000
ISHARES IBOXX HIGH
 YLD CORP BND ETF     PREFERRED 464288513         41       434 Shares                          X         1          0      0     434
ISHARES IBOXX INV
 GRADE CORP BND ETF   PREFERRED 464287242        324      2675 Shares                 X                  3       2675      0       0
ISHARES MSCI CANADA
 INDEX ETF *          OTHER     464286509         25       875 Shares                 X                  1          0      0     875
ISHARES MSCI EAFE
 GROWTH INDEX ETF     OTHER     464288885      33470    557466 Shares                 X                  1          0      0  557466
ISHARES MSCI EAFE
 GROWTH INDEX ETF     OTHER     464288885        357      5940 Shares                          X         1          0      0    5940
ISHARES MSCI EAFE
 GROWTH INDEX ETF     OTHER     464288885       9704    161628 Shares                 X                  3          0      0  161628
ISHARES MSCI EAFE
 INDEX                OTHER     464287465      28125    494634 Shares                 X                  1          0      0  494634
ISHARES MSCI EAFE
 INDEX                OTHER     464287465       4706     82759 Shares                          X         1          0      0   82759
ISHARES MSCI EAFE
 INDEX                OTHER     464287465        798     14040 Shares                 X                  3          0      0   14040
ISHARES MSCI EAFE
 INDEX                OTHER     464287465        801     14094 Shares                          X         3          0      0   14094
ISHARES MSCI EAFE
 INDEX                OTHER     464287465         70      1228 Shares                 X                  4          0      0    1228
ISHARES MSCI EMERGING
 MARKETS ETF *        OTHER     464287234        472     10640 Shares                 X                  1          0      0   10640
ISHARES MSCI EMERGING
 MARKETS ETF *        OTHER     464287234         69      1550 Shares                          X         1          0      0    1550
ISHARES MSCI ISRAEL
 CAPPED IMI ETF *     OTHER     464286632         16       393 Shares                 X                  1          0      0     393
ISHARES MSCI USA ESG
 SLCT SOCIAL ETF      PREFERRED 464288802         19       316 Shares                 X                  1          0      0     316
ISHARES NASDAQ
 BIOTECHNOLOGY ETF    PREFERRED 464287556          4        30 Shares                 X                  1          0      0      30
ISHARES RUSSELL 1000
 GROWTH INDX ETF      PREFERRED 464287614       9933    151675 Shares                 X                  1          0      0  151675
ISHARES RUSSELL 1000
 GROWTH INDX ETF      PREFERRED 464287614       1945     29700 Shares                          X         1          0      0   29700
ISHARES RUSSELL 1000
 GROWTH INDX ETF      PREFERRED 464287614         47       720 Shares                 X                  3          0      0     720
ISHARES RUSSELL 1000
 GROWTH INDX ETF      PREFERRED 464287614         21       327 Shares                          X         3          0      0     327
ISHARES RUSSELL 1000
 GROWTH INDX ETF      PREFERRED 464287614         90      1380 Shares                 X                  4          0      0    1380
ISHARES RUSSELL 1000
 INDEX ETF            PREFERRED 464287622       4655     58809 Shares                 X                  1          0      0   58809
ISHARES RUSSELL 1000
 VALUE INDEX ETF      PREFERRED 464287598      20302    278791 Shares                 X                  1          0      0  278791
ISHARES RUSSELL 1000
 VALUE INDEX ETF      PREFERRED 464287598       2581     35448 Shares                          X         1          0      0   35448
ISHARES RUSSELL 1000
 VALUE INDEX ETF      PREFERRED 464287598        566      7776 Shares                 X                  3          0      0    7776
ISHARES RUSSELL 1000
 VALUE INDEX ETF      PREFERRED 464287598         98      1344 Shares                 X                  4          0      0    1344
ISHARES RUSSELL 1000
 VALUE INDEX ETF      PREFERRED 464287598         11       150 Shares                 X                  3        150      0       0
ISHARES RUSSELL 2000
 GROWTH INDX ETF      PREFERRED 464287648       6489     68084 Shares                 X                  1          0      0   68084
ISHARES RUSSELL 2000
 GROWTH INDX ETF      PREFERRED 464287648        478      5011 Shares                          X         1          0      0    5011
ISHARES RUSSELL 2000
 GROWTH INDX ETF      PREFERRED 464287648        599      6280 Shares                 X                  3          0      0    6280
ISHARES RUSSELL 2000
 GROWTH INDX ETF      PREFERRED 464287648         40       422 Shares                 X                  4          0      0     422
ISHARES RUSSELL 2000
 INDEX ETF            PREFERRED 464287655        200      2375 Shares                 X                  1          0      0    2375
ISHARES RUSSELL 2000
 INDEX ETF            PREFERRED 464287655         22       260 Shares                          X         1          0      0     260
ISHARES RUSSELL MID
 CAP INDEX ETF        PREFERRED 464287499         23       200 Shares                 X                  1          0      0     200
ISHARES S&P EUROPE
 350 INDEX ETF *      OTHER     464287861         98      2500 Shares                          X         1          0      0    2500
ISHARES S&P GSCI
 COMMODITY TRUST      PREFERRED 46428R107         16       500 Shares                 X                  1          0      0     500
ISHARES S&P MIDCAP
 400 BARRA GRW ETF    PREFERRED 464287606       1012      8849 Shares                 X                  1          0      0    8849
ISHARES S&P MIDCAP
 400 BARRA VAL ETF    PREFERRED 464287705        593      6728 Shares                 X                  1          0      0    6728
ISHARES S&P SMALL CAP
 600 GROWTH ETF       PREFERRED 464287887       1511     17980 Shares                 X                  1          0      0   17980
ISHARES S&P US
 PREFERRED STOCK ETF  PREFERRED 464288687         63      1600 Shares                 X                  1          0      0    1600
ISHARES SILVER TRUST  PREFERRED 46428Q109         22       750 Shares                 X                  1          0      0     750
ISIS PHARMACEUTICALS
 COM                  COMMON    464330109          4       350 Shares                 X                  1        350      0       0
ITAU UNIBANCO HOLDING
 SA - PREF ADR        COMMON    465562106          8       500 Shares                 X                  1        500      0       0
ITT CORP              COMMON    450911201         28      1200 Shares                          X         1       1200      0       0
J B HUNT TRANSPORT
 SERVICES INC         COMMON    445658107        965     16158 Shares                 X                  1      16158      0       0
J B HUNT TRANSPORT
 SERVICES INC         COMMON    445658107         20       332 Shares                          X         1        332      0       0
J C PENNEY COMPANY
 COMMON               COMMON    708160106         22      1140 Shares                 X                  1       1140      0       0
JACOBS ENGINEERING
 GROUP INC COM        COMMON    469814107         92      2150 Shares                 X                  1       2150      0       0
JACOBS ENGINEERING
 GROUP INC COM        COMMON    469814107         55      1290 Shares                          X         1       1290      0       0
JETBLUE AIRWAYS
 CORPORATION          COMMON    477143101          1       100 Shares                 X                  1        100      0       0
JM SMUCKER CO         COMMON    832696405         63       725 Shares                 X                  1        725      0       0
JM SMUCKER CO         COMMON    832696405        283      3278 Shares                          X         1       2680      0     598
JOHN HANCOCK
 PREFERRED INCOME
 FD II                PREFERRED 41013X106         35      1600 Shares                 X                  1          0      0    1600
JOHNSON & JOHNSON     COMMON    478160104      23377    333485 Shares                 X                  1     329702      0    3783
JOHNSON & JOHNSON     COMMON    478160104      19896    283816 Shares                          X         1     270915      0   12901
JOHNSON & JOHNSON     COMMON    478160104        791     11277 Shares                 X                  3       9277      0    2000
JOHNSON & JOHNSON     COMMON    478160104        182      2600 Shares                          X         4       2600      0       0
JOHNSON & JOHNSON     COMMON    478160104         18       257 Shares                 X                  3        257      0       0
JOHNSON CONTROLS INC
 COM                  COMMON    478366107        330     10760 Shares                 X                  1      10760      0       0
JOHNSON CONTROLS INC
 COM                  COMMON    478366107        236      7700 Shares                          X         1       7700      0       0
JOY GLOBAL
 INCORPORATED         COMMON    481165108       1433     22462 Shares                 X                  1      21962      0     500
JOY GLOBAL
 INCORPORATED         COMMON    481165108        111      1735 Shares                          X         1       1610      0     125
JOY GLOBAL
 INCORPORATED         COMMON    481165108        132      2070 Shares                 X                  3       2070      0       0
JOY GLOBAL
 INCORPORATED         COMMON    481165108        110      1725 Shares                 X                  3       1725      0       0
JPMORGAN CHASE & CO   COMMON    46625H100      12880    292932 Shares                 X                  1     290617      0    2315
JPMORGAN CHASE & CO   COMMON    46625H100       5107    116141 Shares                          X         1     106318      0    9823
JPMORGAN CHASE & CO   COMMON    46625H100        967     21995 Shares                 X                  3      17318      0    4677
JPMORGAN CHASE & CO   COMMON    46625H100        132      3000 Shares                          X         4       3000      0       0
JUNIPER NETWORKS INC  COMMON    48203R104         55      2809 Shares                 X                  1       2809      0       0
KELLOGG CO COM        COMMON    487836108        789     14125 Shares                 X                  1      14125      0       0
KELLOGG CO COM        COMMON    487836108        685     12273 Shares                          X         1      12173      0     100
KENNAMETAL INC        COMMON    489170100          2        60 Shares                 X                  1         60      0       0
KIMBERLY CLARK CORP   COMMON    494368103       2758     32671 Shares                 X                  1      32671      0       0
KIMBERLY CLARK CORP   COMMON    494368103       2796     33119 Shares                          X         1      29969      0    3150
KINDER MORGAN ENERGY
 PARTNERS LP          OTHER     494550106        319      4001 Shares                 X                  3       4001      0       0
KINDER MORGAN ENERGY
 PARTNERS LP *        OTHER     494550106        285      3575 Shares                 X                  1       3575      0       0
KINDER MORGAN ENERGY
 PARTNERS LP *        OTHER     494550106        176      2202 Shares                          X         1       2027      0     175
KINDER MORGAN INC
 DEL-WTS    5/25/17   COMMON    49456B119          0        98 Shares                 X                  1         98      0       0
KINDER MORGAN
 MANAGEMENT LLC       OTHER     49455U100       1193     15811 Shares                 X                  1      15811      0       0
KINDER MORGAN
 MANAGEMENT LLC       OTHER     49455U100         63       834 Shares                          X         1        834      0       0
KINDER MORGAN
 MANAGEMENT LLC       OTHER     49455U100         28       373 Shares                 X                  3        373      0       0
KINDRED HEALTHCARE
 INC                  COMMON    494580103         44      4025 Shares                 X                  1       4025      0       0
KINROSS GOLD
 CORPORATION          COMMON    496902404          4       419 Shares                 X                  1        419      0       0
KOHLS CORP COM        COMMON    500255104         87      2013 Shares                 X                  1       2013      0       0


                                    12 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
KOHLS CORP COM        COMMON    500255104         92      2130 Shares                          X         1       2130      0       0
KONINKLIJKE PHILIPS
 ELEC N V NY SHR      COMMON    500472303         15       579 Shares                 X                  1        579      0       0
KOREA ELECTRIC POWER
 CORP SP ADR          COMMON    500631106          9       655 Shares                          X         1        655      0       0
KRAFT FOODS GROUP INC COMMON    50076Q106       4186     92064 Shares                 X                  1      91726      0     338
KRAFT FOODS GROUP INC COMMON    50076Q106       1298     28554 Shares                          X         1      27514      0    1040
KRAFT FOODS GROUP INC COMMON    50076Q106        407      8958 Shares                 X                  3       6985      0    1973
KRAFT FOODS GROUP INC COMMON    50076Q106         24       533 Shares                          X         4        533      0       0
KROGER COMPANY COMMON COMMON    501044101        171      6571 Shares                 X                  1       6571      0       0
KROGER COMPANY COMMON COMMON    501044101         13       500 Shares                          X         1          0      0     500
KT CORPORATION SP ADR COMMON    48268K101          4       235 Shares                          X         1        235      0       0
KUBOTA CORP-SPONS ADR COMMON    501173207         13       220 Shares                 X                  1        220      0       0
LAM RESEARCH CORP
 COMMON               COMMON    512807108        291      8061 Shares                 X                  1       8061      0       0
LAM RESEARCH CORP
 COMMON               COMMON    512807108        107      2950 Shares                 X                  3       2950      0       0
LAM RESEARCH CORP
 COMMON               COMMON    512807108         90      2500 Shares                 X                  3       2500      0       0
LEGG MASON INC        COMMON    524901105          9       345 Shares                 X                  1        345      0       0
LEGG MASON INC        COMMON    524901105          3       125 Shares                          X         1        125      0       0
LEGGETT & PLATT INC   COMMON    524660107        529     19431 Shares                 X                  1      19431      0       0
LEGGETT & PLATT INC   COMMON    524660107         34      1250 Shares                          X         1       1250      0       0
LEGGETT & PLATT INC   COMMON    524660107         36      1308 Shares                 X                  3       1308      0       0
LENNOX INTL INC COM   COMMON    526107107        317      6044 Shares                 X                  3       6044      0       0
LEXINGTON REALTY
 TRUST                COMMON    529043101         35      3315 Shares                 X                  1       3315      0       0
LIBERTY GLOBAL INC
 - CL A               COMMON    530555101         13       213 Shares                 X                  1        213      0       0
LIBERTY GLOBAL INC
 - CL A               COMMON    530555101         55       877 Shares                          X         1        877      0       0
LIBERTY GLOBAL INC
 CL C                 COMMON    530555309         13       216 Shares                 X                  1        216      0       0
LIBERTY GLOBAL INC
 CL C                 COMMON    530555309         83      1420 Shares                          X         1       1420      0       0
LIBERTY GLOBAL INC-
 CL B                 COMMON    530555200         34       543 Shares                          X         1        543      0       0
LIBERTY INTERACTIV
 CORPORATION          COMMON    53071M104         10       500 Shares                 X                  1        500      0       0
LIBERTY INTERACTIV
 CORPORATION          COMMON    53071M104         78      3967 Shares                          X         1       3967      0       0
LIBERTY INTERACTIVE
 CORPORATION          COMMON    53071M203         53      2714 Shares                          X         1       2714      0       0
LIBERTY MEDIA CORP    COMMON    530322205         63       543 Shares                          X         1        543      0       0
LIBERTY MEDIA CORP -
 LIBERTY A            COMMON    530322106         48       415 Shares                 X                  1        415      0       0
LIBERTY MEDIA CORP -
 LIBERTY A            COMMON    530322106        120      1037 Shares                          X         1       1037      0       0
LIBERTY VENTUR-A      COMMON    53071M880          2        25 Shares                 X                  1         25      0       0
LIBERTY VENTUR-A      COMMON    53071M880         13       198 Shares                          X         1        198      0       0
LIBERTY VENTUR-B      COMMON    53071M872          9       135 Shares                          X         1        135      0       0
LIFE TECHNOLOGIES
 CORP                 COMMON    53217V109        313      6382 Shares                 X                  1       6382      0       0
LIFE TECHNOLOGIES
 CORP                 COMMON    53217V109        208      4245 Shares                 X                  3       4245      0       0
LIHUA INTERNATIONAL
 INC                  COMMON    532352101          9      2000 Shares                          X         1       2000      0       0
LILLY ELI & COMPANY
 COMMON               COMMON    532457108       4365     88508 Shares                 X                  1      88308      0     200
LILLY ELI & COMPANY
 COMMON               COMMON    532457108       3970     80492 Shares                          X         1      79261      0    1231
LILLY ELI & COMPANY
 COMMON               COMMON    532457108        355      7189 Shares                 X                  3       6701      0     488
LILLY ELI & COMPANY
 COMMON               COMMON    532457108         49      1000 Shares                          X         4       1000      0       0
LIMITED BRANDS, INC
 COM                  COMMON    532716107       1052     22351 Shares                 X                  1      21901      0     450
LIMITED BRANDS, INC
 COM                  COMMON    532716107         14       294 Shares                          X         1         94      0     200
LIMITED BRANDS, INC
 COM                  COMMON    532716107        175      3710 Shares                 X                  3       3710      0       0
LIMITED BRANDS, INC
 COM                  COMMON    532716107        120      2540 Shares                 X                  3       2540      0       0
LINCOLN NATIONAL
 CORP COMMON          COMMON    534187109         26      1000 Shares                 X                  1       1000      0       0
LINEAR TECHNOLOGY
 CORP COM             COMMON    535678106         19       550 Shares                 X                  1        550      0       0
LINEAR TECHNOLOGY
 CORP COM             COMMON    535678106          4       110 Shares                          X         1          0      0     110
LINKEDIN CORP A       COMMON    53578A108        768      6688 Shares                 X                  1       6688      0       0
LINKEDIN CORP A       COMMON    53578A108         16       142 Shares                          X         1        142      0       0
LINN ENERGY LLC *     OTHER     536020100         81      2300 Shares                 X                  1       2300      0       0
LINN ENERGY LLC *     OTHER     536020100         33       947 Shares                          X         1        822      0     125
LKQ CORPORATION       COMMON    501889208        560     26550 Shares                 X                  1      26550      0       0
LKQ CORPORATION       COMMON    501889208        221     10480 Shares                 X                  3      10480      0       0
LKQ CORPORATION       COMMON    501889208        187      8850 Shares                 X                  3       8850      0       0
LLOYDS BANKING GROUP
 PLC                  COMMON    539439109          5      1424 Shares                 X                  1       1424      0       0
LOCKHEED MARTIN
 CORPORATION COM      COMMON    539830109       3007     32581 Shares                 X                  1      32581      0       0
LOCKHEED MARTIN
 CORPORATION COM      COMMON    539830109        892      9668 Shares                          X         1       9668      0       0
LOCKHEED MARTIN
 CORPORATION COM      COMMON    539830109         46       500 Shares                          X         4        500      0       0
LOEWS CORP            COMMON    540424108        161      3950 Shares                 X                  1       3950      0       0
LOEWS CORP            COMMON    540424108         17       405 Shares                          X         1        405      0       0
LORILLARD INC         COMMON    544147101        126      1076 Shares                 X                  1       1076      0       0
LORILLARD INC         COMMON    544147101          7        60 Shares                          X         1         60      0       0
LOWES COMPANIES INC   COMMON    548661107       3738    105232 Shares                 X                  1     105232      0       0
LOWES COMPANIES INC   COMMON    548661107        413     11640 Shares                          X         1      10540      0    1100
LOWES COMPANIES INC   COMMON    548661107         16       438 Shares                 X                  3        438      0       0
LSI CORPORATION       COMMON    502161102          0        14 Shares                          X         1         14      0       0
LUFKIN INDUSTRIES INC COMMON    549764108        262      4508 Shares                 X                  1       4508      0       0
LUFKIN INDUSTRIES INC COMMON    549764108        103      1775 Shares                 X                  3       1775      0       0
LUFKIN INDUSTRIES INC COMMON    549764108         87      1500 Shares                 X                  3       1500      0       0
LULULEMON ATHLETICA
 INC-W/I              COMMON    550021109       1850     24264 Shares                 X                  1      24264      0       0
LULULEMON ATHLETICA
 INC-W/I              COMMON    550021109         61       804 Shares                          X         1        804      0       0
LULULEMON ATHLETICA
 INC-W/I              COMMON    550021109        158      2070 Shares                 X                  3       2070      0       0
LULULEMON ATHLETICA
 INC-W/I              COMMON    550021109        133      1750 Shares                 X                  3       1750      0       0
LUXOTTICA GROUP
 SPA-SPON ADR         COMMON    55068R202         15       358 Shares                 X                  1        358      0       0
M & T BANK CORP       COMMON    55261F104     130928   1329626 Shares                 X                  1       7579      0 1322047
M & T BANK CORP       COMMON    55261F104      12211    124006 Shares                          X         1          0      0  124006
M & T BANK CORP       COMMON    55261F104       4793     48676 Shares                 X                  3      48676      0       0
M & T BANK CORP       COMMON    55261F104         15       150 Shares                          X         4          0      0     150
MACY'S INC            COMMON    55616P104        157      4021 Shares                 X                  1       4021      0       0
MACY'S INC            COMMON    55616P104          3        72 Shares                          X         1         72      0       0
MAGELLAN MIDSTREAM
 PARTNERS L.P. *      OTHER     559080106        244      5650 Shares                 X                  1       5650      0       0
MAGELLAN MIDSTREAM
 PARTNERS L.P. *      OTHER     559080106         18       424 Shares                          X         1        424      0       0
MAGNA INTERNATIONAL   COMMON    559222401         20       400 Shares                          X         1        400      0       0


                                    13 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
MAGNUM HUNTER
 RESOURCES CORP       COMMON    55973B102          0       100 Shares                          X         1          0      0     100
MAKO SURGICAL CORP    COMMON    560879108          6       500 Shares                          X         1        500      0       0
MANCHESTER UNITED
 PLC-CL A             COMMON    G5784H106          1       100 Shares                 X                  1        100      0       0
MANITOWOC CO INC COM  COMMON    563571108         12       750 Shares                 X                  1        750      0       0
MANPOWER INC WIS      COMMON    56418H100         64      1500 Shares                 X                  1       1500      0       0
MANULIFE FINANCIAL
 CORP                 COMMON    56501R106         24      1762 Shares                 X                  1       1762      0       0
MAP PHARMACEUTICALS
 INC                  COMMON    56509R108        224     14306 Shares                 X                  1      14306      0       0
MAP PHARMACEUTICALS
 INC                  COMMON    56509R108        164     10465 Shares                 X                  3      10465      0       0
MARATHON OIL CORP     COMMON    565849106        148      4825 Shares                 X                  1       4825      0       0
MARATHON OIL CORP     COMMON    565849106         33      1076 Shares                          X         1       1076      0       0
MARATHON PETROLEUM
 CORPORATION          COMMON    56585A102        271      4297 Shares                 X                  1       4297      0       0
MARATHON PETROLEUM
 CORPORATION          COMMON    56585A102         36       579 Shares                          X         1        579      0       0
MARKWEST ENERGY
 PARTNERS LP *        OTHER     570759100          4        75 Shares                 X                  1         75      0       0
MARKWEST ENERGY
 PARTNERS LP *        OTHER     570759100         10       200 Shares                          X         1        200      0       0
MARRIOTT INTL INC
 CL A                 COMMON    571903202         19       500 Shares                 X                  1        500      0       0
MARSH & MCLENNAN COS
 INC COM              COMMON    571748102         62      1800 Shares                          X         1       1800      0       0
MARVEL TECHNOLOGY
 GROUP LTD            COMMON    G5876H105          1       200 Shares                          X         1        200      0       0
MASCO CORP            COMMON    574599106          1        67 Shares                 X                  1         67      0       0
MASCO CORP            COMMON    574599106         17      1000 Shares                          X         1       1000      0       0
MASTERCARD INC CL A   COMMON    57636Q104        347       707 Shares                 X                  1        707      0       0
MASTERCARD INC CL A   COMMON    57636Q104         61       124 Shares                          X         1        124      0       0
MATSON INC            COMMON    57686G105        165      6661 Shares                 X                  1       6661      0       0
MATSON INC            COMMON    57686G105         13       530 Shares                          X         1        530      0       0
MATSON INC            COMMON    57686G105         14       569 Shares                 X                  3        569      0       0
MATTEL COMMON         COMMON    577081102        795     21705 Shares                 X                  1      21705      0       0
MATTEL COMMON         COMMON    577081102         84      2288 Shares                          X         1       2288      0       0
MATTEL COMMON         COMMON    577081102         78      2138 Shares                 X                  3       2138      0       0
MAXIM INTEGRATED
 PRODS INC COM        COMMON    57772K101        478     16254 Shares                 X                  1      16254      0       0
MAXIM INTEGRATED
 PRODS INC COM        COMMON    57772K101         40      1352 Shares                          X         1       1352      0       0
MAXIM INTEGRATED
 PRODS INC COM        COMMON    57772K101         33      1124 Shares                 X                  3       1124      0       0
MCCORMICK & CO INC    COMMON    579780107          3        50 Shares                 X                  3         50      0       0
MCCORMICK & CO-NON
 VTG SHS              COMMON    579780206       3176     49995 Shares                 X                  1      49995      0       0
MCCORMICK & CO-NON
 VTG SHS              COMMON    579780206        154      2425 Shares                          X         1       2425      0       0
MCDERMOTT INTL INC    COMMON    580037109         23      2050 Shares                 X                  1       2050      0       0
MCDERMOTT INTL INC    COMMON    580037109          6       550 Shares                          X         1        550      0       0
MCDONALD'S
 CORPORATION          COMMON    580135101       7414     84048 Shares                 X                  1      83973      0      75
MCDONALD'S
 CORPORATION          COMMON    580135101       3892     44119 Shares                          X         1      42054      0    2065
MCDONALD'S
 CORPORATION          COMMON    580135101        203      2300 Shares                          X         4       2300      0       0
MCEWEN MINING INC     COMMON    58039P107          2       440 Shares                 X                  1        440      0       0
MCGRAW HILL COMPANIES
 INC COMMON           COMMON    580645109        264      4830 Shares                 X                  1       4830      0       0
MCGRAW HILL COMPANIES
 INC COMMON           COMMON    580645109        971     17770 Shares                          X         1      14770      0    3000
MCKESSON CORPORATION
 COM                  COMMON    58155Q103         39       400 Shares                          X         1        400      0       0
MCMORAN EXPLORATION
 CO                   COMMON    582411104        161     10000 Shares                          X         1      10000      0       0
MDC HOLDINGS INC      COMMON    552676108        362      9861 Shares                 X                  1       9861      0       0
MDC HOLDINGS INC      COMMON    552676108         40      1098 Shares                          X         1       1098      0       0
MDC HOLDINGS INC      COMMON    552676108         41      1114 Shares                 X                  3       1114      0       0
MEAD JOHNSON
 NUTRITION CO         COMMON    582839106        155      2345 Shares                 X                  1       2345      0       0
MEAD JOHNSON
 NUTRITION CO         COMMON    582839106         14       218 Shares                          X         1        218      0       0
MEADWESTVACO CORP
 COMMON               COMMON    583334107       1544     48462 Shares                 X                  1      48462      0       0
MEADWESTVACO CORP
 COMMON               COMMON    583334107         71      2220 Shares                          X         1       2220      0       0
MEADWESTVACO CORP
 COMMON               COMMON    583334107         21       660 Shares                 X                  3        660      0       0
MEDIA GEN INC CL A    COMMON    584404107          6      1340 Shares                 X                  3       1340      0       0
MEDIDATA SOLUTIONS
 INC                  COMMON    58471A105          8       200 Shares                 X                  1        200      0       0
MEDTRONIC INC         COMMON    585055106        635     15489 Shares                 X                  1      15289      0     200
MEDTRONIC INC         COMMON    585055106        963     23478 Shares                          X         1      20628      0    2850
MEDTRONIC INC CONV
 1.625%  4/15/13 *    OTHER     585055AM8          5      5000 Shares                 X                  1          0      0    5000
MERCK & CO INC        COMMON    58933Y105      13273    324201 Shares                 X                  1     322542      0    1659
MERCK & CO INC        COMMON    58933Y105       6515    159137 Shares                          X         1     144361      0   14776
MERCK & CO INC        COMMON    58933Y105        544     13282 Shares                 X                  3      11282      0    2000
MERCK & CO INC        COMMON    58933Y105         72      1750 Shares                          X         4       1750      0       0
METLIFE INC           COMMON    59156R108       4605    139790 Shares                 X                  1     138838      0     952
METLIFE INC           COMMON    59156R108        341     10341 Shares                          X         1       6960      0    3381
METLIFE INC           COMMON    59156R108        809     24548 Shares                 X                  3      18627      0    5921
METRO BANCORP INC     COMMON    59161R101        370     28015 Shares                 X                  3      28015      0       0
MFS HIGH YIELD
 MUNICIPAL TRUST      PREFERRED 59318E102          3       600 Shares                          X         1          0      0     600
MFS INVESTMENT GRADE
 MUNICIPAL TRUST      PREFERRED 59318B108         12      1121 Shares                          X         1          0      0    1121
MFS MUN INCOME TR SH
 BEN INT              OTHER     552738106          2       300 Shares                          X         1          0      0     300
MICROCHIP TECHNOLOGY
 INC COM              COMMON    595017104        505     15501 Shares                 X                  1      15501      0       0
MICROCHIP TECHNOLOGY
 INC COM              COMMON    595017104        143      4378 Shares                          X         1       4378      0       0
MICROCHIP TECHNOLOGY
 INC COM              COMMON    595017104         40      1242 Shares                 X                  3       1242      0       0
MICROSOFT CORP        COMMON    594918104      14485    542296 Shares                 X                  1     536099      0    6197
MICROSOFT CORP        COMMON    594918104       6008    224946 Shares                          X         1     198664      0   26282
MICROSOFT CORP        COMMON    594918104        815     30495 Shares                 X                  3      23580      0    6915
MICROSOFT CORP        COMMON    594918104         93      3500 Shares                          X         4       3500      0       0
MICROSOFT CORP        COMMON    594918104         27      1001 Shares                 X                  3       1001      0       0
MID PENN BANCORP
 INCORPORATED         COMMON    59540G107         11      1000 Shares                 X                  1       1000      0       0
MINDRAY MEDICAL INTL
 LTD-ADR              COMMON    602675100         14       414 Shares                 X                  1        414      0       0
MITSUBISHI UFJ
 FINANCIAL GRP-ADR    COMMON    606822104         18      3273 Shares                 X                  1       3273      0       0
MITSUBISHI UFJ
 FINANCIAL GRP-ADR    COMMON    606822104         17      3180 Shares                          X         1       3180      0       0
MIZUHO FINANCIAL
 GROUP INC            COMMON    60687Y109          5      1415 Shares                          X         1       1415      0       0
MKS INSTRUMENTS INC   COMMON    55306N104        277     10755 Shares                 X                  1      10755      0       0
MKS INSTRUMENTS INC   COMMON    55306N104        200      7740 Shares                 X                  3       7740      0       0
MOLSON COORS BREWING
 COMPANY              COMMON    60871R209         26       600 Shares                          X         1        600      0       0
MONDELEZ
 INTERNATIONAL INC    COMMON    609207105       6127    240730 Shares                 X                  1     239720      0    1010
MONDELEZ
 INTERNATIONAL INC    COMMON    609207105       2285     89766 Shares                          X         1      86154      0    3612


                                    14 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
MONDELEZ
 INTERNATIONAL INC    COMMON    609207105        566     22250 Shares                 X                  3      16328      0    5922
MONDELEZ
 INTERNATIONAL INC    COMMON    609207105         51      2000 Shares                          X         4       2000      0       0
MONSANTO COMPANY      COMMON    61166W101       3038     32099 Shares                 X                  1      32099      0       0
MONSANTO COMPANY      COMMON    61166W101       1000     10561 Shares                          X         1      10561      0       0
MONSTER BEVERAGE CORP COMMON    611740101          9       178 Shares                 X                  1        178      0       0
MOODYS CORP           COMMON    615369105         66      1305 Shares                 X                  1       1305      0       0
MOODYS CORP           COMMON    615369105          9       170 Shares                          X         1        170      0       0
MOOG INC CL A         COMMON    615394202         12       300 Shares                 X                  1        300      0       0
MOOG INC CL A         COMMON    615394202       1374     33492 Shares                 X                  3      33492      0       0
MOOG INC CL B         COMMON    615394301       1211     29693 Shares                 X                  3      29693      0       0
MORGAN STANLEY GROUP
 INC                  COMMON    617446448        322     16850 Shares                 X                  1      16850      0       0
MORGAN STANLEY GROUP
 INC                  COMMON    617446448        118      6175 Shares                          X         1       3880      0    2295
MORGAN STANLEY GROUP
 INC                  COMMON    617446448         10       500 Shares                          X         4        500      0       0
MOSAIC CO THE         COMMON    61945C103        513      9060 Shares                 X                  1       9060      0       0
MOSAIC CO THE         COMMON    61945C103         66      1167 Shares                          X         1        667      0     500
MOTOROLA SOLUTIONS
 INC                  COMMON    620076307         70      1250 Shares                 X                  1       1250      0       0
MOTOROLA SOLUTIONS
 INC                  COMMON    620076307        116      2085 Shares                          X         1       2085      0       0
MURPHY OIL CORP
 COMMON               COMMON    626717102         12       197 Shares                 X                  1        197      0       0
MURPHY OIL CORP
 COMMON               COMMON    626717102         60      1000 Shares                          X         1       1000      0       0
MV OIL TRUST          COMMON    553859109          2       100 Shares                          X         1        100      0       0
MYLAN INC             COMMON    628530107         64      2317 Shares                 X                  1       2317      0       0
MYLAN INC             COMMON    628530107          2        86 Shares                          X         1         86      0       0
MYRIAD GENETICS INC   COMMON    62855J104          6       225 Shares                 X                  1        225      0       0
NABORS INDUSTRIES LTD COMMON    G6359F103         56      3880 Shares                 X                  1       3880      0       0
NABORS INDUSTRIES LTD COMMON    G6359F103         99      6850 Shares                          X         1       6850      0       0
NASDAQ OMX GROUP INC  COMMON    631103108         16       626 Shares                 X                  1        626      0       0
NATIONAL FUEL GAS CO
 COMMON               COMMON    636180101         86      1700 Shares                          X         1       1700      0       0
NATIONAL GRID GROUP
 PLC-ADR              COMMON    636274300        112      1945 Shares                 X                  1       1945      0       0
NATIONAL GRID GROUP
 PLC-ADR              COMMON    636274300         90      1566 Shares                          X         1       1566      0       0
NATIONAL INSTRUMENTS
 CORP COM             COMMON    636518102        256      9903 Shares                 X                  1       9903      0       0
NATIONAL INSTRUMENTS
 CORP COM             COMMON    636518102        101      3915 Shares                 X                  3       3915      0       0
NATIONAL INSTRUMENTS
 CORP COM             COMMON    636518102         86      3325 Shares                 X                  3       3325      0       0
NATIONAL OILWELL
 VARCO INC            COMMON    637071101       4906     71776 Shares                 X                  1      71041      0     735
NATIONAL OILWELL
 VARCO INC            COMMON    637071101        237      3464 Shares                          X         1       2795      0     669
NATIONAL OILWELL
 VARCO INC            COMMON    637071101        431      6313 Shares                 X                  3       5080      0    1233
NATIONAL OILWELL
 VARCO INC            COMMON    637071101         34       500 Shares                          X         4        500      0       0
NATIONAL PENN
 BANCSHARES INC       COMMON    637138108         14      1500 Shares                 X                  1       1500      0       0
NATIONAL PENN
 BANCSHARES INC       COMMON    637138108         75      8001 Shares                 X                  3       8001      0       0
NATIONAL RETAIL
 PROPERTIES INC       COMMON    637417106         86      2750 Shares                 X                  1       2750      0       0
NAVISTAR
 INTERNATIONAL CORP   COMMON    63934E108          2       100 Shares                 X                  1        100      0       0
NBT BANCORP INC. COM  COMMON    628778102       4278    211059 Shares                 X                  3     211059      0       0
NETAPP APPLIANCE INC  COMMON    64110D104         14       418 Shares                 X                  1        418      0       0
NEW YORK COMMUNITY
 BANCORP INC          COMMON    649445103        768     58632 Shares                 X                  1      58632      0       0
NEW YORK COMMUNITY
 BANCORP INC          COMMON    649445103        115      8797 Shares                          X         1       8797      0       0
NEW YORK COMMUNITY
 BANCORP INC          COMMON    649445103         73      5566 Shares                 X                  3       5566      0       0
NEWELL RUBBERMAID
 INC COM              COMMON    651229106         67      3000 Shares                          X         1       3000      0       0
NEWFIELD EXPLORATION
 CO COMMON            COMMON    651290108          2        65 Shares                          X         1         65      0       0
NEWMARKET CORPORATION COMMON    651587107       3101     11827 Shares                 X                  1      11827      0       0
NEWMARKET CORPORATION COMMON    651587107       1927      7350 Shares                          X         1       7350      0       0
NEWMARKET CORPORATION COMMON    651587107         58       222 Shares                 X                  3        222      0       0
NEWMONT MINING CORP
 COMMON               COMMON    651639106         24       526 Shares                 X                  1        526      0       0
NEWMONT MINING CORP
 COMMON               COMMON    651639106         42       900 Shares                          X         1          0      0     900
NEWS CORP INC-A       COMMON    65248E104         22       854 Shares                 X                  1        854      0       0
NEWS CORP INC-A       COMMON    65248E104         27      1073 Shares                          X         1       1073      0       0
NEWS CORP-CLASS B     COMMON    65248E203         17       662 Shares                 X                  1        662      0       0
NEXTERA ENERGY INC    COMMON    65339F101       4555     65826 Shares                 X                  1      65751      0      75
NEXTERA ENERGY INC    COMMON    65339F101       3498     50559 Shares                          X         1      44409      0    6150
NEXTERA ENERGY INC    COMMON    65339F101         37       536 Shares                 X                  3        536      0       0
NIKE INC CL B         COMMON    654106103       1633     31648 Shares                 X                  1      31648      0       0
NIKE INC CL B         COMMON    654106103        242      4691 Shares                          X         1       4101      0     590
NIPPON TELEGRAPH &
 TELE ADR             COMMON    654624105         16       783 Shares                 X                  1        783      0       0
NIPPON TELEGRAPH &
 TELE  ADR            COMMON    654624105         16       745 Shares                          X         1        745      0       0
NISOURCE INC          COMMON    65473P105        127      5102 Shares                 X                  1       5102      0       0
NISOURCE INC          COMMON    65473P105        101      4061 Shares                          X         1       4061      0       0
NOBLE CORPORATION     COMMON    H5833N103         78      2250 Shares                 X                  1       2250      0       0
NOBLE CORPORATION     COMMON    H5833N103         23       650 Shares                          X         1        650      0       0
NOBLE ENERGY INC      COMMON    655044105        566      5568 Shares                 X                  1       5568      0       0
NOBLE ENERGY INC      COMMON    655044105        147      1440 Shares                 X                  3       1440      0       0
NOBLE ENERGY INC      COMMON    655044105        123      1210 Shares                 X                  3       1210      0       0
NOKIA CORP SPONSORED
 ADR                  COMMON    654902204          9      2360 Shares                 X                  1       2360      0       0
NOKIA CORP SPONSORED
 ADR                  COMMON    654902204         16      4045 Shares                          X         1       4045      0       0
NOMURA HLDGS INC      COMMON    65535H208          5       875 Shares                          X         1        875      0       0
NORDSTROM INC COM     COMMON    655664100        826     15430 Shares                 X                  1      15430      0       0
NORDSTROM INC COM     COMMON    655664100          5        86 Shares                          X         1         86      0       0
NORDSTROM INC COM     COMMON    655664100        176      3285 Shares                 X                  3       3285      0       0
NORDSTROM INC COM     COMMON    655664100        123      2300 Shares                 X                  3       2300      0       0
NORFOLK SOUTHERN CORP COMMON    655844108       1325     21420 Shares                 X                  1      21220      0     200
NORFOLK SOUTHERN CORP COMMON    655844108        352      5690 Shares                          X         1       2990      0    2700
NORTHEAST UTILITIES
 COM                  COMMON    664397106          8       196 Shares                 X                  1        196      0       0
NORTHROP GRUMMAN CORP COMMON    666807102        136      2007 Shares                 X                  1       2007      0       0
NORTHROP GRUMMAN CORP COMMON    666807102        128      1898 Shares                          X         1       1898      0       0
NOVARTIS AG ADR       COMMON    66987V109       1636     25846 Shares                 X                  1      25709      0     137
NOVARTIS AG ADR       COMMON    66987V109        634     10015 Shares                          X         1       9930      0      85
NOVAVAX INC           COMMON    670002104         19     10000 Shares                 X                  1      10000      0       0
NRG ENERGY INC        COMMON    629377508          0         5 Shares                 X                  1          5      0       0


                                    15 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
NUANCE COMMUNICATIONS
 INC                  COMMON    67020Y100        185      8267 Shares                 X                  1       8267      0       0
NUANCE COMMUNICATIONS
 INC                  COMMON    67020Y100        114      5115 Shares                 X                  3       5115      0       0
NUCOR CORP COMMON     COMMON    670346105         51      1178 Shares                 X                  1       1178      0       0
NUCOR CORP COMMON     COMMON    670346105        498     11550 Shares                          X         1      11550      0       0
NUSTAR ENERGY LP *    OTHER     67058H102          8       200 Shares                          X         1        200      0       0
NUVEEN CA DIV
 ADVANTAGE MUNI FD 2  PREFERRED 67069X104         98      6300 Shares                 X                  1          0      0    6300
NUVEEN CREDIT
 STRATEGIES INCOME
 FUND                 PREFERRED 67073D102         18      1860 Shares                 X                  1          0      0    1860
NUVEEN EQUITY PREMIUM
 ADVANTAGE FUND       PREFERRED 6706ET107          2       200 Shares                 X                  1          0      0     200
NUVEEN INVT QUALITY
 MUNI FD              PREFERRED 67062E103         21      1301 Shares                 X                  1          0      0    1301
NUVEEN INVT QUALITY
 MUNI FD              PREFERRED 67062E103          5       333 Shares                          X         1          0      0     333
NUVEEN MARYLAND
 PREMIUM INC MUNI FD  PREFERRED 67061Q107          5       311 Shares                 X                  1          0      0     311
NUVEEN MUNI MKT
 OPPORTUNITY          PREFERRED 67062W103         19      1304 Shares                 X                  1          0      0    1304
NUVEEN MUNICIPAL
 INCOME FUND          PREFERRED 67062J102         28      2330 Shares                 X                  1          0      0    2330
NUVEEN MUNICIPAL
 OPPORTUNITY FD INC   PREFERRED 670984103          6       396 Shares                          X         1          0      0     396
NUVEEN MUNICIPAL
 VALUE FUND           PREFERRED 670928100         51      4944 Shares                 X                  1          0      0    4944
NUVEEN MUNICIPAL
 VALUE FUND           PREFERRED 670928100          6       594 Shares                          X         1          0      0     594
NUVEEN NY PERFORMANCE
 PLUS MUNI FD         PREFERRED 67062R104          8       500 Shares                          X         1          0      0     500
NUVEEN PA DIVIDEND
 ADVANTAGE MUNI FD    PREFERRED 67070E103         45      3000 Shares                 X                  1          0      0    3000
NUVEEN PA DVD ADV
 MUNI FD 2            PREFERRED 67071W102         45      3000 Shares                 X                  1          0      0    3000
NUVEEN PA INVESTMENT
 QUALITY MUNI FD      PREFERRED 670972108        148      9486 Shares                 X                  1          0      0    9486
NUVEEN PA INVESTMENT
 QUALITY MUNI FD      PREFERRED 670972108         56      3600 Shares                          X         1          0      0    3600
NUVEEN PA PREM INCOME
 MUN FD 2             PREFERRED 67061F101        160     10629 Shares                 X                  1          0      0   10629
NUVEEN PERFORMANCE
 PLUS MUNI FD         PREFERRED 67062P108          6       390 Shares                          X         1          0      0     390
NUVEEN PREMIER
 MUNICIPAL OPPRTY
 FUND                 PREFERRED 670987106          6       410 Shares                 X                  1          0      0     410
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 QUALITY MUNI
 FD                   PREFERRED 67062N103         18      1200 Shares                 X                  1          0      0    1200
NUVEEN QUALITY PFD
 INCOME FD 2          PREFERRED 67072C105         30      3135 Shares                 X                  1          0      0    3135
NUVEEN QUALITY PFD
 INCOME FD 3          PREFERRED 67072W101         12      1400 Shares                 X                  1          0      0    1400
NUVEEN QUALITY PFD
 INCOME FD 3          PREFERRED 67072W101          6       700 Shares                          X         1          0      0     700
NUVEEN QUALITY
 PREFERRED INCOME
 FUND                 PREFERRED 67071S101         12      1400 Shares                 X                  1          0      0    1400
NUVEEN SELECT
 MATURITIES MUNI FUND PREFERRED 67061T101         26      2550 Shares                 X                  1          0      0    2550
NUVEEN SELECT QUALITY
 MUNICIPAL FUND       PREFERRED 670973106          6       406 Shares                          X         1          0      0     406
NUVEEN SELECT TF
 INCOME PORTFOLIO 2   PREFERRED 67063C106         31      2181 Shares                          X         1          0      0    2181
NV ENERGY INC         COMMON    67073Y106         17       920 Shares                          X         1        920      0       0
NVIDIA CORP COM       COMMON    67066G104         23      1847 Shares                 X                  1       1847      0       0
OCCIDENTAL PETROLEUM
 CORP COMMON          COMMON    674599105        399      5214 Shares                 X                  1       5214      0       0
OCCIDENTAL PETROLEUM
 CORP COMMON          COMMON    674599105        352      4589 Shares                          X         1       4589      0       0
OCCIDENTAL PETROLEUM
 CORP COMMON          COMMON    674599105         17       225 Shares                 X                  3         18      0     207
ODYSSEY MARINE        COMMON    676118102         15      5000 Shares                 X                  1       5000      0       0
OGE ENERGY CORP COM   COMMON    670837103         23       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
OLD LINE BANCSHARES
 INC                  COMMON    67984M100          6       500 Shares                 X                  1        500      0       0
OLD NATIONAL BANCORP
 COM                  COMMON    680033107         24      2000 Shares                 X                  1       2000      0       0
OLD REPUBLIC INTL
 CORP  COM            COMMON    680223104        581     54513 Shares                 X                  1      54513      0       0
OLD REPUBLIC INTL
 CORP COM             COMMON    680223104         65      6094 Shares                          X         1       6094      0       0
OLD REPUBLIC INTL
 CORP COM             COMMON    680223104         64      5967 Shares                 X                  3       5967      0       0
OLIN CORP COM         COMMON    680665205         16       750 Shares                 X                  1        750      0       0
OMNICOM GROUP INC COM COMMON    681919106        435      8715 Shares                 X                  1       8715      0       0
OMNICOM GROUP INC COM COMMON    681919106         35       698 Shares                          X         1        698      0       0
ONCOTHYREON INC       COMMON    682324108          2       833 Shares                 X                  1        150      0     683
ONEBEACON INSURANCE
 GROUP LTD            COMMON    G67742109        549     39503 Shares                 X                  1      39503      0       0
ONEBEACON INSURANCE
 GROUP LTD            COMMON    G67742109         60      4308 Shares                          X         1       4308      0       0
ONEBEACON INSURANCE
 GROUP LTD            COMMON    G67742109         64      4616 Shares                 X                  3       4616      0       0
ONEOK INC             COMMON    682680103         60      1400 Shares                 X                  1       1400      0       0
ONEOK PARTNERS
 LP *                 OTHER     68268N103         27       500 Shares                 X                  1        500      0       0
ONEOK PARTNERS
 LP *                 OTHER     68268N103         97      1800 Shares                          X         1       1800      0       0
ORACLE CORPORATION
 COM                  COMMON    68389X105       6287    188690 Shares                 X                  1     186281      0    2409
ORACLE CORPORATION
 COM                  COMMON    68389X105        796     23878 Shares                          X         1      19918      0    3960
ORACLE CORPORATION
 COM                  COMMON    68389X105        952     28575 Shares                 X                  3      21748      0    6827
O'REILLY AUTOMOTIVE
 INC                  COMMON    67103H107          8        94 Shares                 X                  1         94      0       0
OSHKOSH CORPORATION   COMMON    688239201          6       200 Shares                 X                  1        200      0       0
OWENS CORNING INC
 WTS 10/31/13         COMMON    690742127          0        34 Shares                 X                  1         34      0       0
OXIGENE INC           COMMON    691828305          0       250 Shares                 X                  1        250      0       0
P G & E CORP          COMMON    69331C108        126      3135 Shares                 X                  1       3135      0       0
P G & E CORP          COMMON    69331C108        148      3688 Shares                          X         1       2188      0    1500
PAA NATURAL GAS
 STORAGE LP *         OTHER     693139107         10       500 Shares                          X         1        500      0       0
PACCAR INC            COMMON    693718108         11       250 Shares                 X                  1        250      0       0
PACKAGING CORP OF
 AMER COM             COMMON    695156109        302      7855 Shares                 X                  1       7855      0       0
PACKAGING CORP OF
 AMER COM             COMMON    695156109         40      1047 Shares                          X         1       1047      0       0
PACKAGING CORP OF
 AMER COM             COMMON    695156109         34       884 Shares                 X                  3        884      0       0
PALL CORP COM         COMMON    696429307        329      5465 Shares                 X                  1       5465      0       0
PALL CORP COM         COMMON    696429307        125      2080 Shares                 X                  3       2080      0       0
PALL CORP COM         COMMON    696429307        107      1780 Shares                 X                  3       1780      0       0
PAN AMERICAN SILVER
 CORP                 COMMON    697900108          3       150 Shares                 X                  1        150      0       0
PANASONIC CORP SPONS
 ADR                  COMMON    69832A205          5       875 Shares                          X         1        875      0       0
PANERA BREAD CO CL-A  COMMON    69840W108        366      2302 Shares                 X                  1       2302      0       0
PANERA BREAD CO CL-A  COMMON    69840W108        261      1645 Shares                 X                  3       1645      0       0
PARKER HANNIFIN CORP  COMMON    701094104        150      1758 Shares                 X                  1       1758      0       0
PARKER HANNIFIN CORP  COMMON    701094104        103      1216 Shares                          X         1       1216      0       0
PATTERSON-UTI ENERGY
 INC                  COMMON    703481101         12       635 Shares                 X                  1        635      0       0
PAYCHEX INC COM       COMMON    704326107       1628     52363 Shares                 X                  1      52363      0       0
PAYCHEX INC COM       COMMON    704326107        290      9324 Shares                          X         1       9324      0       0
PAYCHEX INC COM       COMMON    704326107         60      1918 Shares                 X                  3       1918      0       0


                                    16 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
PAYCHEX INC COM       COMMON    704326107      54430   1750163 Shares                 X                  3    1750163      0       0
PEABODY ENERGY CORP   COMMON    704549104        441     16562 Shares                 X                  1      16562      0       0
PEABODY ENERGY CORP   COMMON    704549104         84      3160 Shares                          X         1       3160      0       0
PEABODY ENERGY CORP   COMMON    704549104         95      3580 Shares                 X                  3       3580      0       0
PEABODY ENERGY CORP   COMMON    704549104         80      3020 Shares                 X                  3       3020      0       0
PENN NATL GAMING INC  COMMON    707569109         49      1000 Shares                 X                  1       1000      0       0
PENN WEST ENERGY
 PETROLEUM LTD        COMMON    707887105         22      2000 Shares                          X         1       2000      0       0
PENNS WOODS BANCORP
 INC.                 COMMON    708430103         37      1000 Shares                 X                  1       1000      0       0
PENTAIR LTD           COMMON    H6169Q108         16       316 Shares                 X                  1        316      0       0
PENTAIR LTD           COMMON    H6169Q108        209      4262 Shares                          X         1       4070      0     192
PEOPLES UNITED
 FINANCIAL INC        COMMON    712704105        637     52701 Shares                 X                  1      52701      0       0
PEOPLES UNITED
 FINANCIAL INC        COMMON    712704105         69      5694 Shares                          X         1       5694      0       0
PEOPLES UNITED
 FINANCIAL INC        COMMON    712704105         65      5416 Shares                 X                  3       5416      0       0
PEPCO HOLDINGS INC    COMMON    713291102        261     13335 Shares                 X                  1      12572      0     763
PEPCO HOLDINGS INC    COMMON    713291102        175      8912 Shares                          X         1       6629      0    2283
PEPSICO INC COM       COMMON    713448108      20143    294353 Shares                 X                  1     292199      0    2154
PEPSICO INC COM       COMMON    713448108      10460    152862 Shares                          X         1     141662      0   11200
PEPSICO INC COM       COMMON    713448108        878     12833 Shares                 X                  3       9508      0    3325
PEPSICO INC COM       COMMON    713448108        116      1700 Shares                          X         4       1700      0       0
PEPSICO INC COM       COMMON    713448108       1774     25931 Shares                 X                  3      25931      0       0
PERKINELMER INC COM   COMMON    714046109        119      3750 Shares                          X         1       3750      0       0
PERRIGO COMPANY       COMMON    714290103       2300     22111 Shares                 X                  1      22111      0       0
PERRIGO COMPANY       COMMON    714290103         74       710 Shares                          X         1        710      0       0
PERRIGO COMPANY       COMMON    714290103        186      1790 Shares                 X                  3       1790      0       0
PERRIGO COMPANY       COMMON    714290103        153      1470 Shares                 X                  3       1470      0       0
PETROCHINA CO LTD ADR COMMON    71646E100         18       125 Shares                          X         1        125      0       0
PETROLEO BRASILEIRO
 SA SPNS ADR          COMMON    71654V408         54      2749 Shares                 X                  1       2749      0       0
PETROLEO BRASILEIRO
 SA SPNS ADR          COMMON    71654V408         15       760 Shares                          X         1        760      0       0
PETSMART INC COMMON   COMMON    716768106        161      2350 Shares                 X                  1       2350      0       0
PETSMART INC COMMON   COMMON    716768106         21       300 Shares                          X         1        300      0       0
PFD SUNPOWER CORP
 "ONE"                COMMON    867652406          1       200 Shares                 X                  1        200      0       0
PFIZER INC            COMMON    717081103      17019    678597 Shares                 X                  1     676854      0    1743
PFIZER INC            COMMON    717081103      10174    405686 Shares                          X         1     361608      0   44078
PFIZER INC            COMMON    717081103        510     20349 Shares                 X                  3      17849      0    2500
PFIZER INC            COMMON    717081103          8       311 Shares                 X                  3        311      0       0
PHILIP MORRIS INTL
 INC                  COMMON    718172109      20984    250880 Shares                 X                  1     248840      0    2040
PHILIP MORRIS INTL
 INC                  COMMON    718172109       8420    100675 Shares                          X         1      94910      0    5765
PHILIP MORRIS INTL
 INC                  COMMON    718172109        787      9414 Shares                 X                  3       9414      0       0
PHILIP MORRIS INTL
 INC                  COMMON    718172109        146      1750 Shares                          X         4       1750      0       0
PHILLIPS 66           COMMON    718546104       4431     83441 Shares                 X                  1      83047      0     394
PHILLIPS 66           COMMON    718546104       1252     23583 Shares                          X         1      20878      0    2705
PHILLIPS 66           COMMON    718546104        380      7152 Shares                 X                  3       5427      0    1725
PHILLIPS 66           COMMON    718546104         80      1500 Shares                          X         4       1500      0       0
PHOENIX COMPANIES INC COMMON    71902E604          1        53 Shares                 X                  1         53      0       0
PICO HOLDINGS INC COM COMMON    693366205          1        57 Shares                 X                  1         57      0       0
PIEDMONT NAT GAS INC  COMMON    720186105         56      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        195     10792 Shares                 X                  1      10792      0       0
PIMCO NEW YORK
 MUNICIPAL II         PREFERRED 72200Y102         15      1147 Shares                          X         1          0      0    1147
PINNACLE WEST CAPITAL
 CORP                 COMMON    723484101          5       100 Shares                          X         1        100      0       0
PIONEER MUNI HIGH
 INCOME ADV TRUST     PREFERRED 723762100         23      1500 Shares                 X                  1          0      0    1500
PITNEY BOWES INC COM  COMMON    724479100          1       118 Shares                 X                  1        118      0       0
PLAINS ALL AMERICAN
 PIPELINE L P *       OTHER     726503105         23       500 Shares                          X         1        500      0       0
PLUM CREEK TIMBER CO
 INC                  COMMON    729251108        148      3340 Shares                 X                  1       3340      0       0
PNC FINANCIAL
 SERVICES GROUP INC   COMMON    693475105       6347    108853 Shares                 X                  1     107553      0    1300
PNC FINANCIAL
 SERVICES GROUP INC   COMMON    693475105       1236     21196 Shares                          X         1      16866      0    4330
PNC FINANCIAL
 SERVICES GROUP INC   COMMON    693475105       2222     38114 Shares                 X                  3      38114      0       0
POLYPORE
 INTERNATIONAL INC    COMMON    73179V103         10       218 Shares                 X                  1        218      0       0
POLYPORE
 INTERNATIONAL INC    COMMON    73179V103          8       166 Shares                          X         1        166      0       0
PORTUGAL TELECOM SGPS
 S A SPONS ADR        COMMON    737273102          8      1614 Shares                          X         1       1614      0       0
POSCO - ADR           COMMON    693483109         19       229 Shares                 X                  1        229      0       0
POTASH CORP OF
 SASKATCHEWAN INC     COMMON    73755L107        280      6891 Shares                 X                  1       6891      0       0
POTASH CORP OF
 SASKATCHEWAN INC     COMMON    73755L107         41      1004 Shares                          X         1       1004      0       0
POWERSHARES DB COMM
 IDX TRACKING ETF     PREFERRED 73935S105         86      3096 Shares                 X                  1          0      0    3096
POWERSHARES DB US
 DOLLAR BEARISH ETF   PREFERRED 73936D206         54      2000 Shares                 X                  1          0      0    2000
POWERSHARES GLOBAL
 WATER PORTFOLIO      COMMON    73935X575         27      1300 Shares                 X                  1       1300      0       0
POWERSHARES QQQ       PREFERRED 73935A104       1081     16604 Shares                 X                  1          0      0   16604
PPG INDUSTRIES COMMON COMMON    693506107       1568     11585 Shares                 X                  1      10785      0     800
PPG INDUSTRIES COMMON COMMON    693506107        933      6890 Shares                          X         1       6890      0       0
PPL CORP COM          COMMON    69351T106       5833    203751 Shares                 X                  1     201998      0    1753
PPL CORP COM          COMMON    69351T106       1078     37640 Shares                          X         1      32650      0    4990
PPL CORP COM          COMMON    69351T106        820     28644 Shares                 X                  3      22909      0    5735
PRAXAIR INC COM       COMMON    74005P104        296      2707 Shares                 X                  1       2707      0       0
PRAXAIR INC COM       COMMON    74005P104        325      2971 Shares                          X         1       2771      0     200
PRECISION CASTPARTS
 CORP COM             COMMON    740189105        967      5107 Shares                 X                  1       5107      0       0
PRECISION CASTPARTS
 CORP COM             COMMON    740189105          8        40 Shares                          X         1         40      0       0
PRECISION CASTPARTS
 CORP COM             COMMON    740189105        381      2013 Shares                 X                  3       1863      0     150
PRECISION CASTPARTS
 CORP COM             COMMON    740189105         98       520 Shares                 X                  3        520      0       0
PRICELINE.COM
 INCORPORATED         COMMON    741503403       1732      2791 Shares                 X                  1       2791      0       0
PRICELINE.COM
 INCORPORATED         COMMON    741503403         66       106 Shares                          X         1        106      0       0
PRINCIPAL FINANCIAL
 GROUP COMMON         COMMON    74251V102         23       795 Shares                 X                  1        795      0       0
PRINCIPAL FINANCIAL
 GROUP COMMON         COMMON    74251V102         59      2070 Shares                 X                  3       2070      0       0
PROCTER & GAMBLE CO
 COM                  COMMON    742718109      23357    344041 Shares                 X                  1     343411      0     630
PROCTER & GAMBLE CO
 COM                  COMMON    742718109      26469    389878 Shares                          X         1     310125      0   79753
PROCTER & GAMBLE CO
 COM                  COMMON    742718109        450      6629 Shares                 X                  3       3823      0    2806


                                    17 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
PROCTER & GAMBLE CO
 COM                  COMMON    742718109        289      4250 Shares                          X         4       4250      0       0
PROCTER & GAMBLE CO
 COM                  COMMON    742718109       3735     55018 Shares                 X                  3      55018      0       0
PROGRESSIVE CORP COM  COMMON    743315103         86      4087 Shares                 X                  1       4087      0       0
PROGRESSIVE CORP COM  COMMON    743315103         15       711 Shares                          X         1        711      0       0
PROLOGIS INC          COMMON    74340W103          1        38 Shares                 X                  1         38      0       0
PROSHARES SHORT S&P
 500                  PREFERRED 74347R503          7       200 Shares                          X         1          0      0     200
PROSHARES TRUST       PREFERRED 74347B300          1        25 Shares                          X         1          0      0      25
PROSHARES ULTRASHORT
 20+Y TR              PREFERRED 74347B201          8       125 Shares                 X                  1          0      0     125
PROSPECT CAPITAL
 CORPORATION          COMMON    74348T102         28      2583 Shares                 X                  1        583      0    2000
PROVIDENT NEW YORK
 BANCORP              COMMON    744028101         21      2225 Shares                          X         1       2225      0       0
PRUDENTIAL FINANCIAL
 INC                  COMMON    744320102        181      3390 Shares                 X                  1       3390      0       0
PRUDENTIAL FINANCIAL
 INC                  COMMON    744320102         36       683 Shares                          X         1        683      0       0
PRUDENTIAL PLC-ADR    COMMON    74435K204         16       554 Shares                 X                  1        554      0       0
PUBLIC SVC ENTERPRISE
 GROUP INC            COMMON    744573106        183      5972 Shares                 X                  1       5972      0       0
PUBLIC SVC ENTERPRISE
 GROUP INC            COMMON    744573106        111      3634 Shares                          X         1       3634      0       0
PVH CORP              COMMON    693656100        658      5925 Shares                 X                  1       5925      0       0
PVH CORP              COMMON    693656100        246      2215 Shares                 X                  3       2215      0       0
PVH CORP              COMMON    693656100        205      1845 Shares                 X                  3       1845      0       0
QEP RESOURCES INC     COMMON    74733V100          6       200 Shares                 X                  1        200      0       0
QEP RESOURCES INC     COMMON    74733V100         97      3200 Shares                          X         1       3200      0       0
QLT INC               COMMON    746927102         16      2000 Shares                 X                  1       2000      0       0
QUALCOMM INC COM      COMMON    747525103      10849    175374 Shares                 X                  1     174584      0     790
QUALCOMM INC COM      COMMON    747525103       1002     16205 Shares                          X         1      12735      0    3470
QUALCOMM INC COM      COMMON    747525103       1272     20570 Shares                 X                  3      15705      0    4865
QUALITY SYSTEMS
 INCORPORATED         COMMON    747582104          1        70 Shares                 X                  1         70      0       0
QUEST DIAGNOSTICS INC COMMON    74834L100          1        20 Shares                 X                  1         20      0       0
QUEST DIAGNOSTICS INC COMMON    74834L100        134      2300 Shares                          X         1       2000      0     300
QUESTAR CORP          COMMON    748356102         24      1200 Shares                 X                  1       1200      0       0
QUESTAR CORP          COMMON    748356102         75      3800 Shares                          X         1       3800      0       0
QUESTCOR
 PHARMACEUTICALS INC  COMMON    74835Y101         24       900 Shares                 X                  1        900      0       0
RALPH LAUREN CORP     COMMON    751212101         13        86 Shares                 X                  1         86      0       0
RAYMOND JAMES
 FINANCIAL INC        COMMON    754730109        499     12938 Shares                 X                  1      12938      0       0
RAYMOND JAMES
 FINANCIAL INC        COMMON    754730109        197      5110 Shares                 X                  3       5110      0       0
RAYMOND JAMES
 FINANCIAL INC        COMMON    754730109        164      4250 Shares                 X                  3       4250      0       0
RAYTHEON CO COM NEW   COMMON    755111507        120      2083 Shares                 X                  1       2083      0       0
RAYTHEON CO COM NEW   COMMON    755111507        212      3675 Shares                          X         1       3675      0       0
REALTY INCOME CORP    COMMON    756109104         53      1309 Shares                          X         1       1309      0       0
REAVES UTILITY INCOME
 FUND                 PREFERRED 756158101         12       500 Shares                 X                  1          0      0     500
REED ELSEVIER NV
 SPONSORED ADR        COMMON    758204200          2        68 Shares                 X                  1         68      0       0
REGENCY ENERGY
 PARTNERS LP *        OTHER     75885Y107         26      1200 Shares                 X                  1       1200      0       0
REGENERON
 PHARMACEUTICALS      COMMON    75886F107        312      1826 Shares                 X                  1       1826      0       0
REGENERON
 PHARMACEUTICALS      COMMON    75886F107        223      1305 Shares                 X                  3       1305      0       0
REGIONS FINANCIAL
 CORP                 COMMON    7591EP100         30      4271 Shares                          X         1       4271      0       0
REPUBLIC SERVICES INC
 COMMON               COMMON    760759100          1        41 Shares                 X                  1         41      0       0
RESEARCH IN MOTION
 LIMITED              COMMON    760975102         28      2317 Shares                 X                  1       2317      0       0
RESMED INC            COMMON    761152107        358      8621 Shares                 X                  1       8621      0       0
RESMED INC            COMMON    761152107        145      3500 Shares                 X                  3       3500      0       0
RESMED INC            COMMON    761152107        123      2950 Shares                 X                  3       2950      0       0
REYNOLDS AMERICAN INC COMMON    761713106         73      1762 Shares                 X                  1       1762      0       0
REYNOLDS AMERICAN INC COMMON    761713106         55      1320 Shares                          X         1       1320      0       0
RGC RESOURCES INC     COMMON    74955L103         35      1900 Shares                 X                  1       1900      0       0
RGC RESOURCES INC     COMMON    74955L103         11       600 Shares                          X         1        600      0       0
RIO TINTO PLC
 SPONSORED ADR        COMMON    767204100         43       743 Shares                 X                  1        743      0       0
RIO TINTO PLC
 SPONSORED ADR        COMMON    767204100         23       400 Shares                          X         1        400      0       0
RITE AID CORP COM     COMMON    767754104         52     38300 Shares                 X                  1      37000      0    1300
RITE AID CORP COM     COMMON    767754104         45     33201 Shares                 X                  3      33201      0       0
ROBERT HALF INTL INC
 COM                  COMMON    770323103         19       605 Shares                          X         1        500      0     105
ROCKWELL AUTOMATION
 INC.                 COMMON    773903109       1051     12516 Shares                 X                  1      12516      0       0
ROCKWELL AUTOMATION
 INC.                 COMMON    773903109        359      4275 Shares                          X         1       4125      0     150
ROCKWELL AUTOMATION
 INC.                 COMMON    773903109        164      1950 Shares                 X                  3       1950      0       0
ROCKWELL AUTOMATION
 INC.                 COMMON    773903109        180      2141 Shares                 X                  3       2141      0       0
ROCKWELL COLLINS COM  COMMON    774341101        214      3682 Shares                 X                  1       3682      0       0
ROCKWELL COLLINS COM  COMMON    774341101        116      2000 Shares                          X         1       1920      0      80
ROGERS COMMUNICATIONS
 INC CL B             COMMON    775109200          9       200 Shares                 X                  1        200      0       0
ROPER INDUSTRIES INC  COMMON    776696106          9        77 Shares                 X                  1         77      0       0
ROSS STORES INC COM   COMMON    778296103         57      1046 Shares                 X                  1       1046      0       0
ROSS STORES INC COM   COMMON    778296103        254      4700 Shares                          X         1       4700      0       0
ROYAL BANK SCOTLAND
 PFD 6.35% SER N      PREFERRED 780097770         23      1000 Shares                 X                  1          0      0    1000
ROYAL BANK
 SCOTLAND-SPON ADR    COMMON    780097689          3       281 Shares                          X         1        281      0       0
ROYAL BK CANADA       COMMON    780087102         24       400 Shares                 X                  1        400      0       0
ROYAL BK CANADA       COMMON    780087102         60      1000 Shares                          X         1       1000      0       0
ROYAL DUTCH SHELL
 PLC-ADR A            COMMON    780259206       3143     45589 Shares                 X                  1      45589      0       0
ROYAL DUTCH SHELL
 PLC-ADR A            COMMON    780259206       2661     38592 Shares                          X         1      34542      0    4050
ROYAL DUTCH SHELL
 PLC-ADR A            COMMON    780259206         44       644 Shares                 X                  3        644      0       0
ROYAL DUTCH SHELL
 PLC-ADR B            COMMON    780259107        131      1842 Shares                 X                  1       1842      0       0
ROYAL DUTCH SHELL
 PLC-ADR B            COMMON    780259107         28       390 Shares                          X         1        390      0       0
RPM INTERNATIONAL INC
 COMMON               COMMON    749685103       1008     34349 Shares                 X                  1      34349      0       0
RPM INTERNATIONAL INC
 COMMON               COMMON    749685103        109      3709 Shares                          X         1       3709      0       0
RPM INTERNATIONAL INC
 COMMON               COMMON    749685103        107      3648 Shares                 X                  3       3648      0       0
RYDER SYS INC COM     COMMON    783549108         41       815 Shares                 X                  1        815      0       0
SAFEWAY INC COM       COMMON    786514208         16       879 Shares                 X                  1        879      0       0
SAFEWAY INC COM       COMMON    786514208         27      1500 Shares                          X         1          0      0    1500
SALESFORCE.COM INC    COMMON    79466L302         55       327 Shares                 X                  1        327      0       0
SALLY BEAUTY COMPANY
 INC                  COMMON    79546E104          2       100 Shares                 X                  1        100      0       0
SAN JUAN BASIN
 ROYALTY TR *         OTHER     798241105          2       150 Shares                          X         1          0      0     150


                                    18 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
SANDISK CORP COM      COMMON    80004C101          4       100 Shares                 X                  1        100      0       0
SANDRIDGE
 MISSISSIPPIAN TRUST  OTHER     80007T101         16       960 Shares                 X                  1          0      0     960
SANDRIDGE
 MISSISSIPPIAN TRUST  OTHER     80007T101          6       375 Shares                          X         1          0      0     375
SANDY SPRING BANCORP
 INC                  COMMON    800363103        234     12067 Shares                          X         1      12067      0       0
SANOFI-ADR            COMMON    80105N105         35       742 Shares                 X                  1        742      0       0
SANOFI-ADR            COMMON    80105N105        107      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
SAP AG SPONS ADR      COMMON    803054204         40       500 Shares                 X                  1        500      0       0
SAREPTA THERAPEUTICS
 INC                  COMMON    803607100         49      1900 Shares                 X                  1       1900      0       0
SCANA CORP NEW COM    COMMON    80589M102        109      2396 Shares                 X                  1       2396      0       0
SCANA CORP NEW COM    COMMON    80589M102         97      2130 Shares                          X         1       2130      0       0
SCHLUMBERGER LTD      COMMON    806857108      15857    228815 Shares                 X                  1     227854      0     961
SCHLUMBERGER LTD      COMMON    806857108       4844     69896 Shares                          X         1      64026      0    5870
SCHLUMBERGER LTD      COMMON    806857108        967     13948 Shares                 X                  3      10505      0    3443
SCHLUMBERGER LTD      COMMON    806857108        107      1550 Shares                          X         4       1550      0       0
SCHLUMBERGER LTD      COMMON    806857108         11       163 Shares                 X                  3        163      0       0
SCHWAB CHARLES CORP
 NEW COM              COMMON    808513105        211     14681 Shares                 X                  1      14681      0       0
SCOTTS MIRACLE-GRO
 COMPANY              COMMON    810186106          1        27 Shares                 X                  1         27      0       0
SCRIPPS NETWORKS
 INTERACTIVE - CL A   COMMON    811065101        303      5235 Shares                 X                  1       5235      0       0
SCRIPPS NETWORKS
 INTERACTIVE - CL A   COMMON    811065101        120      2080 Shares                 X                  3       2080      0       0
SCRIPPS NETWORKS
 INTERACTIVE - CL A   COMMON    811065101        102      1755 Shares                 X                  3       1755      0       0
SEADRILL LTD          COMMON    G7945E105         22       600 Shares                 X                  1        600      0       0
SEADRILL LTD          COMMON    G7945E105         20       550 Shares                          X         1        550      0       0
SEAGATE TECHNOLOGY    COMMON    G7945M107         48      1584 Shares                 X                  1       1584      0       0
SEAGATE TECHNOLOGY    COMMON    G7945M107          2        78 Shares                          X         1         78      0       0
SEALED AIR CORP NEW
 COM                  COMMON    81211K100         11       655 Shares                 X                  1        655      0       0
SEALED AIR CORP NEW
 COM                  COMMON    81211K100          9       498 Shares                          X         1        498      0       0
SEARS HOLDINGS CORP   COMMON    812350106          0        10 Shares                 X                  1         10      0       0
SEARS HOLDINGS CORP   COMMON    812350106         14       350 Shares                          X         1        350      0       0
SEASPAN CORP          COMMON    Y75638109         81      5050 Shares                          X         1       5050      0       0
SECTOR SPDR HEALTH
 CARE                 PREFERRED 81369Y209          2        60 Shares                 X                  1          0      0      60
SECTOR SPDR
 TECHNOLOGY           PREFERRED 81369Y803         27       936 Shares                 X                  1          0      0     936
SEI CORP COM          COMMON    784117103          4       175 Shares                 X                  1        175      0       0
SELECTIVE INS GROUP
 INC                  COMMON    816300107         72      3712 Shares                 X                  1       3712      0       0
SEMPRA ENERGY COM     COMMON    816851109         60       842 Shares                 X                  1        842      0       0
SEMPRA ENERGY COM     COMMON    816851109          2        34 Shares                          X         1         34      0       0
SENIOR HOUSING
 PROPERTIES TR (REIT) COMMON    81721M109          2       100 Shares                          X         1          0      0     100
SENSATA TECHNOLOGIES
 HLDG NV              COMMON    N7902X106          4       120 Shares                 X                  1        120      0       0
SEQUENOM INC          COMMON    817337405          5      1000 Shares                 X                  1       1000      0       0
SHERWIN WILLIAMS CO
 COM                  COMMON    824348106         31       200 Shares                 X                  1        200      0       0
SHERWIN WILLIAMS CO
 COM                  COMMON    824348106        769      5000 Shares                          X         1          0      0    5000
SHIRE PLC - ADR       COMMON    82481R106         15       164 Shares                 X                  1        164      0       0
SIEMENS A G SPONSORED
 ADR                  COMMON    826197501         23       214 Shares                 X                  1        214      0       0
SIEMENS A G SPONSORED
 ADR                  COMMON    826197501        148      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         13       350 Shares                 X                  1        350      0       0
SILVER WHEATON
 CORPORATION          COMMON    828336107        144      4000 Shares                          X         1       4000      0       0
SILVERCORP METALS INC COMMON    82835P103          3       600 Shares                 X                  1        600      0       0
SIMON PROPERTY GRP
 INC (REIT)           COMMON    828806109       1223      7738 Shares                 X                  1       7738      0       0
SIMON PROPERTY GRP
 INC (REIT)           COMMON    828806109        846      5353 Shares                          X         1       5153      0     200
SIRIUS XM RADIO INC   COMMON    82967N108         10      3588 Shares                 X                  1       3588      0       0
SK TELECOM CO LTD -
 ADR                  COMMON    78440P108         16      1020 Shares                          X         1       1020      0       0
SKILLED HEALTHCARE
 GROUP INC-CL A       COMMON    83066R107        733    115000 Shares                 X                  1     115000      0       0
SMITH & NEPHEW PLC -
 SPONS ADR            COMMON    83175M205          2        42 Shares                 X                  1         42      0       0
SNYDERS-LANCE INC     COMMON    833551104       1422     58948 Shares                 X                  1      58948      0       0
SONOCO PRODUCTS CO
 COM                  COMMON    835495102        400     13469 Shares                 X                  1      13469      0       0
SONOCO PRODUCTS CO
 COM                  COMMON    835495102         44      1479 Shares                          X         1       1479      0       0
SONOCO PRODUCTS CO
 COM                  COMMON    835495102         39      1320 Shares                 X                  3       1320      0       0
SONY CORP - SPONSORED
 ADR                  COMMON    835699307          2       214 Shares                 X                  1        214      0       0
SOURCEFIRE INC        COMMON    83616T108        318      6726 Shares                 X                  1       6726      0       0
SOURCEFIRE INC        COMMON    83616T108        226      4785 Shares                 X                  3       4785      0       0
SOUTHERN CO COM       COMMON    842587107       2180     50931 Shares                 X                  1      49881      0    1050
SOUTHERN CO COM       COMMON    842587107       1518     35454 Shares                          X         1      35054      0     400
SOUTHERN CO COM       COMMON    842587107         56      1318 Shares                 X                  3       1318      0       0
SOUTHERN CO COM       COMMON    842587107         64      1500 Shares                          X         4       1500      0       0
SOUTHERN COPPER CORP  COMMON    84265V105        673     17777 Shares                 X                  1      17171      0     606
SOUTHERN COPPER CORP  COMMON    84265V105        184      4869 Shares                          X         1       4869      0       0
SOUTHERN COPPER CORP  COMMON    84265V105         52      1382 Shares                 X                  3       1382      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        107      3212 Shares                 X                  1       3212      0       0
SOUTHWESTERN ENERGY
 COMPANY              COMMON    845467109          3        75 Shares                          X         1         75      0       0
SPDR BARCLAYS HIGH
 YIELD BOND ETF       PREFERRED 78464A417         49      1196 Shares                 X                  1          0      0    1196
SPDR BARCLAYS TIPS
 ETF                  PREFERRED 78464A656        197      3250 Shares                 X                  1          0      0    3250
SPDR CONSUMER
 DISCRETIONARY ETF    PREFERRED 81369Y407          2        41 Shares                 X                  1          0      0      41
SPDR CONSUMER STAPLES
 ETF                  PREFERRED 81369Y308          2        54 Shares                 X                  1          0      0      54
SPDR DJ INDUSTRIAL
 AVG ETF              PREFERRED 78467X109       5415     41470 Shares                 X                  1          0      0   41470
SPDR DJ INTL REAL
 ESTATE ETF           OTHER     78463X863       1369     33113 Shares                 X                  1          0      0   33113
SPDR DJ INTL REAL
 ESTATE ETF           OTHER     78463X863         25       600 Shares                          X         1          0      0     600
SPDR DJ INTL REAL
 ESTATE ETF           OTHER     78463X863       2253     54490 Shares                 X                  3          0      0   54490
SPDR DJ REIT ETF      PREFERRED 78464A607        236      3235 Shares                 X                  1          0      0    3235
SPDR ENERGY SELECT
 SECTOR ETF           PREFERRED 81369Y506         13       176 Shares                 X                  1          0      0     176
SPDR ENERGY SELECT
 SECTOR ETF           PREFERRED 81369Y506         13       178 Shares                          X         1          0      0     178
SPDR FINANCIAL SELECT
 SECTOR ETF           PREFERRED 81369Y605        906     55290 Shares                 X                  1          0      0   55290


                                    19 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
SPDR FINANCIAL SELECT
 SECTOR ETF           PREFERRED 81369Y605        693     42299 Shares                          X         1          0      0   42299
SPDR FINANCIAL SELECT
 SECTOR ETF           PREFERRED 81369Y605          5       300 Shares                 X                  4          0      0     300
SPDR GOLD SHARES      PREFERRED 78463V107       2578     15912 Shares                 X                  1          0      0   15912
SPDR GOLD SHARES      PREFERRED 78463V107        372      2296 Shares                          X         1          0      0    2296
SPDR INDUSTRIAL
 SELECT SECTOR ETF    PREFERRED 81369Y704          2        48 Shares                 X                  1          0      0      48
SPDR MATERIALS SELECT
 SECTOR ETF           PREFERRED 81369Y100          0        11 Shares                 X                  1          0      0      11
SPDR S&P 400 MID CAP
 VALUE ETF            PREFERRED 78464A839         28       460 Shares                          X         1          0      0     460
SPDR S&P 500 ETF      PREFERRED 78462F103       8653     60758 Shares                 X                  1          0      0   60758
SPDR S&P 500 ETF      PREFERRED 78462F103       4967     34881 Shares                          X         1          0      0   34881
SPDR S&P 500 ETF      PREFERRED 78462F103       2314 16249.125 Shares                 X                  3  16249.125      0       0
SPDR S&P 500 ETF      PREFERRED 78462F103       2684     18846 Shares                          X         3          0      0   18846
SPDR S&P 500 ETF      PREFERRED 78462F103       1447     10159 Shares                          X         4          0      0   10159
SPDR S&P 600 SMALL
 CAP VALUE ETF        PREFERRED 78464A300         29       380 Shares                          X         1          0      0     380
SPDR S&P BIOTECH ETF  PREFERRED 78464A870        440      5000 Shares                          X         1          0      0    5000
SPDR S&P DIVIDEND ETF PREFERRED 78464A763      22460    386179 Shares                 X                  1          0      0  386179
SPDR S&P DIVIDEND ETF PREFERRED 78464A763       3808     65483 Shares                          X         1          0      0   65483
SPDR S&P DIVIDEND ETF PREFERRED 78464A763        478      8226 Shares                 X                  3          0      0    8226
SPDR S&P DIVIDEND ETF PREFERRED 78464A763         28       476 Shares                 X                  4          0      0     476
SPDR S&P DIVIDEND ETF PREFERRED 78464A763        166      2853 Shares                          X         4          0      0    2853
SPDR S&P MIDCAP 400
 ETF                  PREFERRED 78467Y107        149       800 Shares                 X                  1          0      0     800
SPDR S&P MIDCAP 400
 ETF                  PREFERRED 78467Y107       3022     16270 Shares                          X         1          0      0   16270
SPDR S&P OIL & GAS
 EXPL & PROD ETF      PREFERRED 78464A730         39       720 Shares                          X         1          0      0     720
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
SPECTRA ENERGY CORP   COMMON    847560109        988     36081 Shares                 X                  1      36081      0       0
SPECTRA ENERGY CORP   COMMON    847560109        283     10333 Shares                          X         1       9933      0     400
SPECTRA ENERGY CORP   COMMON    847560109         74      2692 Shares                 X                  3       2692      0       0
SPECTRA ENERGY
 PARTNERS LP *        OTHER     84756N109          2        50 Shares                          X         1         50      0       0
SPIRIT AEROSYSTEMS
 HOLD-CL A            COMMON    848574109          2       140 Shares                 X                  1        140      0       0
SPRINT NEXTEL CORP    COMMON    852061100          0        46 Shares                 X                  1         46      0       0
SPROTT PHYSICAL
 SILVER TRUST *       OTHER     85207K107         18      1500 Shares                 X                  1          0      0    1500
SPX CORP COM          COMMON    784635104         72      1020 Shares                 X                  1       1020      0       0
SPX CORP COM          COMMON    784635104        210      3000 Shares                          X         1       3000      0       0
ST JOE COMPANY COMMON COMMON    790148100          5       200 Shares                          X         1        200      0       0
ST JUDE MEDICAL INC
 COM                  COMMON    790849103         40      1119 Shares                 X                  1       1119      0       0
ST JUDE MEDICAL INC
 COM                  COMMON    790849103         36      1000 Shares                          X         1       1000      0       0
STANDARD REGISTER
 COMPANY              COMMON    853887107          2      3000 Shares                 X                  1       3000      0       0
STANLEY BLACK &
 DECKER INC           COMMON    854502101        191      2585 Shares                 X                  1       2585      0       0
STANLEY BLACK &
DECKER INC            COMMON    854502101        597      8067 Shares                          X         1       8067      0       0
STAPLES INC COM       COMMON    855030102        393     34443 Shares                 X                  1      34443      0       0
STAPLES INC COM       COMMON    855030102        180     15822 Shares                          X         1      15722      0     100
STARBUCKS CORP COM    COMMON    855244109       4944     92192 Shares                 X                  1      91560      0     632
STARBUCKS CORP COM    COMMON    855244109        187      3484 Shares                          X         1       3484      0       0
STARBUCKS CORP COM    COMMON    855244109        645     12024 Shares                 X                  3       9164      0    2860
STARBUCKS CORP COM    COMMON    855244109         67      1250 Shares                          X         4       1250      0       0
STARWOOD HOTELS &
 RESORTS WORLDWIDE    COMMON    85590A401        484      8432 Shares                 X                  1       8432      0       0
STARWOOD HOTELS &
 RESORTS WORLDWIDE    COMMON    85590A401         30       526 Shares                          X         1        526      0       0
STARWOOD PROPERTY
 TRUST INC            COMMON    85571B105        437     19030 Shares                 X                  1      19030      0       0
STARWOOD PROPERTY
 TRUST INC            COMMON    85571B105         73      3162 Shares                          X         1       3162      0       0
STARWOOD PROPERTY
 TRUST INC            COMMON    85571B105         46      1986 Shares                 X                  3       1986      0       0
STATE STREET CORP     COMMON    857477103         47       996 Shares                 X                  1        996      0       0
STATE STREET CORP     COMMON    857477103       2990     63600 Shares                          X         1      63600      0       0
STATOIL ASA SPONSORED
 ADR                  COMMON    85771P102         24       948 Shares                 X                  1        948      0       0
STELLARONE CORP       COMMON    85856G100         24      1731 Shares                          X         1       1731      0       0
STERICYCLE INC COM    COMMON    858912108          4        42 Shares                 X                  1         42      0       0
STRATASYS LTD         COMMON    M85548101        273      3407 Shares                 X                  1       3407      0       0
STRATASYS LTD         COMMON    M85548101        198      2475 Shares                 X                  3       2475      0       0
STRYKER CORP COM      COMMON    863667101        307      5596 Shares                 X                  1       5596      0       0
STRYKER CORP COM      COMMON    863667101        167      3055 Shares                          X         1       2055      0    1000
STRYKER CORP COM      COMMON    863667101        115      2106 Shares                 X                  3       1906      0     200
STUDENT
 TRANSPORTATION INC   COMMON    86388A108         13      2100 Shares                 X                  1       2100      0       0
STURM RUGER & CO INC
 COM                  COMMON    864159108         11       250 Shares                 X                  1        250      0       0
STURM RUGER & CO INC
 COM                  COMMON    864159108         45      1000 Shares                          X         1       1000      0       0
SUBURBAN PROPANE
 PARTNERS LP
 LIMITED *            OTHER     864482104         17       445 Shares                 X                  1        445      0       0
SUBURBAN PROPANE
 PARTNERS LP
 LIMITED *            OTHER     864482104         39      1000 Shares                          X         1       1000      0       0
SUMITOMO TRUST AND
 BANKING CO           COMMON    86562M209         15      2012 Shares                          X         1       2012      0       0
SUN LIFE FINL INC     COMMON    866796105         68      2567 Shares                 X                  1       2567      0       0
SUNCOR ENERGY INC     COMMON    867224107         21       635 Shares                 X                  1        635      0       0
SUNCOR ENERGY INC     COMMON    867224107        451     13665 Shares                          X         1      13665      0       0
SUNOCO LOGISTICS
 PARTNERS LP *        OTHER     86764L108         62      1250 Shares                 X                  1       1250      0       0
SUNOCO LOGISTICS
 PARTNERS LP *        OTHER     86764L108         20       400 Shares                          X         1        400      0       0
SUNTRUST BANKS INC    COMMON    867914103        216      7603 Shares                 X                  1       7603      0       0
SUNTRUST BANKS INC    COMMON    867914103        128      4521 Shares                          X         1       2821      0    1700
SUNTRUST BANKS INC    COMMON    867914103        567     20001 Shares                 X                  3      20001      0       0
SUPERVALU INC COMMON  COMMON    868536103          0       126 Shares                 X                  1        126      0       0
SUPERVALU INC COMMON  COMMON    868536103          2       750 Shares                          X         1        750      0       0
SUSQUEHANNA
 BANCSHARES
 INC PA COM           COMMON    869099101        381     36364 Shares                 X                  1      33869      0    2495
SUSQUEHANNA
 BANCSHARES
 INC PA COM           COMMON    869099101         93      8880 Shares                          X         1       8880      0       0
SUSQUEHANNA
 BANCSHARES
 INC PA COM           COMMON    869099101         48      4627 Shares                 X                  3       4627      0       0
SVB FINANCIAL GROUP   COMMON    78486Q101        287      5127 Shares                 X                  1       5127      0       0
SVB FINANCIAL GROUP   COMMON    78486Q101        209      3735 Shares                 X                  3       3735      0       0
SYMANTEC CORP COM     COMMON    871503108         65      3468 Shares                 X                  1       3468      0       0
SYNGENTA AG ADR       COMMON    87160A100        162      2000 Shares                          X         1       2000      0       0
SYSCO CORP COMMON     COMMON    871829107       2556     80733 Shares                 X                  1      80633      0     100
SYSCO CORP COMMON     COMMON    871829107       2303     72735 Shares                          X         1      70635      0    2100


                                    20 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
SYSCO CORP COMMON     COMMON    871829107         40      1248 Shares                 X                  3       1248      0       0
T ROWE PRICE GROUP
 INC COMMON           COMMON    74144T108       9371    143907 Shares                 X                  1     142967      0     940
T ROWE PRICE GROUP
 INC COMMON           COMMON    74144T108       1883     28915 Shares                          X         1      25136      0    3779
T ROWE PRICE GROUP
 INC COMMON           COMMON    74144T108       1217     18697 Shares                 X                  3      15139      0    3558
T ROWE PRICE GROUP
 INC COMMON           COMMON    74144T108        147      2250 Shares                          X         4       2250      0       0
TAIWAN SEMICONDUCTOR
 SPON ADR             COMMON    874039100         10       574 Shares                 X                  1        574      0       0
TAIWAN SEMICONDUCTOR
 SPON ADR             COMMON    874039100         22      1264 Shares                          X         1        250      0    1014
TALISMAN ENERGY INC   COMMON    87425E103          4       397 Shares                 X                  1        397      0       0
TALISMAN ENERGY INC   COMMON    87425E103          2       210 Shares                          X         1          0      0     210
TANZANIAN ROYALTY
 EXPLORATION          COMMON    87600U104          1       250 Shares                 X                  1        250      0       0
TARGET CORP COM       COMMON    87612E106       7592    128306 Shares                 X                  1     128026      0     280
TARGET CORP COM       COMMON    87612E106        651     10994 Shares                          X         1      10339      0     655
TARGET CORP COM       COMMON    87612E106        852     14403 Shares                 X                  3      10953      0    3450
TATA MOTORS LIMITED -
 SPON ADR             COMMON    876568502         13       465 Shares                 X                  1        465      0       0
TC PIPELINES LIMITED
 PARTNERSHIP          OTHER     87233Q108        121      3001 Shares                 X                  3       3001      0       0
TE CONNECTIVITY LTD   COMMON    H84989104         44      1188 Shares                 X                  1       1188      0       0
TE CONNECTIVITY LTD   COMMON    H84989104         30       815 Shares                          X         1        815      0       0
TECH DATA CORP COM    COMMON    878237106         23       500 Shares                          X         1        500      0       0
TECK RESOURCES LTD-
 CL B                 COMMON    878742204         36      1000 Shares                          X         1       1000      0       0
TECO ENERGY INC       COMMON    872375100         30      1800 Shares                 X                  1       1800      0       0
TECO ENERGY INC       COMMON    872375100         64      3814 Shares                          X         1       3814      0       0
TELECOM ITALIA SPA    COMMON    87927Y102          1       110 Shares                 X                  1        110      0       0
TELECOM ITALIA SPA    COMMON    87927Y102         14      1519 Shares                          X         1       1519      0       0
TELEFONICA BRASIL/S
 ADR                  COMMON    87936R106          5       192 Shares                          X         1        192      0       0
TELEFONICA S A
 SPONSORED ADR        COMMON    879382208         17      1263 Shares                 X                  1       1263      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 DRAGON FUND
 INC *                OTHER     88018T101          3       100 Shares                 X                  1          0      0     100
TEMPLETON GLOBAL
 INCOME FUND-DE       PREFERRED 880198106        361     38250 Shares                 X                  1          0      0   38250
TERADATA CORP         COMMON    88076W103       1410     22782 Shares                 X                  1      22782      0       0
TERADATA CORP         COMMON    88076W103         42       678 Shares                          X         1        678      0       0
TEREX CORP            COMMON    880779103         13       449 Shares                 X                  1        449      0       0
TEVA PHARMACEUTICAL
 SPONS ADR            COMMON    881624209        426     11410 Shares                 X                  1      11410      0       0
TEVA PHARMACEUTICAL
 SPONS ADR            COMMON    881624209        560     14990 Shares                          X         1      14990      0       0
TEXAS CAPITAL
 BANCSHARES INC       COMMON    88224Q107        224      4998 Shares                 X                  1       4998      0       0
TEXAS CAPITAL
 BANCSHARES INC       COMMON    88224Q107        166      3705 Shares                 X                  3       3705      0       0
TEXAS INSTRUMENTS INC COMMON    882508104       1328     43002 Shares                 X                  1      43002      0       0
TEXAS INSTRUMENTS INC COMMON    882508104       1273     41201 Shares                          X         1      38601      0    2600
TEXTRON INC COM       COMMON    883203101        178      7193 Shares                 X                  1       7193      0       0
THE HERSHEY COMPANY   COMMON    427866108       2630     36423 Shares                 X                  1      35623      0     800
THE HERSHEY COMPANY   COMMON    427866108       1384     19159 Shares                          X         1      16334      0    2825
THE HERSHEY COMPANY   COMMON    427866108         10       134 Shares                 X                  3        134      0       0
THE HERSHEY COMPANY   COMMON    427866108         37       511 Shares                 X                  3        511      0       0
THE TRAVELERS
 COMPANIES INC        COMMON    89417E109       4654     64794 Shares                 X                  1      64574      0     220
THE TRAVELERS
 COMPANIES INC        COMMON    89417E109        903     12577 Shares                          X         1      12052      0     525
THE TRAVELERS
 COMPANIES INC        COMMON    89417E109        812     11301 Shares                 X                  3       8586      0    2715
THE TRAVELERS
 COMPANIES INC        COMMON    89417E109         90      1250 Shares                          X         4       1250      0       0
THE WENDY'S COMPANY   COMMON    95058W100         64     13600 Shares                 X                  1      13600      0       0
THERMO FISHER
 SCIENTIFIC INC       COMMON    883556102         39       615 Shares                 X                  1        615      0       0
THERMO FISHER
 SCIENTIFIC INC       COMMON    883556102         38       600 Shares                          X         1          0      0     600
THERMO FISHER
 SCIENTIFIC INC       COMMON    883556102        126      1970 Shares                 X                  3       1785      0     185
TIDEWATER COMMON      COMMON    886423102         45      1000 Shares                 X                  1       1000      0       0
TIFFANY & CO          COMMON    886547108         46       804 Shares                 X                  1        804      0       0
TIFFANY & CO          COMMON    886547108         92      1600 Shares                          X         1       1600      0       0
TIM HORTONS INC       COMMON    88706M103        213      4333 Shares                 X                  1       4333      0       0
TIME WARNER CABLE INC COMMON    88732J207         52       535 Shares                 X                  1        535      0       0
TIME WARNER CABLE INC COMMON    88732J207         26       265 Shares                          X         1        265      0       0
TIME WARNER CABLE INC COMMON    88732J207        278      2862 Shares                 X                  3       2862      0       0
TIME WARNER INC       COMMON    887317303        151      3163 Shares                 X                  1       3163      0       0
TIME WARNER INC       COMMON    887317303         68      1425 Shares                          X         1       1425      0       0
TJX COMPANIES COM     COMMON    872540109        134      3166 Shares                 X                  1       3166      0       0
TJX COMPANIES COM     COMMON    872540109        135      3184 Shares                          X         1       3184      0       0
TOLL BROTHERS COMMON  COMMON    889478103         69      2134 Shares                 X                  1       2134      0       0
TOLL BROTHERS COMMON  COMMON    889478103         18       568 Shares                          X         1         68      0     500
TOMPKINS FINANCIAL
 CORP                 COMMON    890110109         14       365 Shares                 X                  1        365      0       0
TOOTSIE ROLL
 INDUSTRIES           COMMON    890516107         72      2781 Shares                 X                  1       2781      0       0
TORONTO-DOMINION BANK COMMON    891160509         22       262 Shares                 X                  1        262      0       0
TORONTO-DOMINION BANK COMMON    891160509         32       382 Shares                          X         1        300      0      82
TORTOISE ENERGY
 CAPITAL CORP COM     PREFERRED 89147U100         28      1000 Shares                          X         1          0      0    1000
TORTOISE MLP FUND
 INC *                OTHER     89148B101         64      2618 Shares                 X                  1       2618      0       0
TOTAL SA SPONSORED
 ADR                  COMMON    89151E109        242      4649 Shares                 X                  1       4649      0       0
TOTAL SA SPONSORED
 ADR                  COMMON    89151E109         51       978 Shares                          X         1        978      0       0
TOYOTA MOTOR CORP
 SPON ADR             COMMON    892331307          9       100 Shares                 X                  1        100      0       0
TOYOTA MOTOR CORP
 SPON ADR             COMMON    892331307         19       200 Shares                          X         1        200      0       0
TRACTOR SUPPLY
 COMPANY              COMMON    892356106       1451     16422 Shares                 X                  1      16422      0       0
TRACTOR SUPPLY
 COMPANY              COMMON    892356106         53       604 Shares                          X         1        604      0       0
TRANSACT TECHNOLOGIES
 INC COM              COMMON    892918103          7      1000 Shares                 X                  1       1000      0       0
TRANSMONTAIGNE
 PARTNERS LP *        OTHER     89376V100         22       570 Shares                 X                  1        570      0       0
TRANSMONTAIGNE
 PARTNERS LP *        OTHER     89376V100         11       300 Shares                          X         1        300      0       0
TRANSOCEAN LIMITED    COMMON    H8817H100        907     20319 Shares                 X                  1      19104      0    1215
TRANSOCEAN LIMITED    COMMON    H8817H100        204      4559 Shares                          X         1       4025      0     534
TREDEGAR CORP         COMMON    894650100         15       750 Shares                 X                  1        750      0       0
TRUE RELIGION APPAREL
 INC                  COMMON    89784N104          1        55 Shares                 X                  1         55      0       0
TUPPERWARE BRANDS
 CORP                 COMMON    899896104         29       450 Shares                          X         1        450      0       0
TYCO INTERNATIONAL
 LTD                  COMMON    H89128104         53      1816 Shares                 X                  1       1816      0       0


                                    21 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
TYCO INTERNATIONAL
 LTD                  COMMON    H89128104         36      1224 Shares                          X         1        421      0     803
TYSON FOODS INC COM   COMMON    902494103         12       625 Shares                          X         1        625      0       0
U S BANCORP DEL COM
 NEW                  COMMON    902973304       6858    214726 Shares                 X                  1     213280      0    1446
U S BANCORP DEL COM
 NEW                  COMMON    902973304        608     19047 Shares                          X         1      15127      0    3920
U S BANCORP DEL COM
 NEW                  COMMON    902973304       1173     36722 Shares                 X                  3      27872      0    8850
UBS AG                COMMON    H89231338         14       906 Shares                 X                  1        906      0       0
UBS AG                COMMON    H89231338          7       450 Shares                          X         1        450      0       0
UDR INC COM           COMMON    902653104        359     15091 Shares                 X                  1      15091      0       0
UDR INC COM           COMMON    902653104         27      1138 Shares                          X         1       1138      0       0
UGI CORP NEW COMMON   COMMON    902681105        247      7538 Shares                 X                  1       7538      0       0
UGI CORP NEW COMMON   COMMON    902681105         98      3000 Shares                          X         1       3000      0       0
UIL HOLDINGS
 CORPORATION          COMMON    902748102         42      1180 Shares                 X                  1       1180      0       0
ULTA SALON COSMETICS
 & FRAGRANCE          COMMON    90384S303         74       754 Shares                 X                  1        754      0       0
ULTA SALON COSMETICS
 & FRAGRANCE          COMMON    90384S303          3        32 Shares                          X         1         32      0       0
UNDER ARMOUR INC-
 CLASS A              COMMON    904311107         68      1400 Shares                 X                  1       1400      0       0
UNDER ARMOUR INC-
 CLASS A              COMMON    904311107          7       140 Shares                          X         1        140      0       0
UNILEVER NV NY SHARES COMMON    904784709        302      7892 Shares                 X                  1       7892      0       0
UNILEVER NV NY SHARES COMMON    904784709        101      2650 Shares                          X         1       2650      0       0
UNILEVER NV NY SHARES COMMON    904784709         38      1000 Shares                          X         4       1000      0       0
UNILEVER PLC
 SPONSORED ADR        COMMON    904767704       1019     26316 Shares                 X                  1      26316      0       0
UNILEVER PLC
 SPONSORED ADR        COMMON    904767704        296      7657 Shares                          X         1       4657      0    3000
UNILEVER PLC
 SPONSORED ADR        COMMON    904767704         96      2486 Shares                 X                  3       2486      0       0
UNILEVER PLC
 SPONSORED ADR        COMMON    904767704         10       250 Shares                          X         4        250      0       0
UNION PACIFIC CORP
 COM                  COMMON    907818108       6119     48668 Shares                 X                  1      48602      0      66
UNION PACIFIC CORP
 COM                  COMMON    907818108       1327     10558 Shares                          X         1      10264      0     294
UNION PACIFIC CORP
 COM                  COMMON    907818108        432      3437 Shares                 X                  3       2548      0     889
UNION PACIFIC CORP
 COM                  COMMON    907818108         94       750 Shares                          X         4        750      0       0
UNITED PARCEL SERVICE
 CL B                 COMMON    911312106       5803     78700 Shares                 X                  1      78315      0     385
UNITED PARCEL SERVICE
 CL B                 COMMON    911312106       1027     13923 Shares                          X         1      12473      0    1450
UNITED PARCEL SERVICE
 CL B                 COMMON    911312106        690      9361 Shares                 X                  3       7201      0    2160
UNITED PARCEL SERVICE
 CL B                 COMMON    911312106         22       300 Shares                          X         4        300      0       0
UNITED PARCEL SERVICE
 CL B                 COMMON    911312106        299      4053 Shares                 X                  3       4053      0       0
UNITED STATES OIL ETF PREFERRED 91232N108         17       500 Shares                 X                  1          0      0     500
UNITED STS STL CORP
 NEW                  COMMON    912909108         23       950 Shares                 X                  1        950      0       0
UNITED STS STL CORP
 NEW                  COMMON    912909108          2        70 Shares                          X         1         70      0       0
UNITED TECHNOLOGIES
 CORP COM             COMMON    913017109       8820    107546 Shares                 X                  1     106274      0    1272
UNITED TECHNOLOGIES
 CORP COM             COMMON    913017109       3455     42134 Shares                          X         1      40884      0    1250
UNITED TECHNOLOGIES
 CORP COM             COMMON    913017109        506      6175 Shares                 X                  3       6175      0       0
UNITEDHEALTH GROUP
 INC                  COMMON    91324P102       1216     22419 Shares                 X                  1      22069      0     350
UNITEDHEALTH GROUP
 INC                  COMMON    91324P102        209      3852 Shares                          X         1       2452      0    1400
UNITEDHEALTH GROUP
 INC                  COMMON    91324P102        510      9411 Shares                 X                  3       5454      0    3957
UNIVERSAL DISPLAY
 CORP                 COMMON    91347P105         33      1300 Shares                 X                  1       1300      0       0
UNIVERSAL HEALTH
 REALTY INCOME TRUST  COMMON    91359E105         20       400 Shares                          X         1        400      0       0
UNIVEST CORP OF PA    COMMON    915271100         38      2210 Shares                          X         1       2210      0       0
URSTADT BIDDLE PPTYS
 INC CL A (REIT)      COMMON    917286205         35      1800 Shares                 X                  1       1800      0       0
URSTADT BIDDLE PPTYS
 INC CL A (REIT)      COMMON    917286205         59      3000 Shares                          X         1       3000      0       0
US ECOLOGY INC        COMMON    91732J102          2       100 Shares                          X         1        100      0       0
UTILITIES SELECT
 SECTOR SPDR ETF      PREFERRED 81369Y886       1252     35843 Shares                 X                  1          0      0   35843
UTILITIES SELECT
 SECTOR SPDR ETF      PREFERRED 81369Y886        226      6469 Shares                          X         1          0      0    6469
UTILITIES SELECT
 SECTOR SPDR ETF      PREFERRED 81369Y886        238      6809 Shares                 X                  3          0      0    6809
V F CORP              COMMON    918204108        251      1663 Shares                 X                  1       1663      0       0
V F CORP              COMMON    918204108         30       200 Shares                          X         1        200      0       0
VALE SA               COMMON    91912E105         17       792 Shares                 X                  1        792      0       0
VALE SA               COMMON    91912E105         17       800 Shares                          X         1        800      0       0
VALERO ENERGY CORP
 COM                  COMMON    91913Y100         34       990 Shares                 X                  1        990      0       0
VALERO ENERGY CORP
 COM                  COMMON    91913Y100         34      1000 Shares                          X         1       1000      0       0
VALIDUS HOLDINGS LTD  COMMON    G9319H102          1        36 Shares                 X                  1         36      0       0
VANGUARD DIVIDEND
 APPRECIATION ETF     PREFERRED 921908844         12       200 Shares                 X                  1          0      0     200
VANGUARD HIGH
 DIVIDEND YIELD ETF   PREFERRED 921946406        739     14970 Shares                 X                  1          0      0   14970
VANGUARD HIGH
 DIVIDEND YIELD ETF   PREFERRED 921946406        360      7285 Shares                          X         1          0      0    7285
VANGUARD HIGH
 DIVIDEND YIELD ETF   PREFERRED 921946406        276      5590 Shares                 X                  3          0      0    5590
VANGUARD INT-TRM BOND
 ETF                  PREFERRED 921937819         50       561 Shares                 X                  1          0      0     561
VANGUARD MID-CAP ETF  PREFERRED 922908629         27       331 Shares                          X         1          0      0     331
VANGUARD MSCI EAFE
 ETF                  OTHER     921943858       8428    239221 Shares                 X                  1          0      0  239221
VANGUARD MSCI EAFE
 ETF                  OTHER     921943858        546     15492 Shares                          X         1          0      0   15492
VANGUARD MSCI EAFE
 ETF                  OTHER     921943858         31       875 Shares                 X                  3          0      0     875
VANGUARD MSCI EAFE
 ETF                  OTHER     921943858         16       460 Shares                 X                  4          0      0     460
VANGUARD MSCI
 EMERGING MKTS ETF    PREFERRED 922042858         98      2192 Shares                 X                  1          0      0    2192
VANGUARD MSCI
 EMERGING MKTS ETF    PREFERRED 922042858        524     11765 Shares                          X         1          0      0   11765
VANGUARD MSCI
 EMERGING MKTS ETF    PREFERRED 922042858        193      4341 Shares                 X                  3          0      0    4341
VANGUARD REIT ETF     PREFERRED 922908553       1067     16213 Shares                 X                  1          0      0   16213
VANGUARD REIT ETF     PREFERRED 922908553        155      2359 Shares                          X         1          0      0    2359
VANGUARD REIT ETF     PREFERRED 922908553       2038     30968 Shares                 X                  3          0      0   30968
VANGUARD RUSSELL 2000
 ETF                  PREFERRED 92206C664       1064     15884 Shares                 X                  1          0      0   15884
VANGUARD S&P 500 ETF  PREFERRED 922908413       1031     15813 Shares                 X                  1          0      0   15813
VANGUARD SHORT-TERM
 BD ETF               PREFERRED 921937827        133      1646 Shares                 X                  1          0      0    1646
VANGUARD SHORT-TERM
 BD ETF               PREFERRED 921937827         13       155 Shares                          X         1          0      0     155
VANGUARD SHORT-TERM
 BD ETF               PREFERRED 921937827       5781     71375 Shares                          X         3          0      0   71375
VANGUARD TOTAL BOND
 MKT ETF              PREFERRED 921937835       8231     97950 Shares                 X                  1          0      0   97950
VANGUARD TOTAL BOND
 MKT ETF              PREFERRED 921937835        752      8953 Shares                          X         1          0      0    8953
VANGUARD TOTAL BOND
 MKT ETF              PREFERRED 921937835       3577     42565 Shares                 X                  3          0      0   42565
VANGUARD TOTAL STOCK
 MARKET ETF           PREFERRED 922908769         12       168 Shares                 X                  1          0      0     168
VANGUARD UTILITIES
 ETF                  PREFERRED 92204A876          4        50 Shares                 X                  1          0      0      50
VANGUARD UTILITIES
 ETF                  PREFERRED 92204A876         24       325 Shares                          X         1          0      0     325
VCA ANTECH INC        COMMON    918194101          1        53 Shares                 X                  1         53      0       0


                                    22 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
VENTAS INC COM        COMMON    92276F100          5        78 Shares                 X                  1         78      0       0
VERISIGN INC COM      COMMON    92343E102         13       324 Shares                 X                  1        324      0       0
VERIZON
 COMMUNICATIONS COM   COMMON    92343V104      16700    385944 Shares                 X                  1     379839      0    6105
VERIZON
 COMMUNICATIONS COM   COMMON    92343V104       7967    184129 Shares                          X         1     174594      0    9535
VERIZON
 COMMUNICATIONS COM   COMMON    92343V104        180      4153 Shares                 X                  3       4153      0       0
VERIZON
 COMMUNICATIONS COM   COMMON    92343V104         54      1250 Shares                          X         4       1250      0       0
VERTEX
 PHARMACEUTICALS INC  COMMON    92532F100        933     22270 Shares                 X                  1      22270      0       0
VERTEX
 PHARMACEUTICALS INC  COMMON    92532F100         34       816 Shares                          X         1        816      0       0
VIACOM INC-CLASS B    COMMON    92553P201        207      3930 Shares                 X                  1       3930      0       0
VIACOM INC-CLASS B    COMMON    92553P201        228      4321 Shares                          X         1       1921      0    2400
VIRTUALSCOPICS INC    COMMON    928269109          5      8400 Shares                 X                  1          0      0    8400
VISA INC              COMMON    92826C839       5037     33227 Shares                 X                  1      33227      0       0
VISA INC              COMMON    92826C839        844      5566 Shares                          X         1       5566      0       0
VISA INC              COMMON    92826C839         30       200 Shares                 X                  3        200      0       0
VITAMIN SHOPPE INC    COMMON    92849E101        363      6325 Shares                 X                  1       6325      0       0
VITAMIN SHOPPE INC    COMMON    92849E101        265      4615 Shares                 X                  3       4615      0       0
VMWARE INC            COMMON    928563402         28       300 Shares                 X                  1        300      0       0
VODAFONE GROUP PLC -
 SP ADR               COMMON    92857W209       3756    149123 Shares                 X                  1     146609      0    2514
VODAFONE GROUP PLC -
 SP ADR               COMMON    92857W209        320     12696 Shares                          X         1      11445      0    1251
VODAFONE GROUP PLC -
 SP ADR               COMMON    92857W209        660     26210 Shares                 X                  3      19820      0    6390
VODAFONE GROUP PLC -
 SP ADR               COMMON    92857W209         49      1950 Shares                          X         4       1950      0       0
VULCAN MATERIAL COM   COMMON    929160109         16       302 Shares                 X                  1        302      0       0
W P CAREY INC         COMMON    92936U109         21       400 Shares                          X         1        400      0       0
W W GRAINGER INC COM  COMMON    384802104        921      4550 Shares                 X                  1       4550      0       0
W W GRAINGER INC COM  COMMON    384802104        435      2150 Shares                          X         1       2150      0       0
WAL MART STORES INC
 COM                  COMMON    931142103       8740    128091 Shares                 X                  1     127021      0    1070
WAL MART STORES INC
 COM                  COMMON    931142103       3916     57399 Shares                          X         1      55195      0    2204
WAL MART STORES INC
 COM                  COMMON    931142103        407      5959 Shares                 X                  3       3409      0    2550
WAL MART STORES INC
 COM                  COMMON    931142103        205      3001 Shares                 X                  3       3001      0       0
WALGREEN COMPANY
 COMMON               COMMON    931422109        389     10512 Shares                 X                  1      10512      0       0
WALGREEN COMPANY
 COMMON               COMMON    931422109        186      5018 Shares                          X         1       4948      0      70
WALGREEN COMPANY
 COMMON               COMMON    931422109          0         1 Shares                 X                  3          1      0       0
WALTER ENERGY INC     COMMON    93317Q105          1        14 Shares                 X                  1         14      0       0
WASHINGTON REAL
 ESTATE INVT (REIT)   COMMON    939653101         39      1500 Shares                          X         1       1000      0     500
WASTE CONNECTIONS INC COMMON    941053100        302      8944 Shares                 X                  1       8944      0       0
WASTE CONNECTIONS INC COMMON    941053100        121      3580 Shares                 X                  3       3580      0       0
WASTE CONNECTIONS INC COMMON    941053100        103      3050 Shares                 X                  3       3050      0       0
WASTE MANAGEMENT INC  COMMON    94106L109        960     28460 Shares                 X                  1      27960      0     500
WASTE MANAGEMENT INC  COMMON    94106L109        404     11969 Shares                          X         1       7669      0    4300
WASTE MANAGEMENT INC  COMMON    94106L109         50      1478 Shares                 X                  3       1478      0       0
WASTE MANAGEMENT INC  COMMON    94106L109         67      2000 Shares                          X         4       2000      0       0
WATERS CORP COMMON    COMMON    941848103        192      2200 Shares                 X                  1       2200      0       0
WATSON
 PHARMACEUTICALS INC
 COM                  COMMON    942683103         66       763 Shares                          X         1        763      0       0
WD 40 CO COM          COMMON    929236107          9       200 Shares                 X                  1        200      0       0
WD 40 CO COM          COMMON    929236107          9       200 Shares                          X         1        200      0       0
WEATHERFORD INTL LTD
 SWITZERLAND          COMMON    H27013103         70      6232 Shares                 X                  1       6232      0       0
WEATHERFORD INTL LTD
 SWITZERLAND          COMMON    H27013103         45      4000 Shares                          X         1       4000      0       0
WEIS MARKETS INC      COMMON    948849104         45      1150 Shares                 X                  1        900      0     250
WELLPOINT INC         COMMON    94973V107         34       560 Shares                 X                  1        560      0       0
WELLS FARGO & CO      COMMON    949746101      13227    386986 Shares                 X                  1     385538      0    1448
WELLS FARGO & CO      COMMON    949746101       3048     89167 Shares                          X         1      84880      0    4287
WELLS FARGO & CO      COMMON    949746101        850     24860 Shares                 X                  3      19110      0    5750
WELLS FARGO & CO      COMMON    949746101         85      2500 Shares                          X         4       2500      0       0
WELLS FARGO & CO      COMMON    949746101         10       297 Shares                 X                  3        297      0       0
WELLS FARGO 7.500%
 CONV PFD SER L       PREFERRED 949746804         61        50 Shares                          X         1          0      0      50
WELLS FARGO INCOME
 OPPORTUNITIES FD     PREFERRED 94987B105         41      4035 Shares                 X                  1          0      0    4035
WESTAR ENERGY INC     COMMON    95709T100        280      9777 Shares                 X                  1       9777      0       0
WESTAR ENERGY INC     COMMON    95709T100         36      1251 Shares                          X         1       1251      0       0
WESTAR ENERGY INC     COMMON    95709T100         31      1068 Shares                 X                  3       1068      0       0
WESTERN ASSET EMRG
 MKTS DEBT FD INC *   OTHER     95766A101          5       250 Shares                 X                  1          0      0     250
WESTERN ASSET EMRG
 MKTS DEBT FD INC *   OTHER     95766A101         13       600 Shares                          X         1          0      0     600
WESTERN GAS PARTNERS
 LP *                 OTHER     958254104        102      2150 Shares                 X                  1       2150      0       0
WESTERN GAS PARTNERS
 LP *                 OTHER     958254104         49      1028 Shares                          X         1       1028      0       0
WESTERN UNION COMPANY COMMON    959802109        121      8899 Shares                 X                  1       8899      0       0
WESTERN UNION COMPANY COMMON    959802109         70      5127 Shares                          X         1       5127      0       0
WESTLAKE CHEMICAL
 CORP                 COMMON    960413102          8       104 Shares                 X                  1        104      0       0
WESTN DIGITAL CORP    COMMON    958102105         38       886 Shares                 X                  1        886      0       0
WEYERHAEUSER CO COM   COMMON    962166104         66      2370 Shares                 X                  1       2370      0       0
WEYERHAEUSER CO COM   COMMON    962166104        189      6798 Shares                          X         1       4699      0    2099
WHIRLPOOL CORP COM    COMMON    963320106          3        30 Shares                 X                  1         30      0       0
WHIRLPOOL CORP COM    COMMON    963320106         26       254 Shares                          X         1        254      0       0
WHITE MOUNTAINS
 INSURANCE GROUP LTD  COMMON    G9618E107       1066      2069 Shares                 X                  1       2069      0       0
WHITE MOUNTAINS
 INSURANCE GROUP LTD  COMMON    G9618E107         96       186 Shares                          X         1        186      0       0
WHITE MOUNTAINS
 INSURANCE GROUP LTD  COMMON    G9618E107         28        54 Shares                 X                  3         54      0       0
WHITESTONE REIT       COMMON    966084204         28      2000 Shares                 X                  1       2000      0       0
WHITING PETROLEUM
 CORPORATION          COMMON    966387102        427      9840 Shares                 X                  1       9840      0       0
WHITING PETROLEUM
 CORPORATION          COMMON    966387102        167      3840 Shares                 X                  3       3840      0       0
WHITING PETROLEUM
 CORPORATION          COMMON    966387102        141      3250 Shares                 X                  3       3250      0       0
WHOLE FOODS MKT INC
 COM                  COMMON    966837106        122      1343 Shares                 X                  1       1343      0       0
WHOLE FOODS MKT INC
 COM                  COMMON    966837106          3        38 Shares                          X         1         38      0       0
WILLIAMS COMPANY INC
 (THE)                COMMON    969457100         52      1587 Shares                 X                  1       1587      0       0
WILLIAMS COMPANY INC
 (THE)                COMMON    969457100         42      1268 Shares                          X         1         68      0    1200
WINDSTREAM CORP       COMMON    97381W104         79      9599 Shares                 X                  1       9599      0       0
WINDSTREAM CORP       COMMON    97381W104         46      5572 Shares                          X         1       5272      0     300
WISCONSIN ENERGY CORP
 COM                  COMMON    976657106        112      3050 Shares                 X                  1       3050      0       0


                                    23 of 24




                           M T 13-F Report for 12/31/2012


                                                                                      
WISCONSIN ENERGY CORP
 COM                  COMMON    976657106         88      2400 Shares                          X         1       2400      0       0
WISDOMTREE EMG MARKET
 EQUITY INC ET        OTHER     97717W315       2004     35043 Shares                 X                  1          0      0   35043
WISDOMTREE EMG MARKET
 EQUITY INC ET        OTHER     97717W315        177      3087 Shares                          X         1          0      0    3087
WISDOMTREE EMG MARKET
 EQUITY INC ET        OTHER     97717W315        237      4150 Shares                 X                  3          0      0    4150
WISDOMTREE GLB EX-US
 REAL ESTATE ETF      PREFERRED 97717W331        180      6015 Shares                 X                  1          0      0    6015
WISDOMTREE JAPAN SM
 CAP DIVIDEND ETF *   OTHER     97717W836         44      1000 Shares                          X         1          0      0    1000
WORLD FUEL SERVICES
 CORPORATION          COMMON    981475106         80      1950 Shares                 X                  1       1950      0       0
WORTHINGTON INDS INC
 COM                  COMMON    981811102        312     12000 Shares                          X         1          0      0   12000
WPX ENERGY INC-W/I    COMMON    98212B103          1        59 Shares                 X                  1         59      0       0
WPX ENERGY INC-W/I    COMMON    98212B103          6       400 Shares                          X         1          0      0     400
WR GRACE & CO         COMMON    38388F108        440      6548 Shares                 X                  1       6548      0       0
WR GRACE & CO         COMMON    38388F108        329      4890 Shares                 X                  3       4890      0       0
WYNDHAM WORLDWIDE
 CORP                 COMMON    98310W108         70      1312 Shares                 X                  1       1312      0       0
WYNDHAM WORLDWIDE
 CORP                 COMMON    98310W108         20       381 Shares                          X         1        381      0       0
WYNN RESORTS LIMITED  COMMON    983134107         11       100 Shares                 X                  1        100      0       0
XCEL ENERGY INC COM   COMMON    98389B100        106      3954 Shares                 X                  1       3954      0       0
XCEL ENERGY INC COM   COMMON    98389B100         66      2464 Shares                          X         1       2464      0       0
XEROX CORPORATION
 COMMON               COMMON    984121103         15      2175 Shares                 X                  1       2175      0       0
XILINX COM            COMMON    983919101         16       442 Shares                 X                  1        442      0       0
XL GROUP PLC          COMMON    G98290102          8       300 Shares                          X         1        300      0       0
XYLEM INC-W/I         COMMON    98419M100         15       557 Shares                 X                  1        557      0       0
XYLEM INC-W/I         COMMON    98419M100         71      2620 Shares                          X         1       2620      0       0
YAHOO INC COM         COMMON    984332106         19       957 Shares                 X                  1        957      0       0
YAHOO INC COM         COMMON    984332106         20      1000 Shares                          X         1       1000      0       0
YAMANA GOLD INC       COMMON    98462Y100          1        50 Shares                          X         1          0      0      50
YORK WATER COMPANY    COMMON    987184108       1007     57303 Shares                 X                  1      57303      0       0
YORK WATER COMPANY    COMMON    987184108        681     38744 Shares                          X         1      38494      0     250
YUM! BRANDS INC       COMMON    988498101        577      8692 Shares                 X                  1       8692      0       0
YUM! BRANDS INC       COMMON    988498101        701     10550 Shares                          X         1       8350      0    2200
ZIMMER HOLDINGS INC
 COMMON               COMMON    98956P102        454      6809 Shares                 X                  1       6809      0       0
ZIMMER HOLDINGS INC
 COMMON               COMMON    98956P102        393      5891 Shares                          X         1       4841      0    1050
ZIMMER HOLDINGS INC
 COMMON               COMMON    98956P102         11       161 Shares                 X                  3        161      0       0
ZIONS BANCORPORATION
 COM                  COMMON    989701107         33      1555 Shares                 X                  1       1555      0       0
ZIONS BANCORPORATION
 COM                  COMMON    989701107          1        25 Shares                          X         1         25      0       0
ZWEIG TOTAL RETURN FD
 INC                  PREFERRED 989837208          4       356 Shares                 X                  1          0      0     356
                      1982                   2101451  41795804                                               33349201      0 8446603


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