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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 9/30/2011

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

Institutional Investment Manager Filing this Report:

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

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:

/s/ Mark Czarnecki, President            Buffalo, New York          10/27/2011
---------------------------------  ----------------------------  ---------------
          [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
028-10909               MTB Investment Advisors, Inc.
028-11878               M&T Trust Company of Delaware, 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               Rodney Square Management Corporation
028-03740               Wilmington Trust FSB




                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                 3

Form 13-F Information Table Entry Total:       2,184

Form 13-F Information Table Value Total:   2,317,729
                                          -----------
                                          (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              MTB Investment Advisors, Inc.
4     028-11878              M&T Trust Company of Delaware, Inc.




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
ABB LTD SPON
 ADR             COMMON   000375204          3         200 Shares              X                        1         200      0       0
ABB LTD SPON
 ADR             COMMON   000375204         35        2060 Shares                       X               1        2060      0       0
ACCO BRANDS
 CORP            COMMON   00081T108          2         498 Shares              X                        1         498      0       0
ACCO BRANDS
 CORP            COMMON   00081T108          0         103 Shares                       X               1         103      0       0
ACNB CORP        COMMON   000868109        278       20301 Shares              X                        1       14374      0    5927
ACNB CORP        COMMON   000868109          0           1 Shares              X                        3           1      0       0
AFLAC INC        COMMON   001055102        310        8874 Shares              X                        1        8874      0       0
AFLAC INC        COMMON   001055102        452       12920 Shares                       X               1       12520      0     400
AGIC INTL &
 PREMIUM
 STRATEGY FD     COMMON   00119Q100         10        1000 Shares                       X               1           0      0       0
AGL RESOURCES
 INC             COMMON   001204106         18         440 Shares              X                        1         440      0       0
AGL RESOURCES
 INC             COMMON   001204106         16         400 Shares                       X               1         400      0       0
AES CORP COM     COMMON   00130H105        251       25800 Shares              X                        1        2300      0   23500
AES CORP COM     COMMON   00130H105         14        1325 Shares              X                        3        1325      0       0
AK STEEL
 HOLDING
 CORP COM        COMMON   001547108          0          66 Shares              X                        1          66      0       0
AOL INC          COMMON   00184X105          1         105 Shares              X                        1         105      0       0
AOL INC          COMMON   00184X105          1          95 Shares                       X               1          95      0       0
AT&T INC         COMMON   00206R102      16210      568344 Shares              X                        1      522753      0   45591
AT&T INC         COMMON   00206R102       9472      332102 Shares                       X               1      288551      0   43551
AT&T INC         COMMON   00206R102        755       26485 Shares              X                        3       21805      0    4680
ATP OIL & GAS
 CORP COM        COMMON   00208J108         77       10000 Shares              X                        1           0      0   10000
AVI BIOPHARMA
 INC             COMMON   002346104         11       10000 Shares              X                        1       10000      0       0
AXT INC          COMMON   00246W103         11        2100 Shares              X                        3        2100      0       0
ABBOTT
 LABORATORIES    COMMON   002824100       8181      159968 Shares              X                        1      144063      0   15905
ABBOTT
 LABORATORIES    COMMON   002824100       3879       75849 Shares                       X               1       73564      0    2285
ABBOTT
 LABORATORIES    COMMON   002824100        469        9135 Shares              X                        3        5640      0    3495
ABERCROMBIE &
 FITCH CO CL A   COMMON   002896207          2          25 Shares              X                        1          25      0       0
ABERCROMBIE &
 FITCH CO CL A   COMMON   002896207         48         750 Shares              X                        3         750      0       0
ABERDEEN ASIA
 PACIFIC INC
 FD              COMMON   003009107         17        2533 Shares              X                        1           0      0       0
ABERDEEN
 AUSTRALIA
 EQUITY FUND     COMMON   003011103          5         500 Shares                       X               1           0      0       0
ABERDEEN
 CHILE FUND
 INC             COMMON   00301W105          5         350 Shares              X                        1           0      0       0
ACME PACKET
 INC             COMMON   004764106        774       18180 Shares              X                        1       18180      0       0
ACME PACKET
 INC             COMMON   004764106         24         562 Shares                       X               1         562      0       0
ACTIVISION
 BLIZZARD INC    COMMON   00507V109        197       16586 Shares              X                        1       14858      0    1728
ACTIVISION
 BLIZZARD INC    COMMON   00507V109        109        9150 Shares                       X               1        9150      0       0
ADOBE SYS INC
 COM             COMMON   00724F101         36        1495 Shares              X                        1        1495      0       0
ADOBE SYS INC
 COM             COMMON   00724F101         16         665 Shares                       X               1         665      0       0
ADTRAN INC COM   COMMON   00738A106        303       11468 Shares              X                        1       11468      0       0
ADTRAN INC COM   COMMON   00738A106       4123      155825 Shares              X                        3        9210      0       0
ADVANCE AUTO
 PARTS           COMMON   00751Y106         35         600 Shares              X                        1         600      0       0
ADVANCED
 SEMICONDUCTOR
 E ADR           COMMON   00756M404         18        4155 Shares              X                        1        4155      0       0
AECOM
 TECHNOLOGY
 CORP            COMMON   00766T100         35        2000 Shares              X                        1           0      0    2000
ADVANCED
 MICRO
 DEVICES INC
 COM             COMMON   007903107        785      154431 Shares              X                        1      154431      0       0
ADVANCED
 MICRO
 DEVICES INC
 COM             COMMON   007903107          3         500 Shares                       X               1         500      0       0
ADVANCED
 MICRO
 DEVICES INC
 COM             COMMON   007903107       1698      334298 Shares              X                        3       10949      0       0
AEGON NV ORD
 AMER REG SHS    COMMON   007924103         10        2349 Shares                       X               1        2349      0       0
AES TRUST III
 PFD CONV
 6.75% 10/29     COMMON   00808N202        678       13800 Shares              X                        1           0      0       0
AES TRUST III
 PFD CONV
 6.75% 10/29     COMMON   00808N202         16         325 Shares                       X               1           0      0       0
AETNA INC NEW
 COM             COMMON   00817Y108        486       13377 Shares              X                        1       13377      0       0
AFFILIATED
 MANAGERS
 GROUP           COMMON   008252108         11         145 Shares                       X               1         145      0       0
AGILENT
 TECHNOLOGIES
 INC COM         COMMON   00846U101          1          43 Shares              X                        1          43      0       0
AGILENT
 TECHNOLOGIES
 INC COM         COMMON   00846U101         27         853 Shares                       X               1         243      0     610
AGILENT
 TECHNOLOGIES
 INC COM         COMMON   00846U101          8         229 Shares              X                        3         229      0       0
AGRIUM INC       COMMON   008916108         10         150 Shares              X                        1         150      0       0
AIR PRODUCTS
 & CHEMICALS
 INC             COMMON   009158106       3661       47942 Shares              X                        1       47468      0     474
AIR PRODUCTS
 & CHEMICALS
 INC             COMMON   009158106       1367       17903 Shares                       X               1       16489      0    1414
AIR PRODUCTS
 & CHEMICALS
 INC             COMMON   009158106        995       12490 Shares              X                        3       11203      0    1287
ALBEMARLE
 CORP COM        COMMON   012653101       2401       59428 Shares              X                        1       59176      0     252
ALBEMARLE
 CORP COM        COMMON   012653101        985       24392 Shares                       X               1       24392      0       0
ALBEMARLE
 CORP COM        COMMON   012653101          5         112 Shares              X                        3         112      0       0
ALCOA INC COM    COMMON   013817101        381       39809 Shares              X                        1       39509      0     300
ALCOA INC COM    COMMON   013817101        208       21730 Shares                       X               1       20970      0     760


                                     1 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
ALCATEL-LUCENT
 - SPON ADR      COMMON   013904305          2         612 Shares              X                        1         612      0       0
ALCATEL-LUCENT
 - SPON ADR      COMMON   013904305          1         357 Shares                       X               1         357      0       0
ALEX &
 BALDWIN INC     COMMON   014482103       1194       32675 Shares              X                        1       32315      0     360
ALEX &
 BALDWIN INC     COMMON   014482103        125        3420 Shares                       X               1        3420      0       0
ALEX &
 BALDWIN INC     COMMON   014482103          3          72 Shares              X                        3          72      0       0
ALERE INC        COMMON   01449J105        125        6382 Shares              X                        1        6382      0       0
ALERE INC        COMMON   01449J105       1554       79120 Shares              X                        3        4564      0       0
ALEXION
 PHARMACEUTICALS
 INC COM         COMMON   015351109       2283       35634 Shares              X                        1       35032      0     602
ALEXION
 PHARMACEUTICALS
 INC COM         COMMON   015351109        176        2740 Shares                       X               1        2440      0     300
ALIGN TECH INC   COMMON   016255101         26        1743 Shares              X                        1        1743      0       0
ALIGN TECH INC   COMMON   016255101        994       65500 Shares              X                        3         994      0       0
ALLEGHENY
 TECHNOLOGIES
 INC COM         COMMON   01741R102         36         962 Shares              X                        1         962      0       0
ALLEGHENY
 TECH CONV
 4.250%
 6/01/14         COMMON   01741RAD4          2        2000 Shares              X                        1           0      0       0
ALLERGAN INC     COMMON   018490102       2857       34684 Shares              X                        1       34216      0     468
ALLERGAN INC     COMMON   018490102        207        2514 Shares                       X               1        2514      0       0
ALLETE INC       COMMON   018522300         48        1300 Shares                       X               1        1300      0       0
ALLIANT
 TECHSYSTEMS
 INC             COMMON   018804104         22         405 Shares                       X               1         405      0       0
ALLSCRIPTS-MISYS
 HEALTHCARE      COMMON   01988P108        349       19359 Shares              X                        1       19359      0       0
ALLSCRIPTS-MISYS
 HEALTHCARE      COMMON   01988P108         62        3450 Shares                       X               1        3450      0       0
ALLSCRIPTS-MISYS
 HEALTHCARE      COMMON   01988P108       3056      169620 Shares              X                        3       10932      0       0
ALLSTATE CORP    COMMON   020002101        278       11721 Shares              X                        1       10721      0    1000
ALLSTATE CORP    COMMON   020002101        130        5474 Shares                       X               1        5474      0       0
ALNYLAM
 PHARMACEUTICALS
 INC             COMMON   02043Q107          1         100 Shares              X                        1         100      0       0
ALON USA
 ENERGY INC      COMMON   020520102          9        1500 Shares              X                        1        1500      0       0
ALPHA NATURAL
 RESOURCES       COMMON   02076X102         27        1537 Shares                       X               1        1537      0       0
ALPINE GLOBAL
 PREMIER PPTYS   COMMON   02083A103      16859     3157058 Shares              X                        1           0      0       0
ALPINE GLOBAL
 PREMIER PPTYS   COMMON   02083A103       2319      434290 Shares                       X               1           0      0       0
ALPINE GLOBAL
 PREMIER PPTYS   COMMON   02083A103       2817      523446 Shares              X                        3       18710      0       0
ALPINE GLOBAL
 PREMIER PPTYS   COMMON   02083A103          9        1595 Shares              X                        4           0      0       0
ALPINE TOTAL
 DYNAMIC DVD
 FD              COMMON   021060108         31        6844 Shares              X                        1           0      0       0
ALPINE TOTAL
 DYNAMIC DVD
 FD              COMMON   021060108          7        1500 Shares                       X               1           0      0       0
ALTERA CORP
 COM             COMMON   021441100        389       12346 Shares              X                        1       12346      0       0
ALTERA CORP
 COM             COMMON   021441100       3698      117290 Shares              X                        3        8143      0       0
ALTRIA GROUP
 INC             COMMON   02209S103       8603      320875 Shares              X                        1      316637      0    4238
ALTRIA GROUP
 INC             COMMON   02209S103       3513      131015 Shares                       X               1      123967      0    7048
ALTRIA GROUP
 INC             COMMON   02209S103       1068       39390 Shares              X                        3       39390      0       0
AMAZON.COM INC   COMMON   023135106       5441       25165 Shares              X                        1       24927      0     238
AMAZON.COM INC   COMMON   023135106        366        1693 Shares                       X               1        1128      0     565
AMAZON.COM INC   COMMON   023135106       3471       16062 Shares              X                        3        6657      0       0
AMEREN CORP      COMMON   023608102          3         100 Shares              X                        1         100      0       0
AMERICA MOVIL
 SA - SPONS
 ADR SER L       COMMON   02364W105         46        2100 Shares              X                        1        2100      0       0
AMERICA MOVIL
 SA - SPONS
 ADR SER L       COMMON   02364W105        267       12100 Shares                       X               1        6600      0    5500
AMERICA MOVIL
 SA - SPON
 ADR SER A       COMMON   02364W204          0           1 Shares              X                        3           1      0       0
AMERICAN
 CAPITAL
 AGENCY CORP     COMMON   02503X105          7         250 Shares              X                        1           0      0       0
AMERICAN
 CAPITAL
 AGENCY CORP     COMMON   02503X105          8         300 Shares                       X               1           0      0       0
AMERICAN
 CAPITAL LTD     COMMON   02503Y103          5         764 Shares              X                        1           0      0     764
AMERICAN
 ELECTRIC
 POWER CO INC    COMMON   025537101        170        4465 Shares              X                        1        4465      0       0
AMERICAN
 ELECTRIC
 POWER CO INC    COMMON   025537101        102        2684 Shares                       X               1        1854      0     830
AMERICAN
 EAGLE
 OUTFITTER INC   COMMON   02553E106          3         235 Shares              X                        1         235      0       0
AMERICAN
 ELECTRIC
 TECHNOLOGIES
 INC             COMMON   025576109          0         100 Shares              X                        1         100      0       0
AM EX CO         COMMON   025816109        750       16720 Shares              X                        1       12170      0    4550
AM EX CO         COMMON   025816109        513       11423 Shares                       X               1        9145      0    2278
AMERICAN
 FINANCIAL
 GROUP INC       COMMON   025932104         19         600 Shares                       X               1           0      0     600
AMERICAN INTL
 CW21
 1/19/21         COMMON   026874156          1          94 Shares              X                        1          94      0       0
AMERICAN INTL
 CW21
 1/19/21         COMMON   026874156          1          88 Shares                       X               1          35      0      53
AMERICAN
 INTERNATIONAL
 GROUP           COMMON   026874784          4         190 Shares              X                        1         190      0       0
AMERICAN
 INTERNATIONAL
 GROUP           COMMON   026874784          3         157 Shares                       X               1          57      0     100
AMERICAN
 TOWER CORP
 CL A            COMMON   029912201         16         299 Shares              X                        1         299      0       0
AMERICAN
 WATER WORKS
 CO INC          COMMON   030420103         21         701 Shares              X                        1         701      0       0
AMERICAN
 WATER WORKS
 CO INC          COMMON   030420103         60        2000 Shares                       X               1        2000      0       0
AMERISOURCE
 BERGEN CORP
 COM             COMMON   03073E105         68        1814 Shares              X                        1        1814      0       0
AMERIPRISE
 FINANCIAL INC   COMMON   03076C106         59        1507 Shares              X                        1        1387      0     120
AMERIPRISE
 FINANCIAL INC   COMMON   03076C106         56        1431 Shares                       X               1        1236      0     195
AMERIS BANCORP   COMMON   03076K108          1         123 Shares              X                        1         123      0       0
AMERIGAS
 PARTNERS LP     COMMON   030975106         13         300 Shares                       X               1         300      0       0
AMGEN INC COM    COMMON   031162100       3223       58643 Shares              X                        1       58643      0       0
AMGEN INC COM    COMMON   031162100       1229       22353 Shares                       X               1       18003      0    4350


                                     2 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
AMGEN INC COM    COMMON   031162100        115        2075 Shares              X                        3        2075      0       0
AMGEN INC COM    COMMON   031162100         33         600 Shares                       X               4         600      0       0
AMPAL-AMERICAN
 ISRAEL CORP A   COMMON   032015109          9       25359 Shares              X                        1       25359      0       0
AMPHENOL CORP
 NEW CL A        COMMON   032095101          1          30 Shares              X                        1          30      0       0
AMYRIS INC       COMMON   03236M101        110        5427 Shares              X                        1        5427      0       0
AMYRIS INC       COMMON   03236M101       1332       65810 Shares              X                        3        3889      0       0
ANADARKO
 PETROLEUM
 CORP            COMMON   032511107        255        4040 Shares              X                        1        4040      0       0
ANADARKO
 PETROLEUM
 CORP            COMMON   032511107        163        2585 Shares                       X               1        2585      0       0
ANALOG
 DEVICES INC     COMMON   032654105         10         318 Shares              X                        1         318      0       0
ANALOG
 DEVICES INC     COMMON   032654105         11         360 Shares                       X               1         360      0       0
ANAREN INC       COMMON   032744104         69        3613 Shares              X                        1        3613      0       0
ANCESTRY COM
 INC             COMMON   032803108         24        1025 Shares              X                        1        1025      0       0
ANCESTRY COM
 INC             COMMON   032803108        881       37500 Shares              X                        3         881      0       0
ANCHOR
 BANCORP
 WISCONSIN INC   COMMON   032839102          0         250 Shares              X                        1         250      0       0
ANNALY
 CAPITAL
 MANAGEMENT
 INC (REIT)      COMMON   035710409         69        4130 Shares              X                        1           0      0       0
ANNALY
 CAPITAL
 MANAGEMENT
 INC (REIT)      COMMON   035710409          5         300 Shares                       X               1           0      0       0
ANNAPOLIS
 BANCORP
 INCORPORATED    COMMON   035848100          5        1333 Shares                       X               1        1333      0       0
ANSYS INC        COMMON   03662Q105        390        7951 Shares              X                        1        7951      0       0
ANSYS INC        COMMON   03662Q105       4785       97562 Shares              X                        3        8427      0       0
AON CORP         COMMON   037389103        693       16500 Shares              X                        1        4600      0   11900
APACHE CORP
 COM             COMMON   037411105       5116       63755 Shares              X                        1       63379      0     376
APACHE CORP
 COM             COMMON   037411105        865       10785 Shares                       X               1        9837      0     948
APACHE CORP
 COM             COMMON   037411105        847        9099 Shares              X                        3        7760      0    1339
APACHE CORP
 COM             COMMON   037411105         32         400 Shares                       X               4         400      0       0
APACHE CORP
 CONV PFD
 6%8/13 SER      COMMON   037411808          5          99 Shares              X                        1           0      0       0
APOLLO GROUP
 INC CL A        COMMON   037604105         23         575 Shares              X                        1         575      0       0
APOLLO
 INVESTMENT
 CORPORATION     COMMON   03761U106         23        3000 Shares              X                        1           0      0       0
APOLLO
 INVESTMENT
 CORPORATION     COMMON   03761U106          6         800 Shares                       X               1           0      0       0
APPLE INC        COMMON   037833100      33082       86756 Shares              X                        1       77996      0    8760
APPLE INC        COMMON   037833100       4481       11752 Shares                       X               1       10658      0    1094
APPLE INC        COMMON   037833100      12828       33602 Shares              X                        3       17420      0     712
APPLE INC        COMMON   037833100        496        1300 Shares                       X               4        1300      0       0
APPLIED
 MATERIALS
 INC COM         COMMON   038222105         47        4501 Shares              X                        1        3501      0    1000
APPLIED
 MATERIALS
 INC COM         COMMON   038222105         39        3800 Shares                       X               1        3400      0     400
AQUA AMERICA
 INC             COMMON   03836W103         36        1683 Shares              X                        1        1683      0       0
AQUA AMERICA
 INC             COMMON   03836W103         26        1200 Shares                       X               1        1000      0     200
AQUA AMERICA
 INC             COMMON   03836W103         22         988 Shares              X                        3         988      0       0
ARCH
 CHEMICALS
 INC COM         COMMON   03937R102          5         100 Shares                       X               1         100      0       0
ARCH COAL INC    COMMON   039380100         17        1154 Shares              X                        1        1154      0       0
ARCELORMITTAL-NY
 REGISTERED      COMMON   03938L104          5         300 Shares              X                        1         300      0       0
ARCHER
 DANIELS
 MIDLAND CO
 COM             COMMON   039483102        153        6158 Shares              X                        1        6158      0       0
ARCHER
 DANIELS
 MIDLAND CO
 COM             COMMON   039483102        298       12000 Shares                       X               1        6500      0    5500
ARM HOLDINGS
 PLC             COMMON   042068106       1347       52842 Shares              X                        1       52108      0     734
ARM HOLDINGS
 PLC             COMMON   042068106        126        4954 Shares                       X               1        4954      0       0
ARRIS GROUP      COMMON   04269Q100        203       19720 Shares                       X               1       19720      0       0
ARROW FINL
 CORP            COMMON   042744102         37        1543 Shares              X                        3        1543      0       0
ARTESIAN
 RESOURCES
 CORPORATION
 CL A            COMMON   043113208         15         885 Shares              X                        1         885      0       0
ARUBA
 NETWORKS INC    COMMON   043176106        921       44023 Shares              X                        1       44023      0       0
ARUBA
 NETWORKS INC    COMMON   043176106       5437      260031 Shares              X                        3       12713      0       0
ASHLAND INC      COMMON   044209104         44        1000 Shares              X                        1        1000      0       0
ASHLAND INC      COMMON   044209104         21         474 Shares                       X               1         474      0       0
ASPEN
 TECHNOLOGY
 INC             COMMON   045327103         35        2300 Shares              X                        1        2300      0       0
ASPEN
 TECHNOLOGY
 INC             COMMON   045327103       1278       83700 Shares              X                        3        1278      0       0
ASSURANT INC     COMMON   04621X108          5         145 Shares              X                        1         145      0       0
ASTRAZENECA
 GROUP PLC
 SPONSORED ADR   COMMON   046353108         64        1449 Shares              X                        1        1375      0      74
ASTRAZENECA
 GROUP PLC
 SPONSORED ADR   COMMON   046353108         53        1188 Shares                       X               1        1188      0       0
ATLAS
 PIPELINE
 PARTNERS LP     COMMON   049392103          2          60 Shares                       X               1          60      0       0
AUTODESK COM     COMMON   052769106        249        8977 Shares              X                        1        8977      0       0
AUTODESK COM     COMMON   052769106         28        1000 Shares                       X               1        1000      0       0
AUTODESK COM     COMMON   052769106       2756       99197 Shares              X                        3        6975      0       0
AUTOMATIC
 DATA
 PROCESSING
 INC             COMMON   053015103       1728       36633 Shares              X                        1       32788      0    3845
AUTOMATIC
 DATA
 PROCESSING
 INC             COMMON   053015103       1923       40794 Shares                       X               1       38044      0    2750
AUTOZONE INC
 COM             COMMON   053332102         82         256 Shares              X                        1         256      0       0
AUTOZONE INC
 COM             COMMON   053332102         64         200 Shares                       X               1         200      0       0
AUXILIUM
 PHARMACEUTICALS
 INC             COMMON   05334D107         99        6573 Shares              X                        1        6573      0       0
AUXILIUM
 PHARMACEUTICALS
 INC             COMMON   05334D107       1227       81875 Shares              X                        3        4379      0       0
AVALONBAY
 COMMUNITIES
 INC             COMMON   053484101         29         257 Shares              X                        1           0      0       0


                                     3 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
AVERY
 DENNISON
 CORP COM        COMMON   053611109          5         180 Shares              X                        1         180      0       0
AVIAT
 NETWORKS INC    COMMON   05366Y102          0         186 Shares              X                        3         186      0       0
AVIS BUDGET
 GROUP INC       COMMON   053774105          2         208 Shares              X                        1         208      0       0
AVON PRODUCTS
 INC             COMMON   054303102        124        6344 Shares              X                        1        6344      0       0
AVON PRODUCTS
 INC             COMMON   054303102        215       10956 Shares                       X               1        9956      0    1000
AVON PRODUCTS
 INC             COMMON   054303102         45        2000 Shares              X                        3        2000      0       0
BB&T CORP COM    COMMON   054937107        410       19210 Shares              X                        1       14810      0    4400
BB&T CORP COM    COMMON   054937107        371       17410 Shares                       X               1       17410      0       0
BCE INC          COMMON   05534B760        107        2844 Shares              X                        1        2718      0     126
BCE INC          COMMON   05534B760         12         310 Shares                       X               1         310      0       0
BGC PARTNERS     COMMON
 INC             CL A     05541T101         39        6475 Shares              X                        1        6475      0       0
BGC PARTNERS     COMMON
 INC             CL A     05541T101       1550      257000 Shares              X                        3        1550      0       0
BOK FINANCIAL
 CORPORATION     COMMON   05561Q201          1          11 Shares              X                        1          11      0       0
BP PLC
 SPONSORED ADR   COMMON   055622104        532       14742 Shares              X                        1       14742      0       0
BP PLC
 SPONSORED ADR   COMMON   055622104        575       15941 Shares                       X               1       15341      0     600
BMC SOFTWARE
 INC COM         COMMON   055921100        232        6014 Shares              X                        1        6014      0       0
BMC SOFTWARE
 INC COM         COMMON   055921100       2568       66600 Shares              X                        3        5068      0       0
BABCOCK &
 WILCOX CO       COMMON   05615F102        236       12057 Shares              X                        1       12057      0       0
BABCOCK &
 WILCOX CO       COMMON   05615F102          5         275 Shares                       X               1         275      0       0
BABCOCK &
 WILCOX CO       COMMON   05615F102       2670      136533 Shares              X                        3        8238      0       0
BAIDU
 INC-SPON ADR    COMMON   056752108        468        4373 Shares              X                        1        4373      0       0
BAIDU
 INC-SPON ADR    COMMON   056752108        695        6501 Shares              X                        3         875      0       0
BAKER HUGHES
 INC COM         COMMON   057224107        921       19957 Shares              X                        1       16957      0    3000
BAKER HUGHES
 INC COM         COMMON   057224107         30         650 Shares                       X               1         650      0       0
BAKER HUGHES
 INC COM         COMMON   057224107       1538       33326 Shares              X                        3        2326      0       0
BALL
 CORPORATION     COMMON   058498106       1424       45900 Shares              X                        1       45900      0       0
BANCO
 BRADESCO -
 SPONS ADR       COMMON   059460303         15        1040 Shares              X                        1        1040      0       0
BANCO BILBAO
 VIZCAYA
 ARGENTARIA
 ADR             COMMON   05946K101         13        1576 Shares              X                        1        1576      0       0
BANCO
 SANTANDER SA
 - SPONS ADR     COMMON   05964H105         33        4080 Shares              X                        1        4080      0       0
BANCO
 SANTANDER SA
 - SPONS ADR     COMMON   05964H105         15        1835 Shares                       X               1        1700      0     135
BANCOLOMBIA
 SA SPONS ADR    COMMON   05968L102         20         362 Shares              X                        1         362      0       0
BANCORPSOUTH
 INC COM         COMMON   059692103          4         420 Shares              X                        1         420      0       0
BANK AMER CORP   COMMON   060505104       2999      490057 Shares              X                        1      479794      0   10263
BANK AMER CORP   COMMON   060505104        769      125690 Shares                       X               1      118027      0    7663
BANK AMER CORP   COMMON   060505104       1502      225431 Shares              X                        3       76211      0   10077
BANK AMER
 CORP
 WARRANTS
 1/16/19         COMMON   060505146        140       51800 Shares              X                        1           0      0   51800
BANK AMER
 CORP
 WARRANTS
 10/28/18        COMMON   060505153        109      128670 Shares              X                        1           0      0  128670
BANK AMER PFD
 CONV 7.25%
 SER L           COMMON   060505682         38          50 Shares                       X               1           0      0       0
BANK NEW YORK
 MELLON CORP     COMMON   064058100       1514       81455 Shares              X                        1       79012      0    2443
BANK NEW YORK
 MELLON CORP     COMMON   064058100        226       12135 Shares                       X               1       11323      0     812
BANK NEW YORK
 MELLON CORP     COMMON   064058100         20        1100 Shares              X                        3        1100      0       0
BARD C R INC
 COM             COMMON   067383109         44         500 Shares              X                        1         500      0       0
BARD C R INC
 COM             COMMON   067383109        289        3300 Shares                       X               1        3300      0       0
BARD C R INC
 COM             COMMON   067383109        137        1441 Shares              X                        3        1441      0       0
BARCLAYS PLC
 - SPONS ADR     COMMON   06738E204          6         572 Shares              X                        1         572      0       0
BARCLAYS PLC
 - SPONS ADR     COMMON   06738E204          7         755 Shares                       X               1         755      0       0
BARNES GROUP
 INCORPORATED    COMMON   067806109          8         425 Shares              X                        1         425      0       0
BARRICK GOLD
 CORP            COMMON   067901108         18         394 Shares              X                        1         394      0       0
BARRICK GOLD
 CORP            COMMON   067901108        156        3345 Shares                       X               1        3345      0       0
BASIC ENERGY
 SVCS            COMMON   06985P100         42        2975 Shares              X                        1        2975      0       0
BASIC ENERGY
 SVCS            COMMON   06985P100       1543      109000 Shares              X                        3        1543      0       0
BAXTER INTL
 INC             COMMON   071813109        942       16787 Shares              X                        1       16787      0       0
BAXTER INTL
 INC             COMMON   071813109        328        5850 Shares                       X               1        5850      0       0
BAXTER INTL
 INC             COMMON   071813109        538        9601 Shares              X                        3        2050      0       0
BECTON
 DICKINSON &
 CO COM          COMMON   075887109       1134       15463 Shares              X                        1       15463      0       0
BECTON
 DICKINSON &
 CO COM          COMMON   075887109        334        4554 Shares                       X               1        4554      0       0
BED BATH &
 BEYOND INC
 COM             COMMON   075896100        118        2054 Shares              X                        1        2054      0       0
BENIHANA INC     COMMON   082047101          1         101 Shares              X                        3         101      0       0
BENIHANA
 INCORPORATED
 CLASS A         COMMON   082047200          0          16 Shares              X                        3          16      0       0
BERKSHIRE
 HATHAWAY INC
 CLASS A         COMMON   084670108        320           3 Shares                       X               1           3      0       0
BERKSHIRE
 HATHAWAY INC
 DEL CL B        COMMON   084670702       4088       57544 Shares              X                        1       56779      0     765
BERKSHIRE
 HATHAWAY INC
 DEL CL B        COMMON   084670702        970       13654 Shares                       X               1       11566      0    2088
BERKSHIRE
 HATHAWAY INC
 DEL CL B        COMMON   084670702          5          76 Shares              X                        3          76      0       0
BEST BUY
 COMPANY INC     COMMON   086516101       1049       45005 Shares              X                        1       44289      0     716
BEST BUY
 COMPANY INC     COMMON   086516101        160        6852 Shares                       X               1        6820      0      32
BEST BUY
 COMPANY INC     COMMON   086516101        151        6462 Shares              X                        3        3467      0    2995
BEST BUY
 COMPANY INC     COMMON   086516101         21         900 Shares                       X               4         900      0       0


                                     4 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
BHP BILLITON
 LTD
 SPONSORED ADR   COMMON   088606108        397        5981 Shares              X                        1        5981      0       0
BHP BILLITON
 LTD
 SPONSORED ADR   COMMON   088606108        386        5817 Shares                       X               1        4345      0    1472
BIOMARIN
 PHARMACEUTICAL
 INC             COMMON   09061G101          6         200 Shares              X                        1         200      0       0
BIOGEN IDEC
 INC             COMMON   09062X103       1517       16282 Shares              X                        1       16282      0       0
BIOGEN IDEC
 INC             COMMON   09062X103        198        2121 Shares                       X               1        2011      0     110
BLACK HILLS
 CORP            COMMON   092113109         49        1600 Shares              X                        1        1600      0       0
BLACKROCK INC    COMMON   09247X101       1781       12033 Shares              X                        1       12033      0       0
BLACKROCK INC    COMMON   09247X101        246        1660 Shares                       X               1        1660      0       0
BLACKROCK INC    COMMON   09247X101         49         300 Shares              X                        3         300      0       0
BLACKROCK
 ENERGY &
 RESOURCES
 TRUST           COMMON   09250U101          5         215 Shares                       X               1           0      0       0
BLACKROCK
 HEALTH
 SCIENCES
 TRUST           COMMON   09250W107        120        5000 Shares                       X               1           0      0       0
BLACKROCK
 INTL GROWTH
 & INCOME TR     COMMON   092524107         34        4400 Shares              X                        1           0      0       0
BLACKROCK
 KELSO
 CAPITAL CORP    COMMON   092533108          2         250 Shares              X                        1         250      0       0
BLACKROCK
 KELSO
 CAPITAL CORP    COMMON   092533108          3         420 Shares                       X               1         420      0       0
BLACKSTONE
 GROUP LP
 (THE)           COMMON   09253U108        956       79797 Shares              X                        1       78647      0    1150
BLACKSTONE
 GROUP LP
 (THE)           COMMON   09253U108         59        4952 Shares                       X               1        2644      0    2308
BLACKSTONE
 GROUP LP
 (THE)           COMMON   09253U108        651       48618 Shares              X                        3       48618      0       0
BLACKROCK
 REAL ASSET
 EQUITY TRUST    COMMON   09254B109         21        2000 Shares              X                        1           0      0       0
BLACKROCK
 MUNIYLD
 QUALITY FUND
 II              COMMON   09254G108         88        6850 Shares                       X               1           0      0       0
BLACKROCK
 MUNIHLDGS NJ
 QUALITY FUND    COMMON   09254X101         44        3050 Shares                       X               1           0      0       0
BLACKROCK
 MUNIHLDGS NY
 QUALITY FUND    COMMON   09255C106         44        3050 Shares                       X               1           0      0       0
BLACKROCK
 CORP HI YLD
 FD V            COMMON   09255N102        205       18980 Shares              X                        1           0      0       0
BLACKROCK
 CORP HI YLD
 FD VI           COMMON   09255P107        172       16260 Shares              X                        1           0      0       0
BLACKROCK
 DEFINED
 OPPORTUNITY     COMMON   09255Q105         13        1056 Shares              X                        1           0      0       0
BLOCK H & R
 INC             COMMON   093671105          5         370 Shares              X                        1         370      0       0
BLOCK H & R
 INC             COMMON   093671105          3         200 Shares                       X               1         200      0       0
BLONDER
 TONGUE LABS
 INC COM         COMMON   093698108        258      200001 Shares              X                        3      200001      0       0
BODY CENT CORP   COM
                 USD0.001 09689U102         27        1475 Shares              X                        1        1475      0       0
BODY CENT CORP   COM
                 USD0.001 09689U102        972       53500 Shares              X                        3         972      0       0
BOEING CO COM    COMMON   097023105       5042       83319 Shares              X                        1       82646      0     673
BOEING CO COM    COMMON   097023105       1056       17454 Shares                       X               1       15592      0    1862
BOEING CO COM    COMMON   097023105       2715       43880 Shares              X                        3       14756      0       0
BON-TON
 STORES
 INCORPORATED    COMMON   09776J101          2         500 Shares              X                        1         500      0       0
BORG WARNER
 INC COM         COMMON   099724106        965       15941 Shares              X                        1       15941      0       0
BORG WARNER
 INC COM         COMMON   099724106       4969       82093 Shares              X                        3        7875      0       0
BOSTON BEER
 INCORPORATED
 CLASS A         COMMON   100557107          4          50 Shares              X                        1          50      0       0
BOSTON
 PROPERTIES
 INC (REIT)      COMMON   101121101         25         275 Shares              X                        1           0      0       0
BOSTON
 PROPERTIES
 INC (REIT)      COMMON   101121101         53         600 Shares                       X               1           0      0       0
BRANDYWINE
 REALTY TRUST
 (REIT)          COMMON   105368203         12        1500 Shares              X                        1           0      0       0
BRASIL
 TELECOM SA -
 ADR             COMMON   10553M101          2          94 Shares                       X               1          94      0       0
BRASIL
 TELECOM SA -
 ADR             COMMON   10553M200          0          54 Shares                       X               1          54      0       0
BRAVO BRIO
 REST GP         COM NPV  10567B109         26        1575 Shares              X                        1        1575      0       0
BRAVO BRIO
 REST GP         COM NPV  10567B109        805       48400 Shares              X                        3         805      0       0
BRIGGS &
 STRATTON CORP   COMMON   109043109         55        3401 Shares              X                        3        3401      0       0
BRINKER INTL
 INC COM         COMMON   109641100         34        1612 Shares              X                        1        1612      0       0
BRINKER INTL
 INC COM         COMMON   109641100         30        1425 Shares                       X               1        1425      0       0
BRISTOL-MYERS
 SQUIBB CO       COMMON   110122108       9445      300986 Shares              X                        1      271748      0   29238
BRISTOL-MYERS
 SQUIBB CO       COMMON   110122108       6542      208485 Shares                       X               1      187635      0   20850
BRISTOL-MYERS
 SQUIBB CO       COMMON   110122108        116        3913 Shares              X                        3        3913      0       0
BRISTOL-MYERS
 SQUIBB CO       COMMON   110122108         16         500 Shares                       X               4         500      0       0
BRITISH
 AMERICAN
 TOBACCO-SP
 ADR             COMMON   110448107          2          28 Shares              X                        1          28      0       0
BROADCOM CORP
 CL A            COMMON   111320107        895       26875 Shares              X                        1       26875      0       0
BROADCOM CORP
 CL A            COMMON   111320107       2977       89424 Shares              X                        3        6094      0       0
BROADSOFT        COMMON   11133B409         38        1250 Shares              X                        1        1250      0       0
BROADSOFT        COMMON   11133B409       1411       46500 Shares              X                        3        1411      0       0
BROADSOFT        COMMON   11133B409        314       10333 Shares         X                                     10333      0       0
BROADRIDGE
 FINANCIAL
 SOLUTIONS INC   COMMON   11133T103          3         150 Shares                       X               1         150      0       0
BROCADE
 COMMUNICATIONS
 SYSTEM          COMMON   111621306          2         500 Shares              X                        1         500      0       0
BROWN-FORMAN
 CORP CL B       COMMON   115637209       1146       16338 Shares              X                        1       16154      0     184
BROWN-FORMAN
 CORP CL B       COMMON   115637209        112        1595 Shares                       X               1        1595      0       0
BROWN-FORMAN
 CORP CL B       COMMON   115637209          2          30 Shares              X                        3          30      0       0
BUCKEYE
 PARTNERS LP
 UNIT LTD
 PARTNER         COMMON   118230101          3          50 Shares                       X               1          50      0       0
BUFFALO WILD
 WINGS           COMMON   119848109         25         425 Shares              X                        1         425      0       0
BUFFALO WILD
 WINGS           COMMON   119848109        897       15000 Shares              X                        3         897      0       0
CBS CORP CL B    COMMON   124857202       4423      217018 Shares              X                        1      216718      0     300
CBS CORP CL B    COMMON   124857202         92        4500 Shares                       X               1        3140      0    1360
CBS CORP CL B    COMMON   124857202       8746      425618 Shares              X                        3       53838      0   10006


                                     5 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
CB RICHARD
 ELLIS GROUP
 INC-A           COMMON   12497T101       2999      222797 Shares              X                        1      221799      0     998
CB RICHARD
 ELLIS GROUP
 INC-A           COMMON   12497T101         58        4330 Shares                       X               1        4330      0       0
CB RICHARD
 ELLIS GROUP
 INC-A           COMMON   12497T101       5172      384203 Shares              X                        3       24953      0    6069
CBRE CLARION
 GL R/E
 INCOME FD       COMMON   12504G100       9579     1431842 Shares              X                        1           0      0       0
CBRE CLARION
 GL R/E
 INCOME FD       COMMON   12504G100       1809      270395 Shares                       X               1           0      0       0
CBRE CLARION
 GL R/E
 INCOME FD       COMMON   12504G100       1239      182860 Shares              X                        3       15697      0       0
CBRE CLARION
 GL R/E
 INCOME FD       COMMON   12504G100          6         924 Shares              X                        4           0      0       0
CH ENERGY
 GROUP INC COM   COMMON   12541M102         10         200 Shares              X                        1         200      0       0
CH ENERGY
 GROUP INC COM   COMMON   12541M102         99        1900 Shares                       X               1        1900      0       0
CH ROBINSON
 WORLDWIDE INC   COMMON   12541W209        292        4271 Shares              X                        1        4271      0       0
CH ROBINSON
 WORLDWIDE INC   COMMON   12541W209       3487       50932 Shares              X                        3        5341      0       0
CIGNA CORP       COMMON   125509109         21         500 Shares              X                        1         500      0       0
CIGNA CORP       COMMON   125509109        161        3834 Shares                       X               1        3834      0       0
CIGNA CORP       COMMON   125509109          3          68 Shares              X                        3          68      0       0
CME GROUP INC    COMMON   12572Q105         28         112 Shares              X                        1         112      0       0
CME GROUP INC    COMMON   12572Q105          9          35 Shares                       X               1          35      0       0
CNOOC LTD -ADR   COMMON   126132109         30         188 Shares              X                        1         188      0       0
CPFL ENERGIA
 SA - ADR        COMMON   126153105         33        1500 Shares              X                        1        1500      0       0
CSX CORP         COMMON   126408103       2100      112506 Shares              X                        1      112506      0       0
CSX CORP         COMMON   126408103       1420       76032 Shares                       X               1       75432      0     600
CVR ENERGY INC   COM      12662P108         39        1850 Shares              X                        1        1850      0       0
CVR ENERGY INC   COM      12662P108       1427       67500 Shares              X                        3        1427      0       0
CVS/CAREMARK
 CORP            COMMON   126650100       2157       64224 Shares              X                        1       64224      0       0
CVS/CAREMARK
 CORP            COMMON   126650100        770       22910 Shares                       X               1       22326      0     584
CVS/CAREMARK
 CORP            COMMON   126650100         27         800 Shares                       X               4         800      0       0
CA INC           COMMON   12673P105         97        5000 Shares              X                        1        5000      0       0
CABOT OIL &
 GAS CORP        COMMON   127097103        239        3868 Shares              X                        1        3868      0       0
CABOT OIL &
 GAS CORP        COMMON   127097103       2931       47340 Shares              X                        3        4657      0       0
CALAMOS
 GLOBAL
 DYNAMIC
 INCOME          COMMON   12811L107          8        1200 Shares              X                        1           0      0       0
CALAMOS
 STRATEGIC
 TOT RET FD      COMMON   128125101         40        5000 Shares                       X               1           0      0       0
CALLAWAY GOLF
 CO COM          COMMON   131193104          0          23 Shares              X                        1          23      0       0
CAMDEN
 PROPERTY
 TRUST (REIT)    COMMON   133131102         55        1000 Shares              X                        1           0      0       0
CAMECO
 CORPORATION     COMMON   13321L108          4         200 Shares              X                        1         200      0       0
CAMERON
 INTERNATIONAL
 CORP            COMMON   13342B105       2016       48536 Shares              X                        1       47944      0     592
CAMERON
 INTERNATIONAL
 CORP            COMMON   13342B105         72        1732 Shares                       X               1        1732      0       0
CAMERON
 INTERNATIONAL
 CORP            COMMON   13342B105       2711       65250 Shares              X                        3        5155      0       0
CAMERON
 INTERNATIONAL
 CORP            COMMON   13342B105         21         500 Shares                       X               4         500      0       0
CAMPBELL SOUP
 CO COM          COMMON   134429109         52        1600 Shares              X                        1        1600      0       0
CAMPBELL SOUP
 CO COM          COMMON   134429109        129        3987 Shares                       X               1        3987      0       0
CANADIAN
 NATIONAL
 RAILWAY
 COMPANY         COMMON   136375102         47         701 Shares              X                        1         701      0       0
CANADIAN
 NATURAL
 RESOURCES LTD   COMMON   136385101         11         376 Shares              X                        1         376      0       0
CANADIAN
 NATURAL
 RESOURCES LTD   COMMON   136385101          9         322 Shares                       X               1         322      0       0
CANADIAN
 PACIFIC
 RAILWAY LTD     COMMON   13645T100         55         951 Shares              X                        3         951      0       0
CANON INC
 SPONS ADR       COMMON   138006309         25         555 Shares                       X               1         555      0       0
CAPITAL ONE
 FINANCIAL
 CORP            COMMON   14040H105        388        9800 Shares              X                        1        9800      0       0
CAPITAL ONE
 FINANCIAL
 CORP            COMMON   14040H105        163        4115 Shares                       X               1        3615      0     500
CAPITAL ONE
 FINANCIAL
 CORP            COMMON   14040H105         28         600 Shares              X                        3         600      0       0
WARRANTS -
 CAPITAL ONE
 FINL 11/14/18   COMMON   14040H139        592       42770 Shares              X                        1           0      0   42770
CAPITALSOURCE
 INC             COMMON   14055X102        934      152139 Shares              X                        1        1639      0  150500
CAPSTEAD
 MORTGAGE CV
 PFD $1.26
 SER B           COMMON   14067E308         34        2400 Shares              X                        1           0      0       0
CARBO
 CERAMICS INC    COMMON   140781105         77         750 Shares              X                        1         750      0       0
CARBO
 CERAMICS INC    COMMON   140781105       2512       24500 Shares              X                        3        2512      0       0
CARDINAL
 HEALTH INC      COMMON   14149Y108        155        3708 Shares              X                        1        3708      0       0
CARDINAL
 HEALTH INC      COMMON   14149Y108        111        2645 Shares                       X               1        2645      0       0
CARDINAL
 HEALTH INC      COMMON   14149Y108         16         380 Shares              X                        3         380      0       0
CAREFUSION
 CORP            COMMON   14170T101          4         175 Shares              X                        1         175      0       0
CAREFUSION
 CORP            COMMON   14170T101         26        1071 Shares                       X               1        1071      0       0
CARLISLE
 COMPANIES INC   COMMON   142339100         64        2000 Shares                       X               1        2000      0       0
CARNIVAL
 CORPORATION     COMMON   143658300       1268       41838 Shares              X                        1       41838      0       0
CARNIVAL
 CORPORATION     COMMON   143658300        192        6325 Shares                       X               1        5325      0    1000
CARNIVAL
 CORPORATION     COMMON   143658300         81        2465 Shares              X                        3        2465      0       0
CARPENTER
 TECHNOLOGY
 CORP COM        COMMON   144285103         35         776 Shares                       X               1         776      0       0
CASH AMER
 INTL INC        COMMON   14754D100         45         875 Shares              X                        1         875      0       0
CASH AMER
 INTL INC        COMMON   14754D100       1637       32000 Shares              X                        3        1637      0       0
CATALYST
 HEALTH
 SOLUTIONS INC   COMMON   14888B103         23         400 Shares              X                        1         400      0       0
CATERPILLAR
 INC             COMMON   149123101       8508      115223 Shares              X                        1      110852      0    4371
CATERPILLAR
 INC             COMMON   149123101       1855       25121 Shares                       X               1       21846      0    3275


                                     6 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
CATERPILLAR
 INC             COMMON   149123101       3075       39352 Shares              X                        3       15766      0     432
CATERPILLAR
 INC             COMMON   149123101         63         850 Shares                       X               4         850      0       0
CAVIUM INC       COMMON
                 STOCK    14964U108         29        1075 Shares              X                        1        1075      0       0
CAVIUM INC       COMMON
                 STOCK    14964U108       1080       40000 Shares              X                        3        1080      0       0
CEDAR FAIR
 LTD PTR         COMMON   150185106         14         750 Shares              X                        1         750      0       0
CELGENE CORP
 COM             COMMON   151020104       1984       32039 Shares              X                        1       31699      0     340
CELGENE CORP
 COM             COMMON   151020104        189        3050 Shares                       X               1        2150      0     900
CELGENE CORP
 COM             COMMON   151020104       1524       24671 Shares              X                        3        3564      0       0
CENOVUS
 ENERGY INC      COMMON   15135U109         18         600 Shares              X                        1         600      0       0
CENOVUS
 ENERGY INC      COMMON   15135U109          9         300 Shares                       X               1         300      0       0
CENTERPOINT
 ENERGY INC      COMMON   15189T107         15         750 Shares              X                        1         750      0       0
CENTRAIS
 ELETRICAS
 BRAS-SP ADR
 CM              COMMON   15234Q207         14        1540 Shares                       X               1        1540      0       0
CENTRAL FUND
 OF CANADA LTD   COMMON   153501101          4         175 Shares                       X               1           0      0       0
CENTRAL
 GOLDTRUST       COMMON   153546106          4          55 Shares                       X               1           0      0       0
CENTURYLINK
 INC             COMMON   156700106        132        4000 Shares              X                        1        3914      0      86
CENTURYLINK
 INC             COMMON   156700106         13         397 Shares                       X               1         363      0      34
CEPHALON INC
 COM             COMMON   156708109         16         200 Shares              X                        1         200      0       0
CEPHEID          COMMON   15670R107         40        1025 Shares              X                        1        1025      0       0
CEPHEID          COMMON   15670R107       1476       38000 Shares              X                        3        1476      0       0
CERNER CORP      COMMON   156782104       6712       97953 Shares              X                        1       79823      0   18130
CERNER CORP      COMMON   156782104       1013       14780 Shares                       X               1       12820      0    1960
CERNER CORP      COMMON   156782104       2786       40715 Shares              X                        3        7462      0    1931
CHART INDS INC   COMMON   16115Q308         63        1500 Shares              X                        1        1500      0       0
CHART INDS INC   COMMON   16115Q308       2298       54500 Shares              X                        3        2298      0       0
CHEMED
 CORPORATION     COMMON   16359R103          5         100 Shares              X                        1         100      0       0
CHESAPEAKE
 ENERGY CORP
 COM             COMMON   165167107        129        5065 Shares              X                        1        5065      0       0
CHESAPEAKE
 ENERGY CONV
 PFD 4.50% SER   COMMON   165167842        743        7990 Shares              X                        1           0      0       0
CHEVRON CORP     COMMON   166764100      24344      262930 Shares              X                        1      249784      0   13146
CHEVRON CORP     COMMON   166764100      16725      180638 Shares                       X               1      170314      0   10324
CHEVRON CORP     COMMON   166764100        142        1448 Shares              X                        3        1448      0       0
CHEVRON CORP     COMMON   166764100        129        1390 Shares                       X               4        1390      0       0
CHICAGO
 BRIDGE &
 IRON CO N V
 COM             COMMON   167250109        100        3500 Shares              X                        1           0      0    3500
CHICAGO
 BRIDGE &
 IRON CO N V
 COM             COMMON   167250109          1          25 Shares                       X               1          25      0       0
CHIMERA
 INVESTMENT
 CORP            COMMON   16934Q109         34       12350 Shares              X                        1           0      0       0
CHIMERA
 INVESTMENT
 CORP            COMMON   16934Q109         20        7100 Shares                       X               1           0      0       0
CHINA MOBILE
 LTD SPON ADR    COMMON   16941M109         19         386 Shares              X                        1         386      0       0
CHINA MOBILE
 LTD SPON ADR    COMMON   16941M109         33         675 Shares                       X               1         675      0       0
CHINA
 UNICOM-(HONG
 KONG) ADR       COMMON   16945R104         49        2420 Shares              X                        1        2420      0       0
CHIPOTLE
 MEXICAN
 GRILL-CL A      COMMON   169656105       1583        5224 Shares              X                        1        5144      0      80
CHIPOTLE
 MEXICAN
 GRILL-CL A      COMMON   169656105        110         362 Shares                       X               1         362      0       0
CHUBB CORP       COMMON   171232101        407        6785 Shares              X                        1        6785      0       0
CHUBB CORP       COMMON   171232101         42         700 Shares                       X               1         700      0       0
CHURCH &
 DWIGHT CO INC   COMMON   171340102        307        6937 Shares              X                        1        6937      0       0
CHURCH &
 DWIGHT CO INC   COMMON   171340102       3758       85030 Shares              X                        3        6941      0       0
CIENA CORP       COMMON   171779309        248       22174 Shares              X                        1       22174      0       0
CIENA CORP       COMMON   171779309        687       61318 Shares              X                        3        1990      0       0
CIMAREX
 ENERGY CO       COMMON   171798101         11         200 Shares                       X               1         200      0       0
CINCINNATI
 FINL CORP COM   COMMON   172062101         89        3355 Shares              X                        1        1619      0    1736
CINCINNATI
 FINL CORP COM   COMMON   172062101         25         939 Shares                       X               1         939      0       0
CINCINNATI
 FINL CORP COM   COMMON   172062101         20         700 Shares              X                        3         700      0       0
CINEMARK         COM PAR
 HOLDINGS        USD.0001 17243V102         22        1150 Shares              X                        1        1150      0       0
CINEMARK         COM PAR
 HOLDINGS        USD.0001 17243V102        793       42000 Shares              X                        3         793      0       0
CISCO SYSTEMS
 INC             COMMON   17275R102       9440      609027 Shares              X                        1      573512      0   35515
CISCO SYSTEMS
 INC             COMMON   17275R102       2732      176253 Shares                       X               1      161102      0   15151
CISCO SYSTEMS
 INC             COMMON   17275R102       1053       67447 Shares              X                        3       61544      0    5903
CITIGROUP INC
 PFD CONV 7.5%   COMMON   172967416          3          41 Shares              X                        1           0      0       0
CITIGROUP INC    COMMON   172967424        191        7454 Shares              X                        1        7054      0     400
CITIGROUP INC    COMMON   172967424         84        3265 Shares                       X               1        2619      0     646
CITIGROUP INC    COMMON   172967424         19         597 Shares              X                        3         597      0       0
CITRIX
 SYSTEMS INC
 COM             COMMON   177376100       2463       45176 Shares              X                        1       44712      0     464
CITRIX
 SYSTEMS INC
 COM             COMMON   177376100        121        2215 Shares                       X               1        2215      0       0
CITRIX
 SYSTEMS INC
 COM             COMMON   177376100       3687       67618 Shares              X                        3        5997      0       0
GUGGENHEIM
 S&P GLOBAL
 DIVIDEND        COMMON   18383M860          3         200 Shares                       X               1           0      0       0
GUGGENHEIM
 S&P GLOBAL
 WATER           COMMON   18383Q507          2         100 Shares                       X               1           0      0       0
CLEAN HARBORS    COMMON   184496107         67        1315 Shares              X                        1        1315      0       0
CLEAN HARBORS    COMMON   184496107       2462       48000 Shares              X                        3        2462      0       0
CLIFFS
 NATURAL
 RESOURCES INC   COMMON   18683K101       3360       65668 Shares              X                        1       65568      0     100


                                     7 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
CLIFFS
 NATURAL
 RESOURCES INC   COMMON   18683K101        144        2815 Shares                       X               1        1790      0    1025
CLIFFS
 NATURAL
 RESOURCES INC   COMMON   18683K101       2046       38484 Shares              X                        3        6978      0    1618
CLOROX COMPANY   COMMON   189054109        590        8894 Shares              X                        1        8894      0       0
CLOROX COMPANY   COMMON   189054109        367        5536 Shares                       X               1        4036      0    1500
CLOUGH GLOBAL
 OPPORTUNITIES   COMMON   18914E106        112       10613 Shares              X                        1           0      0       0
COACH INC        COMMON   189754104        898       17334 Shares              X                        1       15834      0    1500
COACH INC        COMMON   189754104        246        4737 Shares                       X               1        4737      0       0
COACH INC        COMMON   189754104       3885       74860 Shares              X                        3        7824      0       0
COCA COLA
 BOTTLING CO
 CONSOLIDATED    COMMON   191098102          7         125 Shares              X                        1         125      0       0
COCA COLA CO
 COM             COMMON   191216100      19128      283123 Shares              X                        1      278985      0    4138
COCA COLA CO
 COM             COMMON   191216100       6937      102677 Shares                       X               1       98659      0    4018
COCA COLA CO
 COM             COMMON   191216100       6656       97506 Shares              X                        3       39112      0    3380
COCA-COLA
 ENTERPRISES
 INC             COMMON   19122T109         25        1000 Shares              X                        1        1000      0       0
CODORUS
 VALLEY
 BANCORP INC     COMMON   192025104        168       17600 Shares              X                        1       17600      0       0
CODORUS
 VALLEY
 BANCORP INC     COMMON   192025104         90        9398 Shares                       X               1        9398      0       0
COGENT COMM
 GROUP IN        COMMON   19239V302         36        2650 Shares              X                        1        2650      0       0
COGENT COMM
 GROUP IN        COMMON   19239V302       1435      106700 Shares              X                        3        1435      0       0
COGNIZANT
 TECH SOL CORP   COMMON   192446102       3010       48000 Shares              X                        1       47402      0     598
COGNIZANT
 TECH SOL CORP   COMMON   192446102        407        6492 Shares                       X               1        6492      0       0
COHEN &
 STEERS REIT
 & PFD INC FD    COMMON   19247X100         26        2000 Shares              X                        1           0      0       0
COHEN &
 STEERS REIT
 & PFD INC FD    COMMON   19247X100         21        1600 Shares                       X               1           0      0       0
COHEN &
 STEERS
 INFRASTRUCTURE
 FD              COMMON   19248A109        179       11500 Shares              X                        1           0      0       0
COHU
 INCORPORATED    COMMON   192576106         12        1200 Shares              X                        1        1200      0       0
COLFAX
 CORPORATION     COMMON   194014106         28        1400 Shares              X                        1        1400      0       0
COLGATE
 PALMOLIVE CO
 COM             COMMON   194162103       6502       73324 Shares              X                        1       63624      0    9700
COLGATE
 PALMOLIVE CO
 COM             COMMON   194162103       3988       44969 Shares                       X               1       40919      0    4050
COLGATE
 PALMOLIVE CO
 COM             COMMON   194162103        494        5496 Shares              X                        3        5496      0       0
COLLECTORS
 UNIVERSE INC    COMMON   19421R200          2         150 Shares              X                        1         150      0       0
COMCAST CORP
 NEW A           COMMON   20030N101       1704       81474 Shares              X                        1       80914      0     560
COMCAST CORP
 NEW A           COMMON   20030N101        659       31514 Shares                       X               1       27368      0    4146
COMCAST CORP
 NEW A           COMMON   20030N101        587   27413.225 Shares              X                        3   27413.225      0       0
COMCAST
 CORP-SPECIAL
 CL A            COMMON   20030N200         39        1895 Shares              X                        1        1895      0       0
COMCAST
 CORP-SPECIAL
 CL A            COMMON   20030N200         85        4084 Shares                       X               1        3784      0     300
COMMERCIAL
 NATL
 FINANCIAL
 CORP            COMMON   202217105         19         920 Shares              X                        1         920      0       0
COMMERCIAL
 VEH GRP         COMMON   202608105         19        2928 Shares              X                        1        2928      0       0
COMMERCIAL
 VEH GRP         COMMON   202608105        703      107000 Shares              X                        3         703      0       0
COMMONWEALTH
 REIT            COMMON   203233101          6         300 Shares                       X               1           0      0       0
COMMONWEALTH
 REIT            COMMON   203233408        286       14000 Shares              X                        1           0      0       0
COMMUNITY
 BANK SYSTEM
 INC             COMMON   203607106         59        2600 Shares              X                        1         100      0    2500
COMMUNITY
 HEALTH
 SYSTEMS INC     COMMON   203668108          4         217 Shares              X                        1         217      0       0
COMPANHIA DE
 BEBIDAS DAS
 AMERICAS        COMMON   20441W203         42        1374 Shares              X                        1           0      0       0
COMPLETE PROD
 SERVCS          COMMON   20453E109         40        2100 Shares              X                        1        2100      0       0
COMPLETE PROD
 SERVCS          COMMON   20453E109       1451       77000 Shares              X                        3        1451      0       0
COMPUTER
 SCIENCES
 CORP COM        COMMON   205363104          5         172 Shares              X                        1         172      0       0
COMPUTER TASK
 GROUP           COMMON   205477102        656       58750 Shares              X                        1       58750      0       0
CONAGRA FOODS
 INC             COMMON   205887102         10         400 Shares              X                        1         400      0       0
CONAGRA FOODS
 INC             COMMON   205887102         33        1346 Shares                       X               1        1346      0       0
CON-WAY INC      COMMON   205944101         11         500 Shares              X                        1         500      0       0
CONCHO
 RESOURCES INC   COMMON   20605P101         38         528 Shares              X                        1         528      0       0
CONOCOPHILLIPS   COMMON   20825C104       9399      148439 Shares              X                        1      144365      0    4074
CONOCOPHILLIPS   COMMON   20825C104       3960       62538 Shares                       X               1       57221      0    5317
CONOCOPHILLIPS   COMMON   20825C104        434      6466.8 Shares              X                        3      6466.8      0       0
CONSOL ENERGY
 INC             COMMON   20854P109        120        3550 Shares              X                        1        3550      0       0
CONSOL ENERGY
 INC             COMMON   20854P109         29         850 Shares                       X               1           0      0     850
CONSOLIDATED
 EDISON INC      COMMON   209115104        159        2789 Shares              X                        1        2749      0      40
CONSOLIDATED
 EDISON INC      COMMON   209115104         50         884 Shares                       X               1         584      0     300
CONSOLIDATED
 EDISON INC      COMMON   209115104          6         101 Shares              X                        3         101      0       0
CONSTELLATION
 BRANDS INC
 CL A            COMMON   21036P108          5         270 Shares                       X               1         270      0       0
CONSTELLATION
 ENERGY GROUP
 INC COM         COMMON   210371100       1586       41679 Shares              X                        1       41679      0       0
CONSTELLATION
 ENERGY GROUP
 INC COM         COMMON   210371100       1451       38115 Shares                       X               1       37115      0    1000
CORN PRODS
 INTL INC COM    COMMON   219023108         31         800 Shares                       X               1         800      0       0
CORNING INC      COMMON   219350105       2018      163259 Shares              X                        1      149759      0   13500
CORNING INC      COMMON   219350105        376       30404 Shares                       X               1       26254      0    4150
CORNING INC      COMMON   219350105        279       20635 Shares              X                        3       15328      0    5307
COSTCO
 WHOLESALE
 CORP COM        COMMON   22160K105       1081       13167 Shares              X                        1       13167      0       0
COSTCO
 WHOLESALE
 CORP COM        COMMON   22160K105        236        2876 Shares                       X               1        2876      0       0
COSTCO
 WHOLESALE
 CORP COM        COMMON   22160K105       1145       13937 Shares              X                        3        1546      0       0


                                     8 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
COSTCO
 WHOLESALE
 CORP COM        COMMON   22160K105        103        1250 Shares                       X               4        1250      0       0
COVANCE INC
 COM             COMMON   222816100         25         550 Shares              X                        1         550      0       0
COVANCE INC
 COM             COMMON   222816100         45        1000 Shares                       X               1        1000      0       0
CRANE CO         COMMON   224399105        250        7000 Shares              X                        1        7000      0       0
CREDIT SUISSE
 GROUP
 SPONSORED ADR   COMMON   225401108         24         906 Shares              X                        1         906      0       0
CREDIT SUISSE
 GROUP
 SPONSORED ADR   COMMON   225401108         18         675 Shares                       X               1         675      0       0
CREE RESEARCH
 INC COM         COMMON   225447101         24         916 Shares              X                        1         916      0       0
CREE RESEARCH
 INC COM         COMMON   225447101         19         750 Shares                       X               1           0      0     750
CROCS INC        COMMON   227046109         36        1500 Shares              X                        1        1500      0       0
CROCS INC        COMMON   227046109       1302       55000 Shares              X                        3        1302      0       0
CROWN CASTLE
 INTL CORP COM   COMMON   228227104          3          82 Shares              X                        1          82      0       0
CROWN
 HOLDINGS INC    COMMON   228368106        272        8870 Shares              X                        1        8870      0       0
CROWN
 HOLDINGS INC    COMMON   228368106       2952       96430 Shares              X                        3        6568      0       0
CUMMINS INC
 COM             COMMON   231021106       5022       61498 Shares              X                        1       61273      0     225
CUMMINS INC
 COM             COMMON   231021106        181        2218 Shares                       X               1        1758      0     460
CUMMINS INC
 COM             COMMON   231021106       7808       94416 Shares              X                        3       22035      0    2541
CURTISS
 WRIGHT CORP     COMMON   231561101         32        1112 Shares              X                        1        1112      0       0
CUTERA INC       COMMON   232109108          3         400 Shares              X                        1         400      0       0
CYTEC
 INDUSTRIES
 INC COM         COMMON   232820100          5         132 Shares              X                        1         132      0       0
DDR CORP COM     COMMON   23317H102          2         220 Shares                       X               1           0      0       0
DNB FINANCIAL
 CORPORATION     COMMON   233237106         18        1878 Shares              X                        1        1878      0       0
DNP SELECT
 INCOME FUND
 INC             COMMON   23325P104         10        1000 Shares                       X               1           0      0       0
DPL INC          COMMON   233293109         48        1583 Shares              X                        1        1583      0       0
DPL INC          COMMON   233293109          6         200 Shares                       X               1         200      0       0
D R HORTON INC   COMMON   23331A109       1280      141631 Shares              X                        1      139395      0    2236
D R HORTON INC   COMMON   23331A109        150       16595 Shares                       X               1       14210      0    2385
D R HORTON INC   COMMON   23331A109       1519      161421 Shares              X                        3       54397      0       0
DTE ENERGY CO    COMMON   233331107        140        2850 Shares              X                        1        2850      0       0
DTE ENERGY CO    COMMON   233331107         49        1001 Shares                       X               1        1001      0       0
DWS MUNICIPAL
 INCOME TRUST    COMMON   23338M106         38        3000 Shares              X                        1           0      0       0
DANA HOLDING
 CORP            COMMON   235825205         33        3175 Shares              X                        1        3175      0       0
DANA HOLDING
 CORP            COMMON   235825205       1213      115500 Shares              X                        3        1213      0       0
DANAHER CORP
 COM             COMMON   235851102       3442       82075 Shares              X                        1       68390      0   13685
DANAHER CORP
 COM             COMMON   235851102        191        4555 Shares                       X               1        3415      0    1140
DANAHER CORP
 COM             COMMON   235851102       2301       54880 Shares              X                        3        6919      0    2932
DARDEN
 RESTAURANTS
 INC COM         COMMON   237194105        633       14814 Shares              X                        1       14814      0       0
DARDEN
 RESTAURANTS
 INC COM         COMMON   237194105        177        4150 Shares                       X               1        4150      0       0
DAVITA INC
 WITH
 ATTACHED
 RIGHTS          COMMON   23918K108          9         150 Shares                       X               1           0      0     150
DECKERS
 OUTDOOR         COMMON   243537107         19         200 Shares              X                        1         200      0       0
DECKERS
 OUTDOOR         COMMON   243537107        699        7500 Shares              X                        3         699      0       0
DEERE & CO       COMMON   244199105       1926       29834 Shares              X                        1       29234      0     600
DEERE & CO       COMMON   244199105        413        6398 Shares                       X               1        4912      0    1486
DELL INC         COMMON   24702R101       1237       87463 Shares              X                        1       86627      0     836
DELL INC         COMMON   24702R101        195       13802 Shares                       X               1       12002      0    1800
DELL INC         COMMON   24702R101         14         946 Shares              X                        3         946      0       0
DELTA AIR
 LINES INC       COMMON   247361702          0          18 Shares              X                        1          18      0       0
DENTSPLY
 INTERNATIONAL
 INC COM         COMMON   249030107        868       28269 Shares              X                        1       28069      0     200
DENTSPLY
 INTERNATIONAL
 INC COM         COMMON   249030107        172        5600 Shares                       X               1        5600      0       0
DESCARTES
 SYSTEMS
 GROUP INC/THE   COMMON   249906108         26        4267 Shares              X                        1        4267      0       0
DESCARTES
 SYSTEMS
 GROUP INC/THE   COMMON   249906108        654      105200 Shares              X                        3         654      0       0
DESARROLLADORA
 HOMEX ADR       COMMON   25030W100          2         142 Shares              X                        1         142      0       0
DEVON ENERGY
 CORP            COMMON   25179M103        108        1949 Shares              X                        1        1949      0       0
DEVON ENERGY
 CORP            COMMON   25179M103        102        1836 Shares                       X               1        1836      0       0
DIAGEO PLC
 SPONSORED ADR   COMMON   25243Q205        265        3496 Shares              X                        1        3496      0       0
DIAGEO PLC
 SPONSORED ADR   COMMON   25243Q205         47         625 Shares                       X               1         625      0       0
DIAGEO PLC
 SPONSORED ADR   COMMON   25243Q205         38         500 Shares              X                        3         500      0       0
DIAMOND
 OFFSHORE
 DRILLING COM    COMMON   25271C102         30         550 Shares              X                        1         550      0       0
DIEBOLD INC      COMMON   253651103          2          90 Shares              X                        1          90      0       0
DINEEQUITY INC   COMMON   254423106        225        5847 Shares              X                        1        5847      0       0
DINEEQUITY INC   COMMON   254423106       2764       71800 Shares              X                        3        5456      0       0
DIREXION
 DAILY
 20-YEAR PLUS
 TREAS           COMMON   25459W532          4         250 Shares                       X               1           0      0       0
DISNEY WALT CO   COMMON   254687106       4456      147759 Shares              X                        1      147459      0     300
DISNEY WALT CO   COMMON   254687106       1552       51450 Shares                       X               1       45600      0    5850
DISNEY WALT CO   COMMON   254687106        346       10854 Shares              X                        3        8007      0    2847
DISCOVER
 FINANCIAL
 SERVICES        COMMON   254709108          5         238 Shares              X                        1         238      0       0
DISCOVER
 FINANCIAL
 SERVICES        COMMON   254709108          7         321 Shares                       X               1         165      0     156
DISCOVERY
 COMMUNICATIONS
 INC             COMMON   25470F104         28         734 Shares              X                        1         734      0       0


                                     9 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
DISCOVERY
 COMMUNICATIONS
 INC             COMMON   25470F104         26         696 Shares                       X               1         696      0       0
DISCOVERY
 COMMUNICATIONS
 INC - C         COMMON   25470F302         26         734 Shares              X                        1         734      0       0
DISCOVERY
 COMMUNICATIONS
 INC - C         COMMON   25470F302         44        1239 Shares                       X               1        1239      0       0
THE DIRECTV
 GROUP HLDGS
 CL A            COMMON   25490A101        244        5774 Shares              X                        1        5774      0       0
THE DIRECTV
 GROUP HLDGS
 CL A            COMMON   25490A101        251        5946 Shares                       X               1        5946      0       0
DOLLAR TREE
 INC             COMMON   256746108       1329       17693 Shares              X                        1       17693      0       0
DOLLAR TREE
 INC             COMMON   256746108         25         330 Shares                       X               1         330      0       0
DOMINION
 RESOURCES INC   COMMON   25746U109       4562       89866 Shares              X                        1       88908      0     958
DOMINION
 RESOURCES INC   COMMON   25746U109       3031       59697 Shares                       X               1       50597      0    9100
DOMINION
 RESOURCES INC   COMMON   25746U109        102        2000 Shares                       X               4        2000      0       0
DOMINO'S
 PIZZA INC       COMMON   25754A201          8         300 Shares              X                        1         300      0       0
DONALDSON INC
 COM             COMMON   257651109         16         300 Shares                       X               1         300      0       0
DOVER CORP       COMMON   260003108        518       11121 Shares              X                        1       11121      0       0
DOVER CORP       COMMON   260003108         26         559 Shares                       X               1         559      0       0
DOW CHEMICAL
 CO              COMMON   260543103       2647      117864 Shares              X                        1      117864      0       0
DOW CHEMICAL
 CO              COMMON   260543103       1137       50605 Shares                       X               1       50605      0       0
DOW CHEMICAL
 CO              COMMON   260543103       1088       47587 Shares              X                        3        5553      0       0
DREYFUS
 MUNICIPAL
 INCOME FUND     COMMON   26201R102         69        7200 Shares                       X               1           0      0       0
DREYFUS
 STRATEGIC
 MUN BD FD       COMMON   26202F107        236       27602 Shares              X                        1           0      0       0
DREYFUS
 STRATEGIC
 MUN BD FD       COMMON   26202F107         60        7000 Shares                       X               1           0      0       0
DUPONT EI DE
 NEMOURS & CO
 COM             COMMON   263534109       7958      199105 Shares              X                        1      182880      0   16225
DUPONT EI DE
 NEMOURS & CO
 COM             COMMON   263534109       4996      124994 Shares                       X               1      118499      0    6495
DUPONT EI DE
 NEMOURS & CO
 COM             COMMON   263534109        942       21147 Shares              X                        3       18334      0    2813
DUKE REALTY
 CORP            COMMON   264411505          1         100 Shares              X                        1           0      0       0
DUKE ENERGY
 CORP            COMMON   26441C105       2870      143568 Shares              X                        1      142062      0    1506
DUKE ENERGY
 CORP            COMMON   26441C105        697       34892 Shares                       X               1       31732      0    3160
DUKE ENERGY
 CORP            COMMON   26441C105         50        2478 Shares              X                        3        2478      0       0
DUN &
 BRADSTREET
 CORP            COMMON   26483E100         20         324 Shares              X                        1         324      0       0
DUN &
 BRADSTREET
 CORP            COMMON   26483E100         27         433 Shares                       X               1         433      0       0
E-COMMERCE
 CHINA
 DANGDANG INC    COMMON   26833A105         49        9868 Shares              X                        1        9868      0       0
E-COMMERCE
 CHINA
 DANGDANG INC    COMMON   26833A105        102       20609 Shares              X                        3         708      0       0
EMC CORP MASS
 COM             COMMON   268648102      10575      503811 Shares              X                        1      481056      0   22755
EMC CORP MASS
 COM             COMMON   268648102       1147       54647 Shares                       X               1       52252      0    2395
EMC CORP MASS
 COM             COMMON   268648102       3195      149586 Shares              X                        3       53537      0    5001
EMC CORP
 CONV
 1.750%
 12/01/11        COMMON   268648AK8          5        4000 Shares              X                        1           0      0       0
ENI SPA-SPONS
 ADR             COMMON   26874R108         35        1000 Shares              X                        1        1000      0       0
ENI SPA-SPONS
 ADR             COMMON   26874R108         13         380 Shares                       X               1         380      0       0
EOG RESOURCES
 INC COM         COMMON   26875P101        677        9536 Shares              X                        1        9536      0       0
EOG RESOURCES
 INC COM         COMMON   26875P101        189        2656 Shares                       X               1        1506      0    1150
EOG RESOURCES
 INC COM         COMMON   26875P101        229        2835 Shares              X                        3        2835      0       0
EQT
 CORPORATION     COMMON   26884L109         19         350 Shares              X                        1         350      0       0
EQT
 CORPORATION     COMMON   26884L109        144        2700 Shares                       X               1        2700      0       0
EAGLE BANCORP
 INC MD          COMMON   268948106        703       59723 Shares              X                        1           0      0   59723
ETFS SILVER
 TRUST EQUITY    COMMON   26922X107          3         100 Shares                       X               1           0      0       0
EV ENERGY
 PARTNERS        LP UNITS 26926V107       2150       30000 Shares              X                        3        2150      0       0
EASTGROUP
 PROPERTIES
 INCORPORATED    COMMON   277276101        191        5000 Shares              X                        1           0      0       0
EASTMAN
 CHEMICAL
 COMPANY COM     COMMON   277432100         34         500 Shares                       X               1           0      0     500
EASTMAN
 CHEMICAL
 COMPANY COM     COMMON   277432100          1          15 Shares              X                        3          15      0       0
EASTMAN KODAK
 CO COM          COMMON   277461109          1         433 Shares              X                        3         433      0       0
EATON CORP COM   COMMON   278058102        331        9336 Shares              X                        1        9336      0       0
EATON CORP COM   COMMON   278058102         21         600 Shares                       X               1         600      0       0
EATON VANCE
 CORP            COMMON   278265103       1420       63770 Shares              X                        1       63770      0       0
EATON VANCE
 CORP            COMMON   278265103         46        2080 Shares                       X               1        2080      0       0
EATON VANCE
 CORP            COMMON   278265103          3         146 Shares              X                        3         146      0       0
EATON VANCE
 MUNICIPAL
 INCOME TRUST    COMMON   27826U108         61        5000 Shares                       X               1           0      0       0
EATON VANCE
 FLOATING-RATE
 INC TR          COMMON   278279104          6         450 Shares              X                        1           0      0       0
EATON VANCE
 NY MUNI BD FD   COMMON   27827Y109         20        1500 Shares                       X               1           0      0       0
EATON VANCE
 TAX-ADVANTAGED
 DVD INC         COMMON   27828G107          8         550 Shares                       X               1           0      0       0
EATON VANCE
 TAX-MANAGED
 DIV EQ          COMMON   27828N102          8         950 Shares              X                        1           0      0       0
EATON VANCE
 SR FLOATING
 RATE FD         COMMON   27828Q105        514       36200 Shares              X                        1           0      0       0
EATON VANCE
 SR FLOATING
 RATE FD         COMMON   27828Q105         54        3802 Shares                       X               1           0      0       0
EATON VANCE
 TAX MAN GLBL
 BR              COMMON   27829C105         10        1000 Shares              X                        1           0      0       0
EATON VANCE
 TAX-MANAGED
 GLOBAL          COMMON   27829F108          2         300 Shares              X                        1           0      0       0
EBAY INC COM     COMMON   278642103        212        7176 Shares              X                        1        7176      0       0
EBAY INC COM     COMMON   278642103         16         550 Shares                       X               1         550      0       0
ECOLAB INC COM   COMMON   278865100        933       19086 Shares              X                        1       19086      0       0
ECOLAB INC COM   COMMON   278865100         98        2000 Shares                       X               1        2000      0       0


                                    10 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
EDISON
 INTERNATIONAL
 COM             COMMON   281020107         48        1242 Shares              X                        1        1242      0       0
EDISON
 INTERNATIONAL
 COM             COMMON   281020107         55        1450 Shares                       X               1        1450      0       0
EDWARDS
 LIFESCIENCES
 CORP COM        COMMON   28176E108         80        1122 Shares              X                        1        1122      0       0
EL PASO CORP
 COM             COMMON   28336L109         69        3939 Shares              X                        1        3939      0       0
ELDORADO GOLD
 CORPORATION     COMMON   284902103         13         750 Shares              X                        1         750      0       0
ELECTRONICS
 ARTS COM        COMMON   285512109         49        2385 Shares              X                        1        2385      0       0
ELECTRONICS
 ARTS COM        COMMON   285512109         29        1425 Shares                       X               1         225      0    1200
ELECTRONICS
 ARTS COM        COMMON   285512109         12         525 Shares              X                        3         525      0       0
EMERSON
 ELECTRIC CO     COMMON   291011104       6022      145776 Shares              X                        1      128971      0   16805
EMERSON
 ELECTRIC CO     COMMON   291011104       3756       90926 Shares                       X               1       78926      0   12000
EMERSON
 ELECTRIC CO     COMMON   291011104        547       12264 Shares              X                        3       10141      0    2123
ENCANA CORP      COMMON   292505104         12         600 Shares              X                        1         600      0       0
ENCANA CORP      COMMON   292505104        231       12000 Shares                       X               1       12000      0       0
ENCORE CAP
 GROUP INC       COMMON   292554102         49        2225 Shares              X                        1        2225      0       0
ENCORE CAP
 GROUP INC       COMMON   292554102       1781       81500 Shares              X                        3        1781      0       0
ENERGY
 CONVERSION
 DEVICES INC     COMMON   292659109          2        4000 Shares              X                        1        4000      0       0
ENERGY
 TRANSFER
 PARTNERS LP     COMMON   29273R109         21         500 Shares                       X               1         500      0       0
ENERGY
 TRANSFER
 EQUITY LP       COMMON   29273V100         52        1500 Shares              X                        1           0      0    1500
ENERPLUS CORP    COMMON   292766102         48        1955 Shares                       X               1        1955      0       0
ENSCO PLC        COMMON   29358Q109         16         405 Shares              X                        1         405      0       0
ENSCO PLC        COMMON   29358Q109         44        1100 Shares                       X               1         300      0     800
ENSCO PLC        COMMON   29358Q109         37         775 Shares              X                        3         775      0       0
ENTERGY CORP
 COM NEW         COMMON   29364G103        136        2059 Shares              X                        1        2059      0       0
ENTERGY CORP
 COM NEW         COMMON   29364G103        103        1560 Shares                       X               1        1560      0       0
ENTERPRISE
 PRODUCTS
 PARTNERS LP     COMMON   293792107        283        7062 Shares              X                        1        5062      0    2000
ENTERPRISE
 PRODUCTS
 PARTNERS LP     COMMON   293792107          4         100 Shares                       X               1         100      0       0
EQUIFAX INC
 COM             COMMON   294429105         37        1200 Shares                       X               1        1200      0       0
EQUINIX INC      COMMON   29444U502          2          17 Shares              X                        1          17      0       0
EQUITY ONE
 INCORPORATED    COMMON   294752100          6         400 Shares              X                        1           0      0       0
EQUITY
 RESIDENTIAL
 (REIT)          COMMON   29476L107          3          50 Shares              X                        1           0      0       0
EQUITY
 RESIDENTIAL
 (REIT)          COMMON   29476L107        137        2646 Shares                       X               1           0      0       0
TELEFONAKTIEBOLAGET
 LM ERICSSON
 ADR             COMMON   294821608         34        3556 Shares              X                        1        3556      0       0
TELEFONAKTIEBOLAGET
 LM ERICSSON
 ADR             COMMON   294821608         20        2115 Shares                       X               1        2115      0       0
ERIE
 INDEMNITY CO
 CL A            COMMON   29530P102        185        2606 Shares              X                        1        2606      0       0
DELHAIZE
 GROUP
 SPONSORED ADR   COMMON   29759W101          6         100 Shares              X                        1         100      0       0
EVANS BANCORP
 INC             COMMON   29911Q208          0           1 Shares              X                        3           1      0       0
EVERCORE
 PARTNERS        CLASS A  29977A105         36        1600 Shares              X                        1        1600      0       0
EVERCORE
 PARTNERS        CLASS A  29977A105       1591       69800 Shares              X                        3        1591      0       0
EXELON CORP      COMMON   30161N101       2265       53160 Shares              X                        1       53160      0       0
EXELON CORP      COMMON   30161N101       1137       26688 Shares                       X               1       25838      0     850
EXPEDITORS
 INTL WASH
 INC COM         COMMON   302130109       1869       46084 Shares              X                        1       45578      0     506
EXPEDITORS
 INTL WASH
 INC COM         COMMON   302130109        103        2544 Shares                       X               1        2344      0     200
EXPEDITORS
 INTL WASH
 INC COM         COMMON   302130109       2698       66538 Shares              X                        3        5154      0       0
EXPRESS
 SCRIPTS INC     COMMON   302182100       9527      256995 Shares              X                        1      254747      0    2248
EXPRESS
 SCRIPTS INC     COMMON   302182100       2620       70687 Shares                       X               1       67290      0    3397
EXPRESS
 SCRIPTS INC     COMMON   302182100       4571      120253 Shares              X                        3       24038      0    2568
EXPRESS INC      COMMON   30219E103         40        1950 Shares              X                        1        1950      0       0
EXPRESS INC      COMMON   30219E103       1441       71000 Shares              X                        3        1441      0       0
EXXON MOBIL
 CORP            COMMON   30231G102      54632      752195 Shares              X                        1      738966      0   13229
EXXON MOBIL
 CORP            COMMON   30231G102      46644      642214 Shares                       X               1      566830      0   75384
EXXON MOBIL
 CORP            COMMON   30231G102       8167      111897 Shares              X                        3       48379      0    4166
EXXON MOBIL
 CORP            COMMON   30231G102        222        3050 Shares                       X               4        3050      0       0
FLIR SYSTEMS
 INC             COMMON   302445101        183        7302 Shares              X                        1        7302      0       0
FLIR SYSTEMS
 INC             COMMON   302445101         22         895 Shares                       X               1         895      0       0
FLIR SYSTEMS
 INC             COMMON   302445101       2242       89500 Shares              X                        3        5654      0       0
FMC
 TECHNOLOGIES
 INC COM         COMMON   30249U101        241        6417 Shares              X                        1        6417      0       0
FMC
 TECHNOLOGIES
 INC COM         COMMON   30249U101       1967       52320 Shares              X                        3        3911      0       0
FNB CORP PA      COMMON   302520101         55        6463 Shares              X                        1        6463      0       0
FNB CORP PA      COMMON   302520101         42        4907 Shares                       X               1           0      0    4907
FACTSET
 RESEARCH
 SYSTEMS INC     COMMON   303075105         44         500 Shares                       X               1         500      0       0
FAMILY DOLLAR
 STORES          COMMON   307000109         70        1380 Shares              X                        1        1380      0       0
FAMILY DOLLAR
 STORES          COMMON   307000109          4          75 Shares                       X               1          75      0       0
FASTENAL CO      COMMON   311900104        258        7738 Shares              X                        1        7738      0       0
FASTENAL CO      COMMON   311900104         67        2000 Shares                       X               1        2000      0       0
FASTENAL CO      COMMON   311900104       2731       82070 Shares              X                        3        5796      0       0
FEDEX CORP COM   COMMON   31428X106       1523       22499 Shares              X                        1       20845      0    1654
FEDEX CORP COM   COMMON   31428X106        158        2329 Shares                       X               1        2329      0       0


                                    11 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
FEDEX CORP COM   COMMON   31428X106          2          30 Shares              X                        3          30      0       0
F5 NETWORKS
 INC             COMMON   315616102        524        7379 Shares              X                        1        7379      0       0
F5 NETWORKS
 INC             COMMON   315616102        112        1575 Shares                       X               1        1575      0       0
F5 NETWORKS
 INC             COMMON   315616102       2449       34385 Shares              X                        3        4194      0       0
FIFTH THIRD
 BANCORP COM     COMMON   316773100        103       10219 Shares              X                        1       10219      0       0
FINANCIAL
 INSTITUTIONS
 INCORPORATED    COMMON   317585404          0           1 Shares              X                        3           1      0       0
FINISAR
 CORPORATION     COMMON   31787A507        637       36313 Shares              X                        1       36313      0       0
FINISAR
 CORPORATION     COMMON   31787A507       2493      142083 Shares              X                        3        4539      0       0
FIRST CASH
 FINANCIAL
 SERVICES INC    COMMON   31942D107         43        1025 Shares              X                        1        1025      0       0
FIRST CASH
 FINANCIAL
 SERVICES INC    COMMON   31942D107       1573       37500 Shares              X                        3        1573      0       0
FIRST NIAGARA
 FINANCIAL
 GROUP           COMMON   33582V108         12        1292 Shares              X                        1        1292      0       0
FIRST NIAGARA
 FINANCIAL
 GROUP           COMMON   33582V108          2         225 Shares                       X               1         225      0       0
FIRST NIAGARA
 FINANCIAL
 GROUP           COMMON   33582V108        579       53803 Shares              X                        3       53803      0       0
FIRST SOLAR
 INC             COMMON   336433107        181        2860 Shares              X                        1        2860      0       0
FIRST SOLAR
 INC             COMMON   336433107         33         525 Shares                       X               1         200      0     325
FIRST TRUST
 ISE - REVERE
 NATURAL GAS     COMMON   33734J102         97        6100 Shares              X                        1           0      0       0
FIRST UNITED
 CORP COM        COMMON   33741H107         29        6489 Shares              X                        3        6489      0       0
FISERV INC       COMMON   337738108        107        2100 Shares              X                        1         100      0    2000
FISERV INC       COMMON   337738108         13         250 Shares                       X               1          50      0     200
FIRSTENERGY
 CORP            COMMON   337932107        159        3536 Shares              X                        1        3536      0       0
FIRSTENERGY
 CORP            COMMON   337932107        173        3853 Shares                       X               1        3653      0     200
FIVE STAR
 QUALITY CARE
 INC             COMMON   33832D106          0          10 Shares                       X               1           0      0      10
FLEXIBLE
 SOLUTIONS
 INTERNATIONAL   COMMON   33938T104          1         250 Shares              X                        1         250      0       0
FLUOR CORP       COMMON   343412102          3          73 Shares              X                        1          73      0       0
FLUOR CORP       COMMON   343412102        140        3000 Shares                       X               1        3000      0       0
FLOWERS FOODS
 INC COM         COMMON   343498101         15         750 Shares              X                        1         750      0       0
FLOWSERVE
 CORP COM        COMMON   34354P105          3          40 Shares              X                        1          40      0       0
FOMENTO
 ECONOMICO
 MEXICANA ADR    COMMON   344419106          5          76 Shares              X                        1          76      0       0
FOOT LOCKER
 INC             COMMON   344849104         10         502 Shares              X                        1         502      0       0
FORD MOTOR CO    COMMON   345370860       3371      348622 Shares              X                        1      345466      0    3156
FORD MOTOR CO    COMMON   345370860        238       24624 Shares                       X               1       20529      0    4095
FORD MOTOR CO    COMMON   345370860       2674      267367 Shares              X                        3       97810      0   11104
FORD MOTOR CO    COMMON   345370860         44        4500 Shares                       X               4        4500      0       0
FOREST LABS
 INC COM         COMMON   345838106         82        2670 Shares              X                        1        2670      0       0
FOREST LABS
 INC COM         COMMON   345838106         53        1710 Shares                       X               1        1710      0       0
FORESTAR
 GROUP INC       COMMON   346233109          0          42 Shares              X                        1          42      0       0
FORTINET INC     COMMON   34959E109         22        1325 Shares              X                        1        1325      0       0
FORTINET INC     COMMON   34959E109        890       53000 Shares              X                        3         890      0       0
FORTUNE
 BRANDS INC      COMMON   349631101        631       11659 Shares              X                        1       11659      0       0
FORTUNE
 BRANDS INC      COMMON   349631101        215        3968 Shares                       X               1        3861      0     107
FORTUNE
 BRANDS $2.67
 PFD             COMMON   349631200         23          62 Shares              X                        3          62      0       0
FRANCE
 TELECOM
 SA-SPONS ADR    COMMON   35177Q105         13         816 Shares              X                        1         816      0       0
FRANCESCA'S
 HOLDINGS CORP   COMMON   351793104         33        1550 Shares              X                        1        1550      0       0
FRANCESCA'S
 HOLDINGS CORP   COMMON   351793104       1188       56000 Shares              X                        3        1188      0       0
FRANKLIN
 RESOURCES INC   COMMON   354613101         34         360 Shares              X                        1         360      0       0
FREEPORT-MCMORAN
 CPR & GLD INC   COMMON   35671D857       1637       53775 Shares              X                        1       42941      0   10834
FREEPORT-MCMORAN
 CPR & GLD INC   COMMON   35671D857        324       10630 Shares                       X               1        9480      0    1150
FREEPORT-MCMORAN
 CPR & GLD INC   COMMON   35671D857       1098       36048 Shares              X                        3        2114      0       0
FRONTIER
 COMMUNICATIONS
 CORP            COMMON   35906A108        101       16471 Shares              X                        1       14393      0    2078
FRONTIER
 COMMUNICATIONS
 CORP            COMMON   35906A108         83       13612 Shares                       X               1       12800      0     812
FRONTIER
 COMMUNICATIONS
 CORP            COMMON   35906A108          2         258 Shares              X                        3         258      0       0
FULL HOUSE
 RESORTS INC     COMMON   359678109          1         500 Shares              X                        1         500      0       0
FULTON
 FINANCIAL
 CORP            COMMON   360271100        841      109881 Shares              X                        1      109881      0       0
FULTON
 FINANCIAL
 CORP            COMMON   360271100        241       31451 Shares                       X               1       29309   1800     342
FULTON
 FINANCIAL
 CORP            COMMON   360271100       3675      402361 Shares              X                        3      402361      0       0
FULTON
 FINANCIAL
 CORP            COMMON   360271100       3001      392282 Shares         X                                    392282      0       0
GABELLI
 GLOBAL UTIL
 & INCOME        COMMON   36242L105         10         504 Shares              X                        1           0      0       0
GABELLI
 GLOBAL GOLD
 NATL RES &
 INC             COMMON   36244N109          4         310 Shares                       X               1           0      0       0
GALLAGHER
 ARTHUR J. &
 CO              COMMON   363576109         26        1000 Shares              X                        1        1000      0       0
GAMESTOP CORP
 - CLASS A       COMMON   36467W109        277       12008 Shares              X                        1       12008      0       0
GAMESTOP CORP
 - CLASS A       COMMON   36467W109       3391      146784 Shares              X                        3        8998      0       0
GANNETT CO INC   COMMON   364730101         19        2000 Shares                       X               1        2000      0       0
GAP INC COM      COMMON   364760108         34        2069 Shares              X                        1        2069      0       0
GAP INC COM      COMMON   364760108         41        2500 Shares                       X               1        2500      0       0
GENERAL
 DYNAMICS
 CORP COM        COMMON   369550108       1611       28326 Shares              X                        1       28326      0       0
GENERAL
 DYNAMICS
 CORP COM        COMMON   369550108        550        9675 Shares                       X               1        9675      0       0
GENERAL
 DYNAMICS
 CORP COM        COMMON   369550108          0           1 Shares              X                        3           1      0       0


                                    12 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
GENERAL
 ELECTRIC
 COMPANY         COMMON   369604103      21507     1413072 Shares              X                        1     1309353      0  103719
GENERAL
 ELECTRIC
 COMPANY         COMMON   369604103      19245     1264422 Shares                       X               1     1219704      0   44718
GENERAL
 ELECTRIC
 COMPANY         COMMON   369604103       1841      114524 Shares              X                        3      105749      0    8775
GENERAL
 ELECTRIC
 COMPANY         COMMON   369604103         30        2000 Shares                       X               4        2000      0       0
GENERAL MILLS
 INC             COMMON   370334104       3465       90031 Shares              X                        1       90031      0       0
GENERAL MILLS
 INC             COMMON   370334104       1658       43088 Shares                       X               1       41888      0    1200
GENERAL MILLS
 INC             COMMON   370334104         38        1000 Shares              X                        3        1000      0       0
GENERAL
 MOTORS CO       COMMON   37045V100          8         418 Shares              X                        1         418      0       0
GENERAL
 MOTORS CO       COMMON   37045V100          8         399 Shares                       X               1         399      0       0
GENERAL
 MOTORS CO       COMMON   37045V100         24         999 Shares              X                        3         999      0       0
GM CO
 WARRANTS
 7/10/16         COMMON   37045V118          4         380 Shares              X                        1         380      0       0
GM CO
 WARRANTS
 7/10/16         COMMON   37045V118          4         363 Shares                       X               1         363      0       0
GM CO
 WARRANTS
 7/10/16         COMMON   37045V118         14         909 Shares              X                        3         909      0       0
GM CO
 WARRANTS
 7/10/19         COMMON   37045V126          3         380 Shares              X                        1         380      0       0
GM CO
 WARRANTS
 7/10/19         COMMON   37045V126          3         363 Shares                       X               1         363      0       0
GM CO
 WARRANTS
 7/10/19         COMMON   37045V126         10         909 Shares              X                        3         909      0       0
GENERAL
 MOTORS CO       COMMON   37045V209          6         168 Shares              X                        1           0      0       0
GENUINE PARTS
 INC             COMMON   372460105         84        1662 Shares              X                        1        1662      0       0
GENUINE PARTS
 INC             COMMON   372460105         64        1250 Shares                       X               1        1250      0       0
GILEAD
 SCIENCES INC
 COM             COMMON   375558103       4781      123219 Shares              X                        1      122328      0     891
GILEAD
 SCIENCES INC
 COM             COMMON   375558103        596       15364 Shares                       X               1       12440      0    2924
GILEAD
 SCIENCES INC
 COM             COMMON   375558103        908       23058 Shares              X                        3       19276      0    3782
GLADSTONE
 CAPITAL CORP    COMMON   376535100        206       30000 Shares              X                        1           0      0   30000
GLADSTONE
 COMMERCIAL
 CORP            COMMON   376536108        833       53100 Shares              X                        1           0      0       0
GLATFELTER       COMMON   377316104        232       17575 Shares              X                        1       17575      0       0
GLAXOSMITHKLINE
 PLC ADR         COMMON   37733W105        666       16134 Shares              X                        1       16008      0     126
GLAXOSMITHKLINE
 PLC ADR         COMMON   37733W105       1082       26211 Shares                       X               1       19711      0    6500
GLAXOSMITHKLINE
 PLC ADR         COMMON   37733W105         17         401 Shares              X                        3         401      0       0
GLOBAL
 PAYMENTS INC    COMMON   37940X102        226        5588 Shares              X                        1        5588      0       0
GLOBAL
 PAYMENTS INC    COMMON   37940X102       2772       68615 Shares              X                        3        5353      0       0
GOLDCORP INC     COMMON   380956409          2          50 Shares              X                        1          50      0       0
GOLDCORP INC     COMMON   380956409         23         495 Shares                       X               1         495      0       0
GOLDMAN SACHS
 GROUP INC COM   COMMON   38141G104       5723       60531 Shares              X                        1       56929      0    3602
GOLDMAN SACHS
 GROUP INC COM   COMMON   38141G104        973       10291 Shares                       X               1        9267      0    1024
GOLDMAN SACHS
 GROUP INC COM   COMMON   38141G104       1702       16741 Shares              X                        3        9162      0    1241
GOODRICH CORP    COMMON   382388106         15         123 Shares              X                        1         123      0       0
GOOGLE INC CL
 A               COMMON   38259P508       9659       18754 Shares              X                        1       16341      0    2413
GOOGLE INC CL
 A               COMMON   38259P508        676        1313 Shares                       X               1        1025      0     288
GOOGLE INC CL
 A               COMMON   38259P508       2577        5000 Shares              X                        3        2772      0     286
GORDMANS
 STORE INC       COMMON   38269P100         25        2125 Shares              X                        1        2125      0       0
GORDMANS
 STORE INC       COMMON   38269P100        982       82000 Shares              X                        3         982      0       0
GOVERNMENT
 PROPERTIES
 INCOME TRUST    COMMON   38376A103        323       15000 Shares              X                        1           0      0       0
GOVERNMENT
 PROPERTIES
 INCOME TRUST    COMMON   38376A103         58        2700 Shares                       X               1           0      0       0
GRACO INC COM    COMMON   384109104        208        6097 Shares              X                        1        6097      0       0
GRACO INC COM    COMMON   384109104          2          50 Shares                       X               1          50      0       0
GRACO INC COM    COMMON   384109104       2438       71321 Shares              X                        3        5584      0       0
W W GRAINGER
 INC COM         COMMON   384802104        755        5050 Shares              X                        1        5050      0       0
W W GRAINGER
 INC COM         COMMON   384802104        374        2500 Shares                       X               1        2500      0       0
GREAT PLAINS
 ENERGY INC      COMMON   391164100         15         770 Shares              X                        1         770      0       0
GREATBATCH INC   COMMON   39153L106         35        1564 Shares              X                        3        1564      0       0
GREATER CHINA
 FUND INC        COMMON   39167B102          4         400 Shares              X                        1           0      0       0
GREEN DOT
 CORP CL A       COMMON   39304D102        161        5137 Shares              X                        1        5137      0       0
GREEN DOT
 CORP CL A       COMMON   39304D102       1978       63160 Shares              X                        3        4361      0       0
GREEN
 MOUNTAIN
 COFFEE
 ROASTERS INC    COMMON   393122106         61         660 Shares              X                        1         660      0       0
GREENBRIER
 COMPANIES INC   COMMON   393657101         27        2275 Shares              X                        1        2275      0       0
GREENBRIER
 COMPANIES INC   COMMON   393657101       1398      120000 Shares              X                        3        1398      0       0
GRUPO
 TELEVISA SA
 SPONS ADR       COMMON   40049J206          1          34 Shares              X                        1          34      0       0
GRUPO
 TELEVISA SA
 SPONS ADR       COMMON   40049J206          5         297 Shares                       X               1         297      0       0
HCP
 INCORPORATED
 REITS           COMMON   40414L109         41        1178 Shares              X                        1           0      0       0
HMS HOLDINGS
 CORPORATION     COMMON   40425J101         18         750 Shares              X                        1         750      0       0
HMS HOLDINGS
 CORPORATION     COMMON   40425J101        695       28500 Shares              X                        3         695      0       0
HSBC HOLDINGS
 PLC SPON ADR    COMMON   404280406         44        1164 Shares              X                        1        1164      0       0
HSBC HOLDINGS
 PLC SPON ADR    COMMON   404280406         12         323 Shares                       X               1         323      0       0
HSBC HOLDINGS
 PLC PFD
 6.2SER A        COMMON   404280604         10         425 Shares                       X               1           0      0       0
HALLIBURTON
 HLDG CO COM     COMMON   406216101        845       27687 Shares              X                        1       27687      0       0
HALLIBURTON
 HLDG CO COM     COMMON   406216101        122        4000 Shares                       X               1        4000      0       0
HALLIBURTON
 HLDG CO COM     COMMON   406216101       1750       57347 Shares              X                        3        3056      0       0


                                    13 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
JOHN HANCOCK
 PFD INC FD II   COMMON   41013X106         20        1050 Shares              X                        1           0      0       0
HANESBRANDS
 INC             COMMON   410345102         13         500 Shares                       X               1         100      0     400
HARLEY-DAVIDSON
 INC             COMMON   412822108        232        6761 Shares              X                        1        6761      0       0
HARLEY-DAVIDSON
 INC             COMMON   412822108        117        3400 Shares                       X               1         200      0    3200
HARRIS CORP      COMMON   413875105         43        1245 Shares              X                        1        1245      0       0
HARRIS CORP      COMMON   413875105        205        6000 Shares                       X               1        6000      0       0
HARRIS CORP      COMMON   413875105         52        1287 Shares              X                        3        1287      0       0
HARSCO CORP      COMMON   415864107       2391      123323 Shares              X                        1      123323      0       0
HARSCO CORP      COMMON   415864107       1447       74623 Shares                       X               1       74623      0       0
HARSCO CORP      COMMON   415864107         18         800 Shares              X                        3         800      0       0
HARTFORD
 FINANCIAL
 SVCS GRP INC    COMMON   416515104         54        3361 Shares              X                        1        3361      0       0
HARTFORD
 FINANCIAL
 SVCS GRP INC    COMMON   416515104         41        2520 Shares                       X               1        1630      0     890
HARTFORD
 FINANCIAL
 SVCS GRP
 6/26/19         COMMON   416515120        144       15000 Shares              X                        1           0      0   15000
HARTFORD
 FINANCIAL
 SVCS GRP        COMMON   416515708         10         518 Shares              X                        1           0      0       0
HATTERAS
 FINANCIAL
 CORP            COMMON   41902R103       1014       40299 Shares              X                        1           0      0       0
HATTERAS
 FINANCIAL
 CORP            COMMON   41902R103         66        2606 Shares                       X               1           0      0       0
HATTERAS
 FINANCIAL
 CORP            COMMON   41902R103          2          86 Shares              X                        3           0      0       0
HEALTH
 MANAGEMENT-
 CLASS A         COMMON   421933102          0          50 Shares                       X               1          50      0       0
HEADWATERS
 INCORPORATED    COMMON   42210P102          7        5000 Shares              X                        1        5000      0       0
HEALTH CARE
 REIT INC        COMMON   42217K106         26         546 Shares              X                        1           0      0       0
HEALTH CARE
 REIT INC        COMMON   42217K106          5         112 Shares                       X               1           0      0       0
HEALTH NET
 INC COM         COMMON   42222G108          8         357 Shares              X                        1         357      0       0
HEARTWARE
 INTERNATIONAL
 INC             COMMON   422368100         18         275 Shares              X                        1         275      0       0
HEARTWARE
 INTERNATIONAL
 INC             COMMON   422368100        644       10000 Shares              X                        3         644      0       0
HEICO
 CORPORATION
 - CLASS A       COMMON   422806208         97        2880 Shares              X                        1        2880      0       0
HEICO
 CORPORATION
 - CLASS A       COMMON   422806208       1194       35480 Shares              X                        3        2528      0       0
HEINZ H J CO
 COM             COMMON   423074103       1146       22698 Shares              X                        1       22588      0     110
HEINZ H J CO
 COM             COMMON   423074103        465        9207 Shares                       X               1        9207      0       0
HERCULES
 TECHNOLOGY
 GROWTH          COMMON   427096508          7         812 Shares              X                        1         812      0       0
THE HERSHEY
 COMPANY         COMMON   427866108       3365       56809 Shares              X                        1       55735      0    1074
THE HERSHEY
 COMPANY         COMMON   427866108       1660       28022 Shares                       X               1       25122      0    2900
THE HERSHEY
 COMPANY         COMMON   427866108         76        1299 Shares              X                        3        1299      0       0
HERTZ GLOBAL
 HOLDINGS INC    COMMON   42805T105        407       45693 Shares              X                        1       45693      0       0
HERTZ GLOBAL
 HOLDINGS INC    COMMON   42805T105        799       89778 Shares              X                        3        3552      0       0
HESS
 CORPORATION     COMMON   42809H107        105        2000 Shares                       X               1        2000      0       0
HEWLETT-PACKARD
 CO              COMMON   428236103       2430      108253 Shares              X                        1       95653      0   12600
HEWLETT-PACKARD
 CO              COMMON   428236103        882       39304 Shares                       X               1       35504      0    3800
HEWLETT-PACKARD
 CO              COMMON   428236103        183        7534 Shares              X                        3        7534      0       0
HEWLETT-PACKARD
 CO              COMMON   428236103         43        1900 Shares                       X               4        1900      0       0
HITACHI LTD
 SPONS ADR       COMMON   433578507          5         110 Shares              X                        1         110      0       0
HITACHI LTD
 SPONS ADR       COMMON   433578507          9         180 Shares                       X               1         180      0       0
HOLLYFRONTIER
 CORP            COMMON   436106108         23         864 Shares              X                        1         864      0       0
HOLOGIC INC
 COM             COMMON   436440101        100        6600 Shares                       X               1        3200      0    3400
HOLOGIC INC
 COM             COMMON   436440101         20        1220 Shares              X                        3        1220      0       0
HOME DEPOT
 INC COM         COMMON   437076102       6889      209584 Shares              X                        1      207798      0    1786
HOME DEPOT
 INC COM         COMMON   437076102       3032       92245 Shares                       X               1       88105      0    4140
HOME DEPOT
 INC COM         COMMON   437076102        593       17961 Shares              X                        3       12956      0    5005
HOME
 PROPERTIES
 INC (REIT)      COMMON   437306103        494        8700 Shares              X                        1           0      0       0
HOME
 PROPERTIES
 INC (REIT)      COMMON   437306103        142        2500 Shares                       X               1           0      0       0
HONDA MTR LTD
 AMERN SHS       COMMON   438128308         15         530 Shares              X                        1         530      0       0
HONDA MTR LTD
 AMERN SHS       COMMON   438128308         20         675 Shares                       X               1         675      0       0
HONEYWELL
 INTL INC COM    COMMON   438516106        832       18964 Shares              X                        1       16814      0    2150
HONEYWELL
 INTL INC COM    COMMON   438516106       1326       30190 Shares                       X               1       30190      0       0
HONEYWELL
 INTL INC COM    COMMON   438516106          9         200 Shares                       X               4         200      0       0
HOSPIRA INC      COMMON   441060100         87        2358 Shares              X                        1        2358      0       0
HOSPIRA INC      COMMON   441060100         52        1408 Shares                       X               1        1358      0      50
HOSPITALITY
 PROPERTIES
 TRUST (REIT)    COMMON   44106M102          2         102 Shares              X                        1           0      0       0
HUDSON
 TECHNOLOGIES
 INC             COMMON   444144109          1         500 Shares              X                        1         500      0       0
HUGOTON
 ROYALTY TRUST   COMMON   444717102          3         150 Shares                       X               1           0      0     150
HUMAN GENOME
 SCIENCES INC    COMMON   444903108        309       24328 Shares              X                        1       24328      0       0
HUMAN GENOME
 SCIENCES INC    COMMON   444903108          4         300 Shares                       X               1         300      0       0
HUMAN GENOME
 SCIENCES INC    COMMON   444903108       1376      108377 Shares              X                        3        5179      0       0
J B HUNT
 TRANSPORT
 SERVICES INC    COMMON   445658107          3          95 Shares              X                        1          95      0       0
HUNTINGTON
 INGALLS
 INDUSTRIES WI   COMMON   446413106          1          35 Shares              X                        1          35      0       0
HUNTINGTON
 INGALLS
 INDUSTRIES WI   COMMON   446413106          8         309 Shares                       X               1         309      0       0
IPG PHOTONICS
 CORP            COMMON   44980X109        185        4250 Shares              X                        1        4250      0       0
IPG PHOTONICS
 CORP            COMMON   44980X109       2580       59390 Shares              X                        3        4388      0       0


                                    14 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
ING RISK
 MANAGED
 NATURAL RES     COMMON   449810100         65        5200 Shares                       X               1           0      0       0
ITT
 EDUCATIONAL
 SERVICES INC
 COM             COMMON   45068B109        164        2850 Shares              X                        1        2850      0       0
ITT
 EDUCATIONAL
 SERVICES INC
 COM             COMMON   45068B109       2042       35480 Shares              X                        3        3343      0       0
ITT CORP         COMMON   450911102         40         942 Shares              X                        1         942      0       0
ITT CORP         COMMON   450911102        110        2620 Shares                       X               1        2620      0       0
IAMGOLD CORP     COMMON   450913108          2         100 Shares                       X               1         100      0       0
ICON PLC
 SPONSORED ADR   COMMON   45103T107         14         848 Shares              X                        1         848      0       0
ICICI BANK
 LIMITED
 SPONSORED ADR   COMMON   45104G104         10         292 Shares              X                        1         292      0       0
ILLINOIS TOOL
 WKS INC COM     COMMON   452308109        642       15435 Shares              X                        1        7435      0    8000
ILLINOIS TOOL
 WKS INC COM     COMMON   452308109        320        7700 Shares                       X               1        7700      0       0
ILLUMINA INC     COMMON   452327109        588       14381 Shares              X                        1       13943      0     438
ILLUMINA INC     COMMON   452327109         44        1080 Shares                       X               1        1080      0       0
ILLUMINA INC     COMMON   452327109       1046       25571 Shares              X                        3        1594      0       0
IMMUNOGEN INC    COMMON   45253H101          1         100 Shares                       X               1           0      0     100
IMPERIAL OIL
 LTD             COMMON   453038408         90        2500 Shares                       X               1        2500      0       0
INDIA FUND       COMMON   454089103        119        5200 Shares              X                        1           0      0       0
INERGY LP        COMMON   456615103        104        4130 Shares              X                        1        2830      0    1300
INFORMATICA
 CORP COM        COMMON   45666Q102        507       12371 Shares              X                        1       12371      0       0
INFORMATICA
 CORP COM        COMMON   45666Q102       1097       26773 Shares              X                        3        1838      0       0
INFOSYS
 LIMITED         COMMON   456788108         10         200 Shares              X                        1         200      0       0
ING GROEP NV
 SPONSORED ADR   COMMON   456837103         10        1450 Shares                       X               1        1450      0       0
ING GLOBAL
 EQUITY DIV &
 PREM OPPT FD    COMMON   45684E107         57        6150 Shares                       X               1           0      0       0
INSULET CORP     COMMON   45784P101         34        2200 Shares              X                        1        2200      0       0
INSULET CORP     COMMON   45784P101       1297       85000 Shares              X                        3        1297      0       0
INTEL CORP COM   COMMON   458140100      12465      584244 Shares              X                        1      574209      0   10035
INTEL CORP COM   COMMON   458140100       5338      250216 Shares                       X               1      223426      0   26790
INTEL CORP COM   COMMON   458140100       1545       75507 Shares              X                        3       70802      0    4705
INTEL CORP COM   COMMON   458140100         64        3000 Shares                       X               4        3000      0       0
INTEGRYS
 ENERGY GROUP
 INC             COMMON   45822P105         17         350 Shares                       X               1         350      0       0
INTER PARFUMS
 INC             COMMON   458334109         25        1650 Shares              X                        1        1650      0       0
INTER PARFUMS
 INC             COMMON   458334109        942       61000 Shares              X                        3         942      0       0
INTERCONTINENTAL
 EXCHANGE INC    COMMON   45865V100        931        7872 Shares              X                        1        7742      0     130
INTERCONTINENTAL
 EXCHANGE INC    COMMON   45865V100       4492       37988 Shares              X                        3        5947      0       0
INTERDIGITAL
 INC             COMMON   45867G101         41         875 Shares              X                        1         875      0       0
INTERDIGITAL
 INC             COMMON   45867G101        638       13700 Shares              X                        3         638      0       0
IBM
 CORPORATION     COMMON   459200101      43463      248549 Shares              X                        1      236184      0   12365
IBM
 CORPORATION     COMMON   459200101      17726      101368 Shares                       X               1       93222      0    8146
IBM
 CORPORATION     COMMON   459200101      55614      323043 Shares              X                        3      305425      0    1531
IBM
 CORPORATION     COMMON   459200101        109         625 Shares                       X               4         625      0       0
INTL FLAVORS
 & FRAGRANCES
 INC COM         COMMON   459506101         39         700 Shares              X                        1         700      0       0
INTERNATIONAL
 PAPER CO COM    COMMON   460146103        141        6043 Shares              X                        1        6043      0       0
INTERNATIONAL
 PAPER CO COM    COMMON   460146103        106        4573 Shares                       X               1        2337      0    2236
INTERNATIONAL
 SPEEDWAY
 CORP CL A       COMMON   460335201          1          50 Shares              X                        1          50      0       0
INTUIT INC COM   COMMON   461202103         44         925 Shares              X                        1         925      0       0
INVACARE CORP
 COM             COMMON   461203101          5         200 Shares              X                        1         200      0       0
INTUITIVE
 SURGICAL INC    COMMON   46120E602       6140       16856 Shares              X                        1       16711      0     145
INTUITIVE
 SURGICAL INC    COMMON   46120E602        254         697 Shares                       X               1         697      0       0
INTUITIVE
 SURGICAL INC    COMMON   46120E602       3429        9407 Shares              X                        3        3920      0     348
INTUITIVE
 SURGICAL INC    COMMON   46120E602        255         700 Shares                       X               4         700      0       0
INVESCO VAN
 KAMPEN TR
 INVT MUNI       COMMON   46131M106          9         600 Shares              X                        1           0      0       0
INVESCO VAN
 KAMPEN TR
 INVT MUNI       COMMON   46131M106         84        5851 Shares                       X               1           0      0       0
INVESCO VAN
 KAMPEN MUNI
 OPP TR          COMMON   46132C107        102        7385 Shares                       X               1           0      0       0
INVESCO VAN
 KAMPEN
 ADVANTAGE       COMMON   46132E103          7         600 Shares              X                        1           0      0       0
INVESCO VAN
 KAMPEN PA
 VALUE           COMMON   46132K109        147       10794 Shares              X                        1           0      0       0
INVESCO VAN
 KAMPEN PA
 VALUE           COMMON   46132K109        187       13763 Shares                       X               1           0      0       0
INVESCO VAN
 KAMPEN BOND
 FUND            COMMON   46132L107         16         818 Shares              X                        1           0      0       0
INVESCO
 INSURED MUNI
 INC TR          COMMON   46132P108         44        2814 Shares                       X               1           0      0       0
INVESCO VAN
 KAMPEN
 QUALITY MUNI    COMMON   46133G107         18        1413 Shares                       X               1           0      0       0
INVESCO
 QUALITY MUNI
 INVT TR         COMMON   46133H105         23        1708 Shares                       X               1           0      0       0
INVESCO HIGH
 YIELD
 INVESTMENTS
 FUND            COMMON   46133K108          2         300 Shares              X                        1           0      0       0
IRON MTN INC
 PA COM          COMMON   462846106          2          67 Shares              X                        1          67      0       0
IRON MTN INC
 PA COM          COMMON   462846106         10         329 Shares                       X               1         329      0       0
ISHARES GOLD
 TRUST           COMMON   464285105       1227       77506 Shares              X                        1           0      0       0
ISHARES MSCI
 CANADA INDEX
 FD              COMMON   464286509         25         992 Shares              X                        1           0      0       0
ISHARES MSCI
 ISRAEL
 CAPPED IND FD   COMMON   464286632         16         393 Shares              X                        1           0      0       0
ISHARES MSCI
 BRIC INDEX
 FUND            COMMON   464286657         30         875 Shares              X                        1           0      0       0
ISHARES MSCI
 PACIFIC
 EX-JAPAN
 INDEX           COMMON   464286665          7         200 Shares              X                        1           0      0       0


                                    15 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
ISHARES MSCI
 SINGAPORE
 INDEX FD        COMMON   464286673          3         272 Shares              X                        1         272      0       0
ISHARES MSCI
 SWITZERLAND
 INDEX           COMMON   464286749          3         155 Shares              X                        1           0      0       0
ISHARES MSCI
 SWEDEN INDEX
 FD              COMMON   464286756          3         128 Shares              X                        1           0      0       0
ISHARES MSCI
 SOUTH KOREA
 INDEX FUND      COMMON   464286772          3          68 Shares              X                        1          68      0       0
ISHARES MSCI
 JAPAN INDEX
 FD              COMMON   464286848         24        2500 Shares              X                        1           0      0       0
ISHARES MSCI
 JAPAN INDEX
 FD              COMMON   464286848         31        3300 Shares                       X               1           0      0       0
ISHARES MSCI
 HONG KONG
 INDEX FD        COMMON   464286871          3         202 Shares              X                        1           0      0       0
ISHARES DJ
 SELECT
 DIVIDEND
 INDEX FD        COMMON   464287168         44         910 Shares              X                        1           0      0       0
ISHARES
 BARCLAYS
 TIPS BOND FD    COMMON   464287176         38         333 Shares              X                        1           0      0       0
ISHARES FTSE
 CHINA 25        COMMON   464287184         14         442 Shares              X                        1           0      0       0
ISHARES DOW
 JONES US
 TRANS INDX FD   COMMON   464287192          8         100 Shares              X                        1           0      0       0
ISHARES S&P
 500 INDEX FD    COMMON   464287200       3791       33347 Shares              X                        1           0      0       0
ISHARES S&P
 500 INDEX FD    COMMON   464287200        901        7921 Shares                       X               1           0      0       0
ISHARES
 BARCLAYS
 AGGREGATE BD
 FD              COMMON   464287226        348        3160 Shares              X                        1           0      0       0
ISHARES
 BARCLAYS
 AGGREGATE BD
 FD              COMMON   464287226         51         459 Shares                       X               1           0      0       0
ISHARES MSCI
 EMERGING
 MARKETS INDEX   COMMON   464287234        199        5672 Shares              X                        1           0      0       0
ISHARES MSCI
 EMERGING
 MARKETS INDEX   COMMON   464287234         68        1940 Shares                       X               1           0      0       0
ISHARES S&P
 GLOBAL
 ENERGY SECT     COMMON   464287341         10         300 Shares              X                        1           0      0       0
ISHARES S&P
 NA NAT RES
 SIF             COMMON   464287374          8         250 Shares              X                        1           0      0       0
ISHARES
 BARCLAYS 1-3
 YR TREAS BD
 FD              COMMON   464287457         61         724 Shares                       X               1           0      0       0
ISHARES MSCI
 EAFE INDEX FD   COMMON   464287465      12307      257587 Shares              X                        1           0      0       0
ISHARES MSCI
 EAFE INDEX FD   COMMON   464287465       5240      109659 Shares                       X               1           0      0       0
ISHARES MSCI
 EAFE INDEX FD   COMMON   464287465        620       12967 Shares              X                        3           0      0       0
ISHARES MSCI
 EAFE INDEX FD   COMMON   464287465        629       13169 Shares                       X               3           0      0       0
ISHARES MSCI
 EAFE INDEX FD   COMMON   464287465         50        1054 Shares              X                        4           0      0       0
ISHARES
 RUSSELL MID
 CAP GROWTH
 INDEX           COMMON   464287481         50        1000 Shares              X                        1           0      0       0
ISHARES
 RUSSELL
 MIDCAP INDEX
 FD              COMMON   464287499          9         100 Shares              X                        1           0      0       0
ISHARES
 RUSSELL
 MIDCAP INDEX
 FD              COMMON   464287499         18         200 Shares                       X               1           0      0       0
ISHARES S&P
 MIDCAP 400
 INDEX FD        COMMON   464287507         54         698 Shares              X                        1           0      0       0
ISHARES S&P
 MIDCAP 400
 INDEX FD        COMMON   464287507        651        8350 Shares                       X               3           0      0       0
ISHARES
 RUSSELL 1000
 VALUE INDEX
 FD              COMMON   464287598       9622      170022 Shares              X                        1           0      0       0
ISHARES
 RUSSELL 1000
 VALUE INDEX
 FD              COMMON   464287598       1259       22253 Shares                       X               1           0      0       0
ISHARES
 RUSSELL 1000
 VALUE INDEX
 FD              COMMON   464287598       3414       60329 Shares              X                        3        2058      0       0
ISHARES
 RUSSELL 1000
 VALUE INDEX
 FD              COMMON   464287598         79        1402 Shares              X                        4           0      0       0
ISHARES S&P
 MIDCAP 400
 BARRA GRWTH I   COMMON   464287606        638        7106 Shares              X                        1           0      0       0
ISHARES
 RUSSELL 1000
 GROWTH INDEX
 FD              COMMON   464287614       9501      180692 Shares              X                        1           0      0       0
ISHARES
 RUSSELL 1000
 GROWTH INDEX
 FD              COMMON   464287614       1734       32986 Shares                       X               1           0      0       0
ISHARES
 RUSSELL 1000
 GROWTH INDEX
 FD              COMMON   464287614        301        5545 Shares              X                        3        2307      0       0
ISHARES
 RUSSELL 1000
 GROWTH INDEX
 FD              COMMON   464287614        107        2028 Shares              X                        4           0      0       0
ISHARES
 RUSSELL 1000
 INDEX FD        COMMON   464287622       2838       45371 Shares              X                        1           0      0       0
ISHARES
 RUSSELL 1000
 INDEX FD        COMMON   464287622        467        7464 Shares                       X               1           0      0       0
ISHARES
 RUSSELL 2000
 GRWTH FD        COMMON   464287648         96        1304 Shares              X                        1           0      0       0
ISHARES
 RUSSELL 2000
 INDEX FD        COMMON   464287655        164        2550 Shares              X                        1           0      0       0
ISHARES
 RUSSELL 2000
 INDEX FD        COMMON   464287655         30         460 Shares                       X               1           0      0       0
ISHARES DOW
 JONES US
 UTIL SECT       COMMON   464287697         20         245 Shares              X                        1           0      0       0
ISHARES S&P
 MIDCAP
 400/BARRA
 VAL IND         COMMON   464287705        449        6802 Shares              X                        1           0      0       0
ISHARES DJ US
 TECH SEC
 INDEX FD        COMMON   464287721        347        5874 Shares              X                        1           0      0       0
ISHARES DOW
 JONES US
 FINL SECT       COMMON   464287788         24         540 Shares              X                        1           0      0       0
ISHARES DOW
 JONES US
 FINL SECT       COMMON   464287788         21         470 Shares                       X               1           0      0       0
ISHARES S&P
 SMALLCAP 600
 INDEX FD        COMMON   464287804       1129       19287 Shares              X                        1           0      0       0
ISHARES S&P
 SMALLCAP 600
 INDEX FD        COMMON   464287804        662       11309 Shares                       X               3           0      0       0
ISHARES DJ US
 BASIC
 MATERIALS
 SEC FD          COMMON   464287838         10         175 Shares              X                        1           0      0       0
ISHARES DJ US
 BASIC
 MATERIALS
 SEC FD          COMMON   464287838         42         750 Shares                       X               1           0      0       0
ISHARES S&P
 EUROPE 350
 INDEX FD        COMMON   464287861         80        2500 Shares                       X               1           0      0       0
ISHARES MSCI
 ALL COUNTRY
 ASIA EX         COMMON   464288182        254        5450 Shares              X                        1           0      0       0
ISHARES S&P
 NAT AMT-FREE
 MUN             COMMON   464288414         35         330 Shares              X                        1           0      0       0
ISHARES S&P
 ASIA 50
 INDEX FD        COMMON   464288430         36        1000 Shares              X                        1           0      0       0
ISHARES FTSE
 DEVELOPED       COMMON   464288497          1          40 Shares                       X               1           0      0       0
ISHARES IBOXX
 HI YLD CORP
 BD FD           COMMON   464288513         44         537 Shares                       X               1           0      0       0
ISHARES
 BARCLAYS
 INTER
 GOVT/CR BD FD   COMMON   464288612       3429       30845 Shares                       X               3           0      0       0
ISHARES
 BARCLAYS
 CREDIT BOND
 FUND            COMMON   464288620         84         780 Shares              X                        1           0      0       0
ISHARES
 BARCLAYS
 CREDIT BOND
 FUND            COMMON   464288620        194        1800 Shares              X                        3        1800      0       0
ISHARES S&P
 US PFD STK
 INDEX FD        COMMON   464288687        235        6600 Shares              X                        1           0      0       0
ISHARES S&P
 GLOBAL
 MATERIALS       COMMON   464288695         34         640 Shares              X                        1           0      0       0
ISHARES DJ US
 HOME
 CONSTRUCT FD    COMMON   464288752         38        4265 Shares              X                        1           0      0    4265
ISHARES MSCI
 USA ESG
 SELECT          COMMON   464288802         16         316 Shares              X                        1           0      0       0
ISHARES DJ US
 OIL & GAS
 EXPL            COMMON   464288851        404        7900 Shares              X                        1           0      0       0


                                    16 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
ISHARES MSCI
 EAFE GRWTH
 INDEX FD        COMMON   464288885        747       14984 Shares              X                        1           0      0       0
ISHARES MSCI
 EAFE GRWTH
 INDEX FD        COMMON   464288885        160        3210 Shares                       X               1           0      0       0
ISHARES MSCI
 NEW ZEALAND
 INVESTABLE      COMMON   464289123          4         126 Shares              X                        1           0      0       0
ISHARES
 SILVER TRUST    COMMON   46428Q109         30        1050 Shares              X                        1           0      0       0
ISHARES
 SILVER TRUST    COMMON   46428Q109          3         100 Shares                       X               1           0      0       0
ISHARES S&P
 GSCI
 COMMODITY - I   COMMON   46428R107         15         500 Shares              X                        1           0      0       0
ISHARES MSCI
 POLAND
 INVESTABLE      COMMON   46429B606          3         110 Shares              X                        1           0      0       0
ISIS
 PHARMACEUTICALS
 COM             COMMON   464330109          2         350 Shares              X                        1         350      0       0
ITAU UNIBANCO
 HOLDING SA -
 PREF ADR        COMMON   465562106         13         864 Shares              X                        1         864      0       0
IVANHOE MINES
 LTD             COMMON   46579N103          1          75 Shares              X                        1          75      0       0
JDS UNIPHASE
 CORP            COMMON   46612J507        783       78585 Shares              X                        1       78585      0       0
JDS UNIPHASE
 CORP            COMMON   46612J507        752       75470 Shares              X                        3        7109      0    4009
JPMORGAN
 CHASE & CO      COMMON   46625H100       9134      303239 Shares              X                        1      298186      0    5053
JPMORGAN
 CHASE & CO      COMMON   46625H100       3597      119438 Shares                       X               1      107690      0   11748
JPMORGAN
 CHASE & CO      COMMON   46625H100       1390       41004 Shares              X                        3       35833      0    5171
JPMORGAN
 CHASE & CO      COMMON   46625H100         38        1250 Shares                       X               4        1250      0       0
JP MORGAN
 CHASE -
 WTS
 10/28/18        COMMON   46634E114        651       69975 Shares              X                        1           0      0   69975
JACOBS
 ENGINEERING
 GROUP INC COM   COMMON   469814107         76        2350 Shares              X                        1        2350      0       0
JACOBS
 ENGINEERING
 GROUP INC COM   COMMON   469814107         25         760 Shares                       X               1         760      0       0
JANUS CAPITAL
 GROUP INC       COMMON   47102X105        459       76581 Shares              X                        1       76581      0       0
JANUS CAPITAL
 GROUP INC       COMMON   47102X105        929      154792 Shares              X                        3        5692      0       0
JETBLUE
 AIRWAYS
 CORPORATION     COMMON   477143101          0         100 Shares              X                        1         100      0       0
JOHNSON &
 JOHNSON         COMMON   478160104      24155      379266 Shares              X                        1      359784      0   19482
JOHNSON &
 JOHNSON         COMMON   478160104      19804      310938 Shares                       X               1      298137      0   12801
JOHNSON &
 JOHNSON         COMMON   478160104       1046       16054 Shares              X                        3       16054      0       0
JOHNSON &
 JOHNSON         COMMON   478160104         99        1550 Shares                       X               4        1550      0       0
JOHNSON
 CONTROLS INC
 COM             COMMON   478366107        545       20658 Shares              X                        1       19958      0     700
JOHNSON
 CONTROLS INC
 COM             COMMON   478366107        251        9511 Shares                       X               1        9511      0       0
JOY GLOBAL
 INCORPORATED    COMMON   481165108       1741       27910 Shares              X                        1       27345      0     565
JOY GLOBAL
 INCORPORATED    COMMON   481165108        142        2275 Shares                       X               1        1950      0     325
JOY GLOBAL
 INCORPORATED    COMMON   481165108       3592       57000 Shares              X                        3        7494      0       0
JUNIPER
 NETWORKS INC    COMMON   48203R104        401       23217 Shares              X                        1       22645      0     572
JUNIPER
 NETWORKS INC    COMMON   48203R104         53        3074 Shares                       X               1        3074      0       0
JUNIPER
 NETWORKS INC    COMMON   48203R104        534       30912 Shares              X                        3        1430      0       0
KKR FINANCIAL
 HOLDINGS LLC    COMMON   48248A306        367       49330 Shares              X                        1           0      0   49330
KT
 CORPORATION
 SP ADR          COMMON   48268K101          3         235 Shares                       X               1         235      0       0
KAYNE
 ANDERSON MLP
 INVESTMENT CO   COMMON   486606106         20         714 Shares              X                        1           0      0       0
KELLOGG CO COM   COMMON   487836108        923       17350 Shares              X                        1       17350      0       0
KELLOGG CO COM   COMMON   487836108        727       13675 Shares                       X               1       13575      0     100
KEMPER CORP      COMMON   488401100         34        1400 Shares              X                        1        1400      0       0
KENNAMETAL INC   COMMON   489170100         15         400 Shares              X                        3         400      0       0
KEY ENERGY
 SERVICES INC    COMMON   492914106         43        4500 Shares              X                        1        4500      0       0
KEY ENERGY
 SERVICES INC    COMMON   492914106       1566      165000 Shares              X                        3        1566      0       0
KIMBERLY
 CLARK CORP      COMMON   494368103       4663       65660 Shares              X                        1       65578      0      82
KIMBERLY
 CLARK CORP      COMMON   494368103       2747       38691 Shares                       X               1       35541      0    3150
KINDER MORGAN
 ENERGY
 PARTNERS LP     COMMON   494550106        568        8307 Shares              X                        1        5107      0    3200
KINDER MORGAN
 ENERGY
 PARTNERS LP     COMMON   494550106         62         910 Shares                       X               1         735      0     175
KINDER MORGAN
 MANAGEMENT
 LLC             COMMON   49455U100       1746       29750 Shares              X                        1       27753      0    1997
KINDER MORGAN
 MANAGEMENT
 LLC             COMMON   49455U100         67        1149 Shares                       X               1        1149      0       0
KINDER MORGAN
 MANAGEMENT
 LLC             COMMON   49455U100          3          56 Shares              X                        3          56      0       0
KINROSS GOLD
 CORPORATION     COMMON   496902404          5         319 Shares              X                        1         319      0       0
KIRBY CORP COM   COMMON   497266106         45         850 Shares              X                        1         850      0       0
KIRBY CORP COM   COMMON   497266106       1632       31000 Shares              X                        3        1632      0       0
KODIAK OIL &
 GAS
 CORPORATION     COMMON   50015Q100         46        8825 Shares              X                        1        8825      0       0
KOHLS CORP COM   COMMON   500255104         77        1563 Shares              X                        1        1563      0       0
KOHLS CORP COM   COMMON   500255104        109        2230 Shares                       X               1        2230      0       0
KONINKLIJKE
 PHILIPS ELEC
 N V NY SHR      COMMON   500472303          7         369 Shares              X                        1         369      0       0
KOREA
 ELECTRIC
 POWER CORP
 SP ADR          COMMON   500631106          6         655 Shares                       X               1         655      0       0
KRAFT FOODS
 INC CL A        COMMON   50075N104       6948      206910 Shares              X                        1      171220      0   35690
KRAFT FOODS
 INC CL A        COMMON   50075N104       3045       90672 Shares                       X               1       87652      0    3020
KRAFT FOODS
 INC CL A        COMMON   50075N104        294        8702 Shares              X                        3        5421      0    3281
KRAFT FOODS
 INC CL A        COMMON   50075N104         20         600 Shares                       X               4         600      0       0
KROGER CO        COMMON   501044101        123        5596 Shares              X                        1        5596      0       0
KROGER CO        COMMON   501044101         11         500 Shares                       X               1           0      0     500
KUBOTA
 CORP-SPONS
 ADR             COMMON   501173207         15         368 Shares              X                        1         368      0       0
LKQ
 CORPORATION     COMMON   501889208        272       11243 Shares              X                        1       11243      0       0
LKQ
 CORPORATION     COMMON   501889208       3362      139160 Shares              X                        3        8690      0       0


                                    17 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
LSI
 CORPORATION     COMMON   502161102          1         129 Shares              X                        1         129      0       0
LSI
 CORPORATION     COMMON   502161102          0          14 Shares                       X               1          14      0       0
L 3
 COMMUNICATIONS
 CORP COM        COMMON   502424104        149        2400 Shares              X                        1           0      0    2400
LABORATORY
 CRP OF AMER
 HLDGS COM NEW   COMMON   50540R409       1009       12765 Shares              X                        1         265      0   12500
LAM RESH CORP    COMMON   512807108        219        5772 Shares              X                        1        5772      0       0
LAM RESH CORP    COMMON   512807108       2680       70570 Shares              X                        3        5345      0       0
LAS VEGAS
 SANDS CORP      COMMON   517834107        500       13032 Shares              X                        1       13032      0       0
LAS VEGAS
 SANDS CORP      COMMON   517834107       1374       35845 Shares              X                        3        2187      0       0
LAUDER ESTEE
 CO CL A         COMMON   518439104       1449       16491 Shares              X                        1       16491      0       0
LAUDER ESTEE
 CO CL A         COMMON   518439104        110        1250 Shares                       X               1        1250      0       0
LAUDER ESTEE
 CO CL A         COMMON   518439104        997       11293 Shares              X                        3        1715      0       0
LEGGETT &
 PLATT INC       COMMON   524660107        158        8000 Shares              X                        1        8000      0       0
LEGACY
 RESERVES LP     COMMON   524707304         13         520 Shares                       X               1         520      0       0
LEGG MASON INC   COMMON   524901105         26         995 Shares              X                        1         995      0       0
LEGG MASON INC   COMMON   524901105          9         365 Shares                       X               1         365      0       0
LENNOX INTL
 INC COM         COMMON   526107107        189        6044 Shares              X                        3        6044      0       0
LEXINGTON
 REALTY TRUST    COMMON   529043101         14        2154 Shares              X                        1           0      0       0
LIBERTY
 GLOBAL INC -
 CL A            COMMON   530555101          8         213 Shares              X                        1         213      0       0
LIBERTY
 GLOBAL INC -
 CL A            COMMON   530555101         32         877 Shares                       X               1         877      0       0
LIBERTY
 GLOBAL
 INC-CL B        COMMON   530555200         20         543 Shares                       X               1         543      0       0
LIBERTY
 GLOBAL INC
 CL C            COMMON   530555309          7         216 Shares              X                        1         216      0       0
LIBERTY
 GLOBAL INC
 CL C            COMMON   530555309         49        1420 Shares                       X               1        1420      0       0
LIBERTY
 INTERACTIVE
 CORP - A        COMMON   53071M104          7         500 Shares              X                        1         500      0       0
LIBERTY
 INTERACTIVE
 CORP - A        COMMON   53071M104         59        3967 Shares                       X               1        3967      0       0
LIBERTY
 INTERACTIVE
 CORPORATION     COMMON   53071M203         41        2714 Shares                       X               1        2714      0       0
LIFE
 TECHNOLOGIES
 CORP            COMMON   53217V109        169        4388 Shares              X                        1        4388      0       0
LIFE
 TECHNOLOGIES
 CORP            COMMON   53217V109         38        1000 Shares                       X               1           0      0    1000
LIFE
 TECHNOLOGIES
 CORP            COMMON   53217V109       1808       47026 Shares              X                        3        3548      0       0
LIFEPOINT
 HOSPS INC COM   COMMON   53219L109         10         273 Shares              X                        1         273      0       0
LIHUA
 INTERNATIONAL
 INC             COMMON   532352101          9        2000 Shares                       X               1        2000      0       0
LILLY ELI & CO   COMMON   532457108       4239      114671 Shares              X                        1      113617      0    1054
LILLY ELI & CO   COMMON   532457108       3054       82615 Shares                       X               1       79682   1600    1333
LILLY ELI & CO   COMMON   532457108        970       26063 Shares              X                        3       21592      0    4471
LIMITED
 BRANDS, INC
 COM             COMMON   532716107       2047       53160 Shares              X                        1       52710      0     450
LIMITED
 BRANDS, INC
 COM             COMMON   532716107        129        3359 Shares                       X               1        1189      0    2170
LIMITED
 BRANDS, INC
 COM             COMMON   532716107       5609      146013 Shares              X                        3       30441      0       0
LINCOLN
 NATIONAL CORP   COMMON   534187109         17        1100 Shares              X                        1        1100      0       0
LINCOLN
 NATIONAL CORP   COMMON   534187109         11         525 Shares              X                        3         525      0       0
LINEAR
 TECHNOLOGY
 CORP COM        COMMON   535678106         15         550 Shares              X                        1         550      0       0
LINEAR
 TECHNOLOGY
 CORP COM        COMMON   535678106          3         110 Shares                       X               1           0      0     110
LINKEDIN CORP
 A               COMMON   53578A108         16         200 Shares              X                        1         200      0       0
LINN ENERGY
 LLC             COMMON   536020100        117        3300 Shares              X                        1        1300      0    2000
LINN ENERGY
 LLC             COMMON   536020100         34         965 Shares                       X               1         865      0     100
LLOYDS
 BANKING
 GROUP PLC       COMMON   539439109          5        2478 Shares              X                        1        2478      0       0
LOCKHEED
 MARTIN
 CORPORATION
 COM             COMMON   539830109       3092       42566 Shares              X                        1       38866      0    3700
LOCKHEED
 MARTIN
 CORPORATION
 COM             COMMON   539830109        694        9550 Shares                       X               1        9550      0       0
LOCKHEED
 MARTIN
 CORPORATION
 COM             COMMON   539830109        126        1700 Shares              X                        3        1700      0       0
LOCKHEED
 MARTIN
 CORPORATION
 COM             COMMON   539830109         40         550 Shares                       X               4         550      0       0
LOEWS CORP       COMMON   540424108        324        9380 Shares              X                        1        4280      0    5100
LOEWS CORP       COMMON   540424108         14         405 Shares                       X               1         405      0       0
LORILLARD INC    COMMON   544147101         75         677 Shares              X                        1         663      0      14
LORILLARD INC    COMMON   544147101          4          36 Shares                       X               1          36      0       0
LOWES
 COMPANIES INC   COMMON   548661107       2112      109218 Shares              X                        1      107758      0    1460
LOWES
 COMPANIES INC   COMMON   548661107        176        9081 Shares                       X               1        7981      0    1100
LOWES
 COMPANIES INC   COMMON   548661107         22        1082 Shares              X                        3        1082      0       0
LUFKIN
 INDUSTRIES
 INC             COMMON   549764108        216        4057 Shares              X                        1        4057      0       0
LUFKIN
 INDUSTRIES
 INC             COMMON   549764108       3477       65340 Shares              X                        3        5030      0       0
LULULEMON
 ATHLETICA
 INC-W/I         COMMON   550021109       2266       46541 Shares              X                        1       46225      0     316
LULULEMON
 ATHLETICA
 INC-W/I         COMMON   550021109         67        1381 Shares                       X               1        1381      0       0
LULULEMON
 ATHLETICA
 INC-W/I         COMMON   550021109       4206       86463 Shares              X                        3        7215      0       0
LUXOTTICA
 GROUP
 SPA-SPON ADR    COMMON   55068R202         15         608 Shares              X                        1         608      0       0
M & T BANK
 CORP            COMMON   55261F104     101498     1452048 Shares              X                        1     1422135      0   29913
M & T BANK
 CORP            COMMON   55261F104       9284      132816 Shares                       X               1        8563      0  124253
M & T BANK
 CORP            COMMON   55261F104       3703       48676 Shares              X                        3       48676      0       0
M & T BANK
 CORP            COMMON   55261F104         10         150 Shares                       X               4         150      0       0
MEMC
 ELECTRONIC
 MATERIALS INC   COMMON   552715104          2         275 Shares              X                        3         275      0       0
MGM RESORTS
 INTERNATIONAL   COMMON   552953101          1         100 Shares                       X               1         100      0       0


                                    18 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
MKS
 INSTRUMENTS
 INC             COMMON   55306N104        147        6755 Shares              X                        1        6755      0       0
MKS
 INSTRUMENTS
 INC             COMMON   55306N104       1821       83870 Shares              X                        3        5020      0       0
MACY'S INC       COMMON   55616P104         63        2393 Shares              X                        1        2393      0       0
MACY'S INC       COMMON   55616P104         59        2275 Shares              X                        3        2275      0       0
MAGELLAN
 MIDSTREAM
 PARTNERS L.P.   COMMON   559080106         72        1200 Shares              X                        1           0      0    1200
MAGELLAN
 MIDSTREAM
 PARTNERS L.P.   COMMON   559080106         24         400 Shares                       X               1         400      0       0
MAGNA
 INTERNATIONAL   COMMON   559222401         13         400 Shares                       X               1         400      0       0
MAKO SURGICAL
 CORP            COMMON   560879108         29         850 Shares              X                        1         850      0       0
MAKO SURGICAL
 CORP            COMMON   560879108       1061       31000 Shares              X                        3        1061      0       0
MANITOWOC CO
 INC COM         COMMON   563571108        851      126777 Shares              X                        1      126777      0       0
MANITOWOC CO
 INC COM         COMMON   563571108       4576      682008 Shares              X                        3       12034      0       0
MANPOWER INC
 WIS             COMMON   56418H100         50        1500 Shares              X                        1        1500      0       0
MANULIFE
 FINANCIAL
 CORP            COMMON   56501R106        369       32590 Shares              X                        1       32590      0       0
MANULIFE
 FINANCIAL
 CORP            COMMON   56501R106         21        1832 Shares                       X               1        1832      0       0
MAP
 PHARMACEUTICALS
 INC             COMMON   56509R108        162       11061 Shares              X                        1       11061      0       0
MAP
 PHARMACEUTICALS
 INC             COMMON   56509R108       2850      194970 Shares              X                        3        6959      0       0
MARATHON OIL
 CORP            COMMON   565849106        224       10370 Shares              X                        1       10370      0       0
MARATHON OIL
 CORP            COMMON   565849106         23        1074 Shares                       X               1        1074      0       0
MARATHON
 PETROLEUM
 CORP            COMMON   56585A102        126        4664 Shares              X                        1        4664      0       0
MARATHON
 PETROLEUM
 CORP            COMMON   56585A102         15         537 Shares                       X               1         537      0       0
MARKEL CORP
 COM             COMMON   570535104          1           4 Shares              X                        1           4      0       0
MARKET
 VECTORS GOLD
 MINERS          COMMON   57060U100         20         360 Shares                       X               1           0      0       0
MARKWEST
 ENERGY
 PARTNERS LP     COMMON   570759100          9         200 Shares                       X               1         200      0       0
MARSH &
 MCLENNAN COS
 INC COM         COMMON   571748102         48        1800 Shares                       X               1        1800      0       0
MARRIOTT INTL
 INC CL A        COMMON   571903202         22         800 Shares              X                        1         800      0       0
MASCO CORP       COMMON   574599106          9        1217 Shares              X                        1        1217      0       0
MASCO CORP       COMMON   574599106         12        1658 Shares                       X               1        1658      0       0
MASTERCARD
 INC CL A        COMMON   57636Q104        778        2454 Shares              X                        1        2454      0       0
MASTERCARD
 INC CL A        COMMON   57636Q104         38         120 Shares                       X               1         120      0       0
MASTERCARD
 INC CL A        COMMON   57636Q104        790        2493 Shares              X                        3         854      0       0
MATTEL INC       COMMON   577081102         21         796 Shares              X                        1         796      0       0
MAXIM
 INTEGRATED
 PRODS INC COM   COMMON   57772K101          5         200 Shares                       X               1         200      0       0
MCCORMICK &
 CO-NON VTG
 SHS             COMMON   579780206       2238       48475 Shares              X                        1       48475      0       0
MCCORMICK &
 CO-NON VTG
 SHS             COMMON   579780206        235        5092 Shares                       X               1        5092      0       0
MCDERMOTT
 INTL INC        COMMON   580037109        256       23753 Shares              X                        1       23753      0       0
MCDERMOTT
 INTL INC        COMMON   580037109          6         550 Shares                       X               1         550      0       0
MCDERMOTT
 INTL INC        COMMON   580037109       2095      194446 Shares              X                        3       10244      0       0
MCDONALD'S
 CORPORATION     COMMON   580135101      10302      117305 Shares              X                        1      112291      0    5014
MCDONALD'S
 CORPORATION     COMMON   580135101       4122       46932 Shares                       X               1       44867      0    2065
MCDONALD'S
 CORPORATION     COMMON   580135101        306        3484 Shares              X                        3        2190      0    1294
MCDONALD'S
 CORPORATION     COMMON   580135101        158        1800 Shares                       X               4        1800      0       0
MC GRAW HILL
 COMPANIES INC   COMMON   580645109        243        5930 Shares              X                        1        5930      0       0
MC GRAW HILL
 COMPANIES INC   COMMON   580645109        734       17895 Shares                       X               1       14895      0    3000
MCKESSON
 CORPORATION
 COM             COMMON   58155Q103         29         400 Shares                       X               1         400      0       0
MCMORAN
 EXPLORATION
 CO              COMMON   582411104         50        5000 Shares                       X               1        5000      0       0
MEAD JOHNSON
 NUTRITION CO    COMMON   582839106         65         942 Shares              X                        1         942      0       0
MEADWESTVACO
 CORP            COMMON   583334107       1372       55862 Shares              X                        1       55218      0     644
MEADWESTVACO
 CORP            COMMON   583334107         83        3365 Shares                       X               1        3365      0       0
MEADWESTVACO
 CORP            COMMON   583334107          3         126 Shares              X                        3         126      0       0
MEDCO HEALTH
 SOLUTIONS INC   COMMON   58405U102        854       18219 Shares              X                        1       18219      0       0
MEDCO HEALTH
 SOLUTIONS INC   COMMON   58405U102       1407       30001 Shares                       X               1       25289      0    4712
MEDIA GEN INC
 CL A            COMMON   584404107          3        1340 Shares              X                        3        1340      0       0
MEDIDATA
 SOLUTIONS INC   COMMON   58471A105          3         200 Shares              X                        1         200      0       0
MEDTRONIC INC    COMMON   585055106       1200       36091 Shares              X                        1       32891      0    3200
MEDTRONIC INC    COMMON   585055106        684       20575 Shares                       X               1       17325      0    3250
MEDTRONIC INC    COMMON   585055106         38        1150 Shares              X                        3        1150      0       0
MERCK & CO INC   COMMON   58933Y105      11335      346641 Shares              X                        1      319634      0   27007
MERCK & CO INC   COMMON   58933Y105       5536      169286 Shares                       X               1      155680      0   13606
MERCK & CO INC   COMMON   58933Y105        968       29335 Shares              X                        3       29335      0       0
METLIFE INC      COMMON   59156R108       3116      111229 Shares              X                        1      110423      0     806
METLIFE INC      COMMON   59156R108        388       13867 Shares                       X               1       10690      0    3177
METLIFE INC      COMMON   59156R108       2000       67187 Shares              X                        3       32236      0    3361
METRO BANCORP
 INC             COMMON   59161R101        281       28015 Shares              X                        3       28015      0       0
METROPOLITAN
 HEALTH
 NETWORKS INC    COMMON   592142103          2         500 Shares              X                        1         500      0       0
MICROSOFT CORP   COMMON   594918104      15165      609272 Shares              X                        1      601935      0    7337
MICROSOFT CORP   COMMON   594918104       6131      246343 Shares                       X               1      223566      0   22777
MICROSOFT CORP   COMMON   594918104       2374       94855 Shares              X                        3       24384      0    7089


                                    19 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
MICROSOFT CORP   COMMON   594918104         62        2500 Shares                       X               4        2500      0       0
MICROCHIP
 TECHNOLOGY
 INC COM         COMMON   595017104        173        5575 Shares              X                        1        5575      0       0
MICROCHIP
 TECHNOLOGY
 INC COM         COMMON   595017104         16         500 Shares                       X               1         500      0       0
MICRON
 TECHNOLOGY
 INC COM         COMMON   595112103          3         500 Shares                       X               1         500      0       0
MIDDLESEX
 WATER CO        COMMON   596680108          7         400 Shares              X                        1         400      0       0
MINDRAY
 MEDICAL INTL
 LTD-ADR         COMMON   602675100         17         710 Shares              X                        1         710      0       0
MINDSPEED
 TECHNOLOGIES
 INC             COMMON   602682205         29        5650 Shares              X                        1        5650      0       0
MINDSPEED
 TECHNOLOGIES
 INC             COMMON   602682205        855      164500 Shares              X                        3         855      0       0
MITSUBISHI
 UFJ
 FINANCIAL
 GRP-ADR         COMMON   606822104         14        3180 Shares                       X               1        3180      0       0
MIZUHO
 FINANCIAL
 GROUP INC       COMMON   60687Y109          4        1415 Shares                       X               1        1415      0       0
MOLSON COORS
 BREWING
 COMPANY         COMMON   60871R209          5         116 Shares              X                        1         116      0       0
MOLSON COORS
 BREWING
 COMPANY         COMMON   60871R209         24         600 Shares                       X               1         600      0       0
MONSANTO
 COMPANY         COMMON   61166W101       2293       38192 Shares              X                        1       30987      0    7205
MONSANTO
 COMPANY         COMMON   61166W101        705       11750 Shares                       X               1       11550      0     200
MONSANTO
 COMPANY         COMMON   61166W101         59         850 Shares              X                        3         850      0       0
MOODYS CORP      COMMON   615369105         16         540 Shares              X                        1         540      0       0
MOODYS CORP      COMMON   615369105          5         170 Shares                       X               1         170      0       0
MOOG INC CL A    COMMON   615394202         10         300 Shares              X                        1         300      0       0
MOOG INC CL A    COMMON   615394202        837       20992 Shares              X                        3       20992      0       0
MOOG INC CL B    COMMON   615394301        658       16543 Shares              X                        3       16543      0       0
MORGAN
 STANLEY
 GROUP INC       COMMON   617446448        655       48461 Shares              X                        1       48461      0       0
MORGAN
 STANLEY
 GROUP INC       COMMON   617446448         82        6045 Shares                       X               1        3750      0    2295
MORGAN
 STANLEY
 GROUP INC       COMMON   617446448         74        5468 Shares              X                        3        2912      0    2556
MORGAN
 STANLEY
 EMERGING
 MKTS FD         COMMON   61744G107          6         504 Shares              X                        1           0      0       0
MOSAIC CO WI/
 THE             COMMON   61945C103       1109       22641 Shares              X                        1       19176      0    3465
MOSAIC CO WI/
 THE             COMMON   61945C103         77        1580 Shares                       X               1        1080      0     500
MOSAIC CO WI/
 THE             COMMON   61945C103       2599       52503 Shares              X                        3        6426      0       0
MOSAIC CO WI/
 THE             COMMON   61945C103         37         750 Shares                       X               4         750      0       0
MOTOROLA
 SOLUTIONS INC   COMMON   620076307         57        1353 Shares              X                        1        1353      0       0
MOTOROLA
 SOLUTIONS INC   COMMON   620076307        165        3946 Shares                       X               1        3946      0       0
MOTOROLA
 MOBILITY
 HOLDINGS W      COMMON   620097105         32         854 Shares              X                        1         854      0       0
MOTOROLA
 MOBILITY
 HOLDINGS W      COMMON   620097105        129        3402 Shares                       X               1        3402      0       0
MUELLER WATER
 PRODUCTS
 INC-A           COMMON   624758108         43       17500 Shares              X                        1       17500      0       0
MURPHY OIL
 CORP            COMMON   626717102         33         750 Shares              X                        1         750      0       0
MURPHY OIL
 CORP            COMMON   626717102         66        1500 Shares                       X               1        1500      0       0
MYLAN INC        COMMON   628530107          9         533 Shares              X                        1         533      0       0
MYRIAD
 GENETICS INC    COMMON   62855J104          6         300 Shares              X                        1         300      0       0
MYREXIS
 INCORPORATED    COMMON   62856H107          0          75 Shares              X                        1          75      0       0
NBT BANCORP
 INC.  COM       COMMON   628778102         94        5052 Shares              X                        1        5052      0       0
NBT BANCORP
 INC.  COM       COMMON   628778102       4289      211059 Shares              X                        3      211059      0       0
NIC
 INCORPORATED    COMMON   62914B100         12        1050 Shares              X                        1        1050      0       0
NIC
 INCORPORATED    COMMON   62914B100        447       39000 Shares              X                        3         447      0       0
NANOMETRICS
 INC             COMMON   630077105         18        1275 Shares              X                        1        1275      0       0
NANOMETRICS
 INC             COMMON   630077105        747       51500 Shares              X                        3         747      0       0
NATL FUEL GAS
 CO              COMMON   636180101         24         500 Shares              X                        1         500      0       0
NATL FUEL GAS
 CO              COMMON   636180101         44         900 Shares                       X               1         900      0       0
NATIONAL GRID
 GROUP PLC-ADR   COMMON   636274300         60        1204 Shares              X                        1        1116      0      88
NATIONAL GRID
 GROUP PLC-ADR   COMMON   636274300         67        1348 Shares                       X               1        1348      0       0
NATIONAL-OILWELL
 VARCO INC       COMMON   637071101       5423      105869 Shares              X                        1      105042      0     827
NATIONAL-OILWELL
 VARCO INC       COMMON   637071101        389        7597 Shares                       X               1        4939      0    2658
NATIONAL-OILWELL
 VARCO INC       COMMON   637071101       3098       56067 Shares              X                        3       24379      0    3225
NATIONAL-OILWELL
 VARCO INC       COMMON   637071101         26         500 Shares                       X               4         500      0       0
NATIONAL PENN
 BANCSHARES
 INC             COMMON   637138108         11        1500 Shares              X                        1        1500      0       0
NATIONAL PENN
 BANCSHARES
 INC             COMMON   637138108          7        1000 Shares                       X               1        1000      0       0
NATIONAL
 RETAIL
 PROPERTIES
 INC             COMMON   637417106        149        5541 Shares              X                        1           0      0       0
NAVISTAR
 INTERNATIONAL
 CORP            COMMON   63934E108          3         100 Shares              X                        1         100      0       0
NAVISTAR INTL
 CORP
 3.000%
 10/15/14        COMMON   63934EAL2          2        2000 Shares              X                        1           0      0       0
NEENAH PAPER
 INC             COMMON   640079109         13         942 Shares              X                        1         942      0       0
NETAPP INC       COMMON   64110D104         18         518 Shares              X                        1         518      0       0
NETFLIX.COM
 INC             COMMON   64110L106         23         204 Shares              X                        1         204      0       0
NETLOGIC
 MICROSYSTEMS
 INC             COMMON   64118B100         40         825 Shares              X                        1         825      0       0
NETLOGIC
 MICROSYSTEMS
 INC             COMMON   64118B100       1443       30000 Shares              X                        3        1443      0       0
NETSPEND
 HOLDINGS INC    COMMON   64118V106         32        6136 Shares              X                        1        6136      0       0
NETSPEND
 HOLDINGS INC    COMMON   64118V106       1157      225000 Shares              X                        3        1157      0       0
NEUROCRINE
 BIOSCIENCES
 INC             COMMON   64125C109          3         500 Shares                       X               1           0      0     500
NEW YORK
 COMMUNITY
 BANCORP INC     COMMON   649445103         17        1448 Shares              X                        1        1342      0     106
NEW YORK
 COMMUNITY
 BANCORP INC     COMMON   649445103          4         312 Shares                       X               1         312      0       0


                                    20 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
NEWELL
 RUBBERMAID
 INC COM         COMMON   651229106         49        4098 Shares                       X               1        4098      0       0
NEWFIELD
 EXPLORATION
 CO              COMMON   651290108         21         520 Shares              X                        1         520      0       0
NEWFIELD
 EXPLORATION
 CO              COMMON   651290108          5         125 Shares                       X               1         125      0       0
NEWMARKET
 CORPORATION     COMMON   651587107       2587       17033 Shares              X                        1       16867      0     166
NEWMARKET
 CORPORATION     COMMON   651587107       1366        8996 Shares                       X               1        8996      0       0
NEWMARKET
 CORPORATION     COMMON   651587107          5          34 Shares              X                        3          34      0       0
NEWMONT MINING   COMMON   651639106         28         440 Shares              X                        1         440      0       0
NEWMONT MINING   COMMON   651639106         60         950 Shares                       X               1          50      0     900
NEWPORT
 CORPORATION     COMMON   651824104         23        2108 Shares              X                        1        2108      0       0
NEWPORT
 CORPORATION     COMMON   651824104        843       78000 Shares              X                        3         843      0       0
NEWS CORP
 INC-A           COMMON   65248E104         22        1425 Shares              X                        1        1425      0       0
NEWS CORP
 INC-A           COMMON   65248E104         22        1395 Shares                       X               1        1395      0       0
NEWS CORP
 INC-A           COMMON   65248E104         26        1500 Shares              X                        3        1500      0       0
NEXEN INC        COMMON   65334H102          7         424 Shares              X                        1         424      0       0
NEXTERA
 ENERGY INC      COMMON   65339F101       3702       68526 Shares              X                        1       68451      0      75
NEXTERA
 ENERGY INC      COMMON   65339F101       2723       50411 Shares                       X               1       43861      0    6550
NICOR INC        COMMON   654086107         14         250 Shares              X                        1         250      0       0
NICOR INC        COMMON   654086107         11         200 Shares                       X               1         200      0       0
NIKE INC CL B    COMMON   654106103       1703       19914 Shares              X                        1       19914      0       0
NIKE INC CL B    COMMON   654106103        179        2096 Shares                       X               1        1801      0     295
NIPPON
 TELEGRAPH &
 TELE ADR        COMMON   654624105          6         266 Shares              X                        1         266      0       0
NIPPON
 TELEGRAPH &
 TELE ADR        COMMON   654624105         18         745 Shares                       X               1         745      0       0
NISOURCE INC     COMMON   65473P105         65        3051 Shares              X                        1        3051      0       0
NISOURCE INC     COMMON   65473P105         85        3971 Shares                       X               1        3971      0       0
NOKIA CORP
 SPONSORED ADR   COMMON   654902204         41        7289 Shares              X                        1        7289      0       0
NOKIA CORP
 SPONSORED ADR   COMMON   654902204         27        4695 Shares                       X               1        4695      0       0
NOBLE ENERGY
 INC             COMMON   655044105        361        5105 Shares              X                        1        5105      0       0
NOBLE ENERGY
 INC             COMMON   655044105       2817       39785 Shares              X                        3        4257      0       0
NOMURA HLDGS
 INC             COMMON   65535H208          3         875 Shares                       X               1         875      0       0
NORDSTROM INC
 COM             COMMON   655664100       1243       27220 Shares              X                        1       27220      0       0
NORDSTROM INC
 COM             COMMON   655664100       2943       64427 Shares              X                        3        7513      0    2231
NORFOLK
 SOUTHERN CORP   COMMON   655844108       1359       22279 Shares              X                        1       22079      0     200
NORFOLK
 SOUTHERN CORP   COMMON   655844108        451        7390 Shares                       X               1        4690      0    2700
NORFOLK
 SOUTHERN CORP   COMMON   655844108         23         370 Shares              X                        3         370      0       0
NORTHERN
 TRUST CORP
 COM             COMMON   665859104          2          52 Shares              X                        1          52      0       0
NORTHROP
 GRUMMAN CORP    COMMON   666807102        147        2816 Shares              X                        1        2816      0       0
NORTHROP
 GRUMMAN CORP    COMMON   666807102        123        2362 Shares                       X               1        2362      0       0
NORTHWEST
 BANCSHARES
 INC             COMMON   667340103         53        4417 Shares              X                        1        4417      0       0
NOVAGOLD
 RESOURCES INC   COMMON   66987E206          3         500 Shares                       X               1         500      0       0
NOVARTIS AG
 ADR             COMMON   66987V109       1665       29852 Shares              X                        1       29715      0     137
NOVARTIS AG
 ADR             COMMON   66987V109        604       10827 Shares                       X               1       10742      0      85
NOVARTIS AG
 ADR             COMMON   66987V109         48         825 Shares              X                        3         825      0       0
NOVAVAX INC      COMMON   670002104         16       10000 Shares              X                        1       10000      0       0
NSTAR COM        COMMON   67019E107          9         205 Shares              X                        1         205      0       0
NUCOR CORP       COMMON   670346105        415       13103 Shares              X                        1        5803      0    7300
NUCOR CORP       COMMON   670346105        359       11350 Shares                       X               1       11350      0       0
NUSTAR ENERGY
 LP              COMMON   67058H102         10         200 Shares                       X               1         200      0       0
NUVEEN PA
 PREM INCOME
 MUN FD 2        COMMON   67061F101         82        6216 Shares              X                        1           0      0       0
NUVEEN SELECT
 MATURITIES      COMMON   67061T101         27        2550 Shares              X                        1           0      0       0
NUVEEN INVT
 QUALITY MUNI
 FD              COMMON   67062E103          5         333 Shares                       X               1           0      0       0
NUVEEN
 MUNICIPAL
 INCOME FD       COMMON   67062J102         26        2330 Shares              X                        1           0      0       0
NUVEEN INSD
 QUALITY MUN
 FD              COMMON   67062N103         17        1200 Shares              X                        1           0      0       0
NUVEEN
 PERFORMANCE
 PLUS MUNI FD    COMMON   67062P108          6         390 Shares                       X               1           0      0       0
NUVEEN NY
 PERF PLUS
 MUNI FD         COMMON   67062R104         30        2000 Shares                       X               1           0      0       0
NUVEEN MUNI
 MKT
 OPPORTUNITY     COMMON   67062W103         41        3000 Shares              X                        1           0      0       0
NUVEEN NY
 INVT QUALITY
 MUN FD          COMMON   67062X101         22        1500 Shares                       X               1           0      0       0
NVIDIA CORP
 COM             COMMON   67066G104        361       28861 Shares              X                        1       28861      0       0
NVIDIA CORP
 COM             COMMON   67066G104        710       56780 Shares              X                        3        2468      0       0
NUTRISYSTEM
 INC             COMMON   67069D108          2         125 Shares              X                        1         125      0       0
NUVEEN
 MARYLAND
 DIVIDEND ADV
 MUN FD          COMMON   67069R107         13         923 Shares              X                        1           0      0       0
NUVEEN CA DVD
 ADV MUNI FD 2   COMMON   67069X104         79        5650 Shares              X                        1           0      0       0
NUVEEN EQUITY
 PREMIUM ADV
 FD              COMMON   6706ET107          2         200 Shares              X                        1           0      0       0
NUVEEN MD DIV
 ADVANTAGE
 MUN FD 2        COMMON   67070V105         55        4059 Shares              X                        1           0      0       0
NUVEEN
 QUALITY PFD
 INCOME FD 2     COMMON   67072C105         13        1735 Shares              X                        1           0      0       0
NXSTAGE
 MEDICAL INC     COMMON   67072V103         38        1800 Shares              X                        1        1800      0       0
NXSTAGE
 MEDICAL INC     COMMON   67072V103       1429       68500 Shares              X                        3        1429      0       0
NUVEEN
 QUALITY PFD
 INCOME FD 3     COMMON   67072W101          5         700 Shares                       X               1           0      0       0


                                    21 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
NUVEEN MULTI
 STRATEGY INC
 & GRWTH 2       COMMON   67073D102         15        1860 Shares              X                        1           0      0       0
NV ENERGY INC    COMMON   67073Y106          3         200 Shares                       X               1         200      0       0
OGE ENERGY
 CORP COM        COMMON   670837103         14         300 Shares              X                        1         300      0       0
OGE ENERGY
 CORP COM        COMMON   670837103         19         400 Shares                       X               1         400      0       0
OCZ
 TECHNOLOGY
 GROUP INC       COMMON   67086E303         41        8468 Shares              X                        1        8468      0       0
OCZ
 TECHNOLOGY
 GROUP INC       COMMON   67086E303       1483      305800 Shares              X                        3        1483      0       0
NUVEEN
 MUNICIPAL
 VALUE FUND      COMMON   670928100         29        2975 Shares              X                        1           0      0       0
NUVEEN
 MUNICIPAL
 VALUE FUND      COMMON   670928100         52        5333 Shares                       X               1           0      0       0
NUVEEN PA
 INVT QUALITY
 MUN FD          COMMON   670972108         67        4584 Shares              X                        1           0      0       0
NUVEEN PA
 INVT QUALITY
 MUN FD          COMMON   670972108         52        3600 Shares                       X               1           0      0       0
NUVEEN SELECT
 QUALITY MUN
 FD              COMMON   670973106          6         406 Shares                       X               1           0      0       0
NUVEEN
 QUALITY
 INCOME MUNI
 FD              COMMON   670977107          7         500 Shares              X                        1           0      0       0
NUVEEN
 QUALITY
 INCOME MUNI
 FD              COMMON   670977107          3         210 Shares                       X               1           0      0       0
NUVEEN INSD
 MUNI
 OPPORTUNITY     COMMON   670984103          6         396 Shares                       X               1           0      0       0
NUVEEN
 PREMIER INSD
 MUNI INC FD     COMMON   670987106          6         410 Shares              X                        1           0      0       0
OCCIDENTAL
 PETE CORP COM   COMMON   674599105       2006       28057 Shares              X                        1       21614      0    6443
OCCIDENTAL
 PETE CORP COM   COMMON   674599105        332        4640 Shares                       X               1        4640      0       0
OIL STATES
 INTL INC        COMMON   678026105         41         800 Shares              X                        1         800      0       0
OIL STATES
 INTL INC        COMMON   678026105       1502       29500 Shares              X                        3        1502      0       0
OLD LINE
 BANCSHARES
 INC             COMMON   67984M100         12        1800 Shares              X                        1        1800      0       0
OLD NATIONAL
 BANCORP COM     COMMON   680033107         28        3000 Shares              X                        1        3000      0       0
OLD REPUBLIC
 INTL CORP COM   COMMON   680223104         18        2000 Shares              X                        1        2000      0       0
OLIN CORP COM    COMMON   680665205         14         750 Shares              X                        1         750      0       0
OMNICOM GROUP
 INC COM         COMMON   681919106         57        1550 Shares              X                        1        1550      0       0
OMNICOM GROUP
 INC COM         COMMON   681919106         35         950 Shares                       X               1         950      0       0
OMNIVISION
 TECHNOLOGIES
 INC             COMMON   682128103         32        2250 Shares              X                        1        2250      0       0
OMNIVISION
 TECHNOLOGIES
 INC             COMMON   682128103       1172       83500 Shares              X                        3        1172      0       0
ONCOTHYREON
 INC             COMMON   682324108          5         833 Shares              X                        1         150      0     683
ONEOK INC        COMMON   682680103         46         700 Shares              X                        1         700      0       0
ONEOK
 PARTNERS LP     COMMON   68268N103         47        1000 Shares              X                        1        1000      0       0
ONEOK
 PARTNERS LP     COMMON   68268N103         84        1800 Shares                       X               1        1800      0       0
OPENTABLE INC    COMMON   68372A104          5         100 Shares              X                        1         100      0       0
OPNET
 TECHNOLOGIES
 INCORPORATED    COMMON   683757108         27         780 Shares              X                        1         780      0       0
OPNET
 TECHNOLOGIES
 INCORPORATED    COMMON   683757108        967       27700 Shares              X                        3         967      0       0
ORACLE
 CORPORATION
 COM             COMMON   68389X105       6517      226747 Shares              X                        1      225947      0     800
ORACLE
 CORPORATION
 COM             COMMON   68389X105        853       29665 Shares                       X               1       25605      0    4060
ORACLE
 CORPORATION
 COM             COMMON   68389X105       4030      140771 Shares              X                        3       41524      0    6977
ORRSTOWN FINL
 SVCS INC COM    COMMON   687380105         78        6075 Shares              X                        1        6075      0       0
OSHKOSH
 CORPORATION     COMMON   688239201          3         200 Shares              X                        1         200      0       0
OXIGENE INC      COMMON   691828305          0         250 Shares              X                        1         250      0       0
P G & E CORP     COMMON   69331C108        134        3162 Shares              X                        1        3162      0       0
P G & E CORP     COMMON   69331C108        137        3238 Shares                       X               1        1738      0    1500
PNC FINANCIAL
 SERVICES
 GROUP INC       COMMON   693475105       5896      122339 Shares              X                        1      120739      0    1600
PNC FINANCIAL
 SERVICES
 GROUP INC       COMMON   693475105       1748       36273 Shares                       X               1       28853   3450    3970
PNC FINANCIAL
 SERVICES
 GROUP INC       COMMON   693475105       1911       38114 Shares              X                        3       38114      0       0
PNC FINANCIAL
 SER
 WARRANTS
 12/31/18        COMMON   693475121         55        6100 Shares              X                        1           0      0    6100
POSCO - ADR      COMMON   693483109         14         180 Shares              X                        1         180      0       0
PPG INDS INC     COMMON   693506107        639        9044 Shares              X                        1        8244      0     800
PPG INDS INC     COMMON   693506107        648        9166 Shares                       X               1        8266      0     900
PPL CORP COM     COMMON   69351T106       3062      107280 Shares              X                        1      106368      0     912
PPL CORP COM     COMMON   69351T106        839       29401 Shares                       X               1       24671   2130    2600
PPL CORP COM     COMMON   69351T106        215        7436 Shares              X                        3        7436      0       0
PVH CORP         COMMON   693656100       1304       22392 Shares              X                        1       22392      0       0
PVH CORP         COMMON   693656100       5853      100511 Shares              X                        3        9254      0       0
PACCAR INC       COMMON   693718108        145        4300 Shares              X                        1         250      0    4050
PACKAGING
 CORP OF AMER
 COM             COMMON   695156109          3         139 Shares              X                        1         139      0       0
PALL CORP COM    COMMON   696429307          8         200 Shares              X                        1         200      0       0
PALL CORP COM    COMMON   696429307         42        1000 Shares                       X               1        1000      0       0
PAN AMERICAN
 SILVER CORP     COMMON   697900108          3         100 Shares              X                        1         100      0       0
PANASONIC
 CORP SPONS
 ADR             COMMON   69832A205          8         875 Shares                       X               1         875      0       0
PANERA BREAD
 CO CL-A         COMMON   69840W108        262        2522 Shares              X                        1        2522      0       0
PANERA BREAD
 CO CL-A         COMMON   69840W108       3812       36680 Shares              X                        3        4807      0       0
PARAMETRIC
 TECHNOLOGY
 CORP            COMMON   699173209         29        1893 Shares              X                        1        1893      0       0
PARAMETRIC
 TECHNOLOGY
 CORP            COMMON   699173209        972       63200 Shares              X                        3         972      0       0
PARKER
 HANNIFIN CORP   COMMON   701094104        863       13663 Shares              X                        1       13663      0       0
PARKER
 HANNIFIN CORP   COMMON   701094104         77        1216 Shares                       X               1        1216      0       0
PARKER
 HANNIFIN CORP   COMMON   701094104       1153       18272 Shares              X                        3        1689      0       0


                                    22 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
PATTERSON
 COMPANIES INC   COMMON   703395103         57        2000 Shares              X                        1           0      0    2000
PATTERSON-UTI
 ENERGY INC      COMMON   703481101          2         121 Shares              X                        1         121      0       0
PAYCHEX INC
 COM             COMMON   704326107        926       35097 Shares              X                        1       35097      0       0
PAYCHEX INC
 COM             COMMON   704326107         22         850 Shares                       X               1         850      0       0
PAYCHEX INC
 COM             COMMON   704326107      47219     1750163 Shares              X                        3     1750163      0       0
PEABODY
 ENERGY CORP     COMMON   704549104        788       23266 Shares              X                        1       23266      0       0
PEABODY
 ENERGY CORP     COMMON   704549104        185        5450 Shares                       X               1        5450      0       0
PEABODY
 ENERGY CORP     COMMON   704549104       2598       76670 Shares              X                        3        5950      0       0
PEETS COFFEE
 & TEA INC COM   COMMON   705560100         11         200 Shares              X                        1         200      0       0
PENN MILLERS
 HOLDING CORP    COMMON   707561106         72        3600 Shares              X                        1        3600      0       0
PENN NATL
 GAMING INC      COMMON   707569109         57        1725 Shares              X                        1        1725      0       0
PENN NATL
 GAMING INC      COMMON   707569109        892       26800 Shares              X                        3         892      0       0
PENN VA
 RESOURCE
 PARTNERS LP     COMMON   707884102         23        1000 Shares                       X               1        1000      0       0
PENN WEST
 ENERGY
 PETROLEUM LTD   COMMON   707887105         73        4960 Shares                       X               1        4960      0       0
PENNEY JC CO
 INC             COMMON   708160106         64        2375 Shares              X                        1        2375      0       0
PENNEY JC CO
 INC             COMMON   708160106         11         400 Shares                       X               1         400      0       0
PENNICHUCK
 CORPORATION
 NEW             COMMON   708254206          8         300 Shares              X                        1         300      0       0
PENNS WOODS
 BANCORP INC.    COMMON   708430103         33        1000 Shares              X                        1        1000      0       0
PENNS WOODS
 BANCORP INC.    COMMON   708430103        326        9954 Shares              X                        3        9954      0       0
PENN ESTATE
 INV TR (REIT)   COMMON   709102107          8        1000 Shares              X                        1           0      0       0
PENTAIR INC
 COM             COMMON   709631105        128        4000 Shares                       X               1        4000      0       0
PEOPLES
 UNITED
 FINANCIAL INC   COMMON   712704105          3         302 Shares              X                        1         302      0       0
PEPCO
 HOLDINGS INC    COMMON   713291102        354       18676 Shares              X                        1       17565      0    1111
PEPCO
 HOLDINGS INC    COMMON   713291102        216       11432 Shares                       X               1        7632      0    3800
PEPCO
 HOLDINGS INC    COMMON   713291102         47        2400 Shares              X                        3        2400      0       0
PEPSICO INC
 COM             COMMON   713448108      17349      280264 Shares              X                        1      266239      0   14025
PEPSICO INC
 COM             COMMON   713448108      10077      162792 Shares                       X               1      150817      0   11975
PEPSICO INC
 COM             COMMON   713448108        460        7308 Shares              X                        3        5434      0    1874
PEPSICO INC
 COM             COMMON   713448108        105        1700 Shares                       X               4        1700      0       0
PERKINELMER
 INC COM         COMMON   714046109         77        4000 Shares                       X               1        4000      0       0
PERRIGO
 COMPANY         COMMON   714290103       3175       32698 Shares              X                        1       32290      0     408
PERRIGO
 COMPANY         COMMON   714290103        184        1894 Shares                       X               1        1894      0       0
PERRIGO
 COMPANY         COMMON   714290103       4550       46854 Shares              X                        3        6202      0       0
PETMED
 EXPRESS INC     COMMON   716382106          7         800 Shares              X                        1         800      0       0
PETROCHINA CO
 LTD ADR         COMMON   71646E100         15         125 Shares                       X               1         125      0       0
PETROLEO
 BRASILEIRO
 SA SPNS ADR     COMMON   71654V408         61        2708 Shares              X                        1        2708      0       0
PETROLEO
 BRASILEIRO
 SA SPNS ADR     COMMON   71654V408         20         870 Shares                       X               1         870      0       0
PETSMART INC     COMMON   716768106        163        3815 Shares              X                        1        3815      0       0
PETSMART INC     COMMON   716768106         23         550 Shares                       X               1         550      0       0
PFIZER INC       COMMON   717081103      11339      641356 Shares              X                        1      615740      0   25616
PFIZER INC       COMMON   717081103       7998      452373 Shares                       X               1      409241    600   42532
PFIZER INC       COMMON   717081103        169        9354 Shares              X                        3        9354      0       0
PHILIP MORRIS
 INTL INC        COMMON   718172109      15299      245258 Shares              X                        1      238884      0    6374
PHILIP MORRIS
 INTL INC        COMMON   718172109       6683      107127 Shares                       X               1      102102      0    5025
PHILIP MORRIS
 INTL INC        COMMON   718172109       2012       32083 Shares              X                        3        6767      0       0
PHILIP MORRIS
 INTL INC        COMMON   718172109         78        1250 Shares                       X               4        1250      0       0
PHOENIX COS
 INC COM         COMMON   71902E109          1        1086 Shares              X                        1        1086      0       0
PHOENIX COS
 INC COM         COMMON   71902E109          1        1081 Shares                       X               1        1081      0       0
PIEDMONT NAT
 GAS INC         COMMON   720186105         63        2180 Shares              X                        1        2180      0       0
PIEDMONT NAT
 GAS INC         COMMON   720186105         12         400 Shares                       X               1         400      0       0
PIEDMONT
 OFFICE
 REALTY
 TRUST-A         COMMON   720190206        175       10792 Shares              X                        1           0      0       0
PINNACLE DATA
 SYSTEMS INC     COMMON   723454104          0         300 Shares              X                        1         300      0       0
PINNACLE WEST
 CAPITAL CORP    COMMON   723484101          4         100 Shares                       X               1         100      0       0
PIONEER
 MUNICIPAL HI
 INC ADV TR      COMMON   723762100         21        1500 Shares              X                        1           0      0       0
PIONEER
 NATURAL
 RESOURCES CO    COMMON   723787107         35         526 Shares              X                        1         526      0       0
PITNEY BOWES
 INC COM         COMMON   724479100         19        1000 Shares              X                        1        1000      0       0
PLAINS ALL
 AMERICAN
 PIPELINE L P    COMMON   726503105        353        6000 Shares              X                        1         500      0    5500
PLAINS ALL
 AMERICAN
 PIPELINE L P    COMMON   726503105         18         300 Shares                       X               1         300      0       0
PLUM CREEK
 TIMBER CO INC   COMMON   729251108        114        3280 Shares              X                        1           0      0       0
POLARIS
 INDUSTRIES
 INC             COMMON   731068102         21         425 Shares              X                        1         425      0       0
POLARIS
 INDUSTRIES
 INC             COMMON   731068102        775       15500 Shares              X                        3         775      0       0
POLYPORE
 INTERNATIONAL
 INC             COMMON   73179V103       1248       22088 Shares              X                        1       21868      0     220
POLYPORE
 INTERNATIONAL
 INC             COMMON   73179V103         67        1177 Shares                       X               1        1177      0       0
PORTUGAL
 TELECOM SGPS
 S A SPONS ADR   COMMON   737273102         94       13000 Shares              X                        1       13000      0       0
PORTUGAL
 TELECOM SGPS
 S A SPONS ADR   COMMON   737273102         12        1614 Shares                       X               1        1614      0       0
POTASH CORP
 OF
 SASKATCHEWAN
 INC             COMMON   73755L107       2011       46519 Shares              X                        1       46117      0     402
POTASH CORP
 OF
 SASKATCHEWAN
 INC             COMMON   73755L107        162        3758 Shares                       X               1        3758      0       0


                                    23 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
POTASH CORP
 OF
 SASKATCHEWAN
 INC             COMMON   73755L107         51        1053 Shares              X                        3        1053      0       0
POWERSHARES
 QQQ             COMMON   73935A104         38         730 Shares              X                        1           0      0       0
POWERSHARES
 QQQ             COMMON   73935A104        147        2800 Shares                       X               1           0      0       0
POWERSHARES
 GLOBAL WATER
 PORTFOLIO       COMMON   73935X575         27        1800 Shares              X                        1        1800      0       0
POWERSHARES
 DB US $
 INDEX BEAR FD   COMMON   73936D206         54        2000 Shares              X                        1           0      0       0
PRAXAIR INC
 COM             COMMON   74005P104        711        7612 Shares              X                        1        2572      0    5040
PRAXAIR INC
 COM             COMMON   74005P104        278        2971 Shares                       X               1        2771      0     200
PRECISION
 CASTPARTS
 CORP COM        COMMON   740189105       3754       24148 Shares              X                        1       24148      0       0
PRECISION
 CASTPARTS
 CORP COM        COMMON   740189105          6          40 Shares                       X               1          40      0       0
PRECISION
 CASTPARTS
 CORP COM        COMMON   740189105       5390       34641 Shares              X                        3        7860      0    1225
PRECISION
 DRILLING
 TRUST           COMMON   74022D308         33        4000 Shares                       X               1        4000      0       0
PRICE T ROWE
 GROUP INC COM   COMMON   74144T108       6864      143695 Shares              X                        1      142646      0    1049
PRICE T ROWE
 GROUP INC COM   COMMON   74144T108       1601       33505 Shares                       X               1       29451      0    4054
PRICE T ROWE
 GROUP INC COM   COMMON   74144T108       5379      111060 Shares              X                        3       26019      0    3150
PRICE T ROWE
 GROUP INC COM   COMMON   74144T108         57        1200 Shares                       X               4        1200      0       0
PRICELINE.COM
 INCORPORATED    COMMON   741503403       2101        4675 Shares              X                        1        4607      0      68
PRICELINE.COM
 INCORPORATED    COMMON   741503403        139         309 Shares                       X               1         309      0       0
PRIMO WATER
 CORP            COMMON   74165N105         23        4100 Shares              X                        1        4100      0       0
PRIMO WATER
 CORP            COMMON   74165N105        840      149000 Shares              X                        3         840      0       0
PROCERA
 NETWORKS INC    COMMON   74269U203         21        2150 Shares              X                        1        2150      0       0
PROCERA
 NETWORKS INC    COMMON   74269U203        754       78500 Shares              X                        3         754      0       0
PROCTER &
 GAMBLE CO COM   COMMON   742718109      29360      464705 Shares              X                        1      433591      0   31114
PROCTER &
 GAMBLE CO COM   COMMON   742718109      26582      420734 Shares                       X               1      332712      0   88022
PROCTER &
 GAMBLE CO COM   COMMON   742718109       4349       68366 Shares              X                        3       65527      0    2839
PROCTER &
 GAMBLE CO COM   COMMON   742718109        208        3300 Shares                       X               4        3300      0       0
PROGRESS
 ENERGY INC
 COM             COMMON   743263105        365        7052 Shares              X                        1        6384      0     668
PROGRESS
 ENERGY INC
 COM             COMMON   743263105        149        2876 Shares                       X               1        2876      0       0
PROGRESSIVE
 CORP COM        COMMON   743315103         73        4121 Shares              X                        1        4121      0       0
PROGRESSIVE
 CORP COM        COMMON   743315103         13         711 Shares                       X               1         711      0       0
PROLOGIS INC     COMMON   74340W103          1          38 Shares              X                        1           0      0       0
ULTRASHORT
 LEHMAN 20+
 YR TREASURY     COMMON   74347R297         10         500 Shares              X                        1           0      0       0
ULTRASHORT
 S&P500
 PROSHARES       COMMON   74347R883          8         300 Shares                       X               1           0      0       0
PROSHARES
 ULTRA GOLD      COMMON   74347W601         11         130 Shares                       X               1           0      0       0
PROSHARES
 ULTRA SILVER    COMMON   74347W841         11         105 Shares                       X               1           0      0       0
PROVIDENT
 ENERGY LTD      COMMON   74386V100          2         200 Shares              X                        1         200      0       0
PROVIDENT
 ENERGY LTD      COMMON   74386V100         14        1700 Shares                       X               1        1700      0       0
PROVIDENT NEW
 YORK BANCORP    COMMON   744028101         13        2225 Shares                       X               1        2225      0       0
PRUDENTIAL
 FINANCIAL INC   COMMON   744320102        223        4769 Shares              X                        1        4769      0       0
PRUDENTIAL
 FINANCIAL INC   COMMON   744320102         32         683 Shares                       X               1         683      0       0
PRUDENTIAL
 PLC-ADR         COMMON   74435K204         20        1166 Shares              X                        1        1166      0       0
PUBLIC SVC
 ENTERPRISE
 GROUP INC       COMMON   744573106         66        1977 Shares              X                        1        1977      0       0
PUBLIC SVC
 ENTERPRISE
 GROUP INC       COMMON   744573106        291        8718 Shares                       X               1        8718      0       0
QLT INC          COMMON   746927102         15        2000 Shares              X                        1        2000      0       0
QEP RESOURCES
 INC             COMMON   74733V100         32        1200 Shares              X                        1        1200      0       0
QEP RESOURCES
 INC             COMMON   74733V100         87        3200 Shares                       X               1        3200      0       0
QUALCOMM INC
 COM             COMMON   747525103       7608      156449 Shares              X                        1      155503      0     946
QUALCOMM INC
 COM             COMMON   747525103       1268       26066 Shares                       X               1       24266      0    1800
QUALCOMM INC
 COM             COMMON   747525103       3127       63737 Shares              X                        3       18320      0    2605
QUALITY
 DISTRIBUTION
 INC             COMMON   74756M102         39        4300 Shares              X                        1        4300      0       0
QUALITY
 DISTRIBUTION
 INC             COMMON   74756M102       1431      159500 Shares              X                        3        1431      0       0
QUALITY
 SYSTEMS
 INCORPORATED    COMMON   747582104         15         150 Shares              X                        1         150      0       0
QUALITY
 SYSTEMS
 INCORPORATED    COMMON   747582104        553        5700 Shares              X                        3         553      0       0
QUANTA
 SERVICES INC
 COM             COMMON   74762E102         51        2700 Shares              X                        1        2700      0       0
QUANTUM CORP     COMMON   747906204         31       17000 Shares              X                        1       17000      0       0
QUANTUM CORP     COMMON   747906204        836      462000 Shares              X                        3         836      0       0
QUEST
 DIAGNOSTICS
 INC             COMMON   74834L100        114        2300 Shares                       X               1        2000      0     300
QUESTAR CORP     COMMON   748356102         21        1200 Shares              X                        1        1200      0       0
QUESTAR CORP     COMMON   748356102         67        3800 Shares                       X               1        3800      0       0
QUESTCOR
 PHARMACEUTICALS
 INC             COMMON   74835Y101         25         900 Shares              X                        1         900      0       0
QUIDEL
 CORPORATION     COMMON   74838J101         16        1000 Shares              X                        1        1000      0       0
RGC RESOURCES
 INC             COMMON   74955L103         22        1200 Shares              X                        1        1200      0       0
RGC RESOURCES
 INC             COMMON   74955L103          7         400 Shares                       X               1         400      0       0
RSC HOLDINGS
 INC             COMMON   74972L102         26        3625 Shares              X                        1        3625      0       0
RSC HOLDINGS
 INC             COMMON   74972L102        941      132000 Shares              X                        3         941      0       0
RF MICRO
 DEVICES INC
 COM             COMMON   749941100        283       44644 Shares              X                        1       44644      0       0
RF MICRO
 DEVICES INC
 COM             COMMON   749941100       5076      800600 Shares              X                        3       21471      0       0
RALCORP
 HOLDINGS INC    COMMON   751028101          6          73 Shares              X                        1          73      0       0


                                    24 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
RALCORP
 HOLDINGS INC    COMMON   751028101          4          56 Shares                       X               1          56      0       0
RALPH LAUREN
 CORP            COMMON   751212101         49         377 Shares              X                        1         377      0       0
RAYMOND JAMES
 FINANCIAL INC   COMMON   754730109        286       11032 Shares              X                        1       11032      0       0
RAYMOND JAMES
 FINANCIAL INC   COMMON   754730109       3521      135600 Shares              X                        3        8683      0       0
RAYONIER INC
 COM             COMMON   754907103         21         562 Shares                       X               1         562      0       0
RAYTHEON CO
 COM NEW         COMMON   755111507         41         993 Shares              X                        1         193      0     800
RAYTHEON CO
 COM NEW         COMMON   755111507        154        3779 Shares                       X               1        3779      0       0
REALTY INCOME
 CORP            COMMON   756109104        136        4203 Shares              X                        1           0      0       0
REALTY INCOME
 CORP            COMMON   756109104         42        1309 Shares                       X               1           0      0       0
REAVES
 UTILITY
 INCOME TRUST    COMMON   756158101        589       24136 Shares              X                        1           0      0       0
RED HAT INC
 COM             COMMON   756577102          8         200 Shares              X                        1         200      0       0
REED ELSEVIER
 NV SPONSORED
 ADR             COMMON   758204200          5         246 Shares              X                        1         246      0       0
REGIONS
 FINANCIAL
 CORP            COMMON   7591EP100         14        4271 Shares                       X               1        4271      0       0
RELIANCE
 STEEL &
 ALUMINUM
 COMPANY         COMMON   759509102        399       11740 Shares              X                        1           0      0   11740
RESEARCH IN
 MOTION
 LIMITED         COMMON   760975102        328       16179 Shares              X                        1       16179      0       0
RESEARCH IN
 MOTION
 LIMITED         COMMON   760975102          3         125 Shares                       X               1         125      0       0
RESEARCH IN
 MOTION
 LIMITED         COMMON   760975102         37        1832 Shares              X                        3        1174      0     658
RESMED INC       COMMON   761152107        186        6467 Shares              X                        1        6467      0       0
RESMED INC       COMMON   761152107       2297       79750 Shares              X                        3        6132      0       0
REYNOLDS
 AMERICAN INC    COMMON   761713106        101        2704 Shares              X                        1        2596      0     108
REYNOLDS
 AMERICAN INC    COMMON   761713106         40        1076 Shares                       X               1        1076      0       0
RIO TINTO PLC
 SPONSORED ADR   COMMON   767204100         20         452 Shares              X                        1         452      0       0
RIO TINTO PLC
 SPONSORED ADR   COMMON   767204100         18         400 Shares                       X               1         400      0       0
RITE AID CORP
 COM             COMMON   767754104         47       48300 Shares              X                        1       37000      0   11300
RITE AID CORP
 COM             COMMON   767754104         37       33201 Shares              X                        3       33201      0       0
ROBERT HALF
 INTL INC COM    COMMON   770323103         13         605 Shares                       X               1         500      0     105
ROCKWELL
 AUTOMATION
 INC.            COMMON   773903109        832       14863 Shares              X                        1       14863      0       0
ROCKWELL
 AUTOMATION
 INC.            COMMON   773903109        239        4270 Shares                       X               1        4120      0     150
ROCKWELL
 AUTOMATION
 INC.            COMMON   773903109       3112       55341 Shares              X                        3        6489      0       0
ROCKWELL
 COLLINS COM     COMMON   774341101        234        4438 Shares              X                        1        4438      0       0
ROCKWELL
 COLLINS COM     COMMON   774341101        137        2600 Shares                       X               1        2520      0      80
ROGERS
 COMMUNICATIONS
 INC CL B        COMMON   775109200         11         336 Shares              X                        1         336      0       0
ROSS STORES
 INC COM         COMMON   778296103         43         550 Shares              X                        1         550      0       0
ROSS STORES
 INC COM         COMMON   778296103        191        2425 Shares                       X               1        2425      0       0
ROYAL BK
 CANADA          COMMON   780087102         18         400 Shares              X                        1         400      0       0
ROYAL BK
 CANADA          COMMON   780087102         46        1000 Shares                       X               1        1000      0       0
ROYAL BANK
 SCOTLAND-SPON
 ADR             COMMON   780097689          2         281 Shares                       X               1         281      0       0
ROYAL BANK
 SCOTLAND PFD
 6.35% SER N     COMMON   780097770         11        1000 Shares              X                        1           0      0       0
ROYAL DUTCH
 SHELL
 PLC-ADR B       COMMON   780259107         94        1518 Shares              X                        1        1438      0      80
ROYAL DUTCH
 SHELL
 PLC-ADR B       COMMON   780259107         13         214 Shares                       X               1         214      0       0
ROYAL DUTCH
 SHELL
 PLC-ADR A       COMMON   780259206       2607       42372 Shares              X                        1       42372      0       0
ROYAL DUTCH
 SHELL
 PLC-ADR A       COMMON   780259206       2388       38809 Shares                       X               1       34359      0    4450
ROYAL GOLD
 INCORPORATED    COMMON   780287108          7         105 Shares                       X               1         105      0       0
RYDER SYS INC
 COM             COMMON   783549108        926       24680 Shares              X                        1       24680      0       0
RYDER SYS INC
 COM             COMMON   783549108       1664       44371 Shares              X                        3        2984      0       0
S & T BANCORP
 INC             COMMON   783859101          6         400 Shares                       X               1         400      0       0
SEI CORP COM     COMMON   784117103          3         175 Shares              X                        1         175      0       0
SK TELECOM CO
 LTD - ADR       COMMON   78440P108         14        1020 Shares                       X               1        1020      0       0
SLM CORP COM     COMMON   78442P106         16        1312 Shares              X                        1        1312      0       0
SPDR S&P 500
 ETF TRUST       COMMON   78462F103       8669       76616 Shares              X                        1           0      0       0
SPDR S&P 500
 ETF TRUST       COMMON   78462F103       4009       35428 Shares                       X               1           0      0       0
SPDR S&P 500
 ETF TRUST       COMMON   78462F103       1986   16249.125 Shares              X                        3   16249.125      0       0
SPDR S&P 500
 ETF TRUST       COMMON   78462F103       2074       18326 Shares                       X               3           0      0       0
SPDR S&P 500
 ETF TRUST       COMMON   78462F103       1183       10454 Shares                       X               4           0      0       0
SPX CORP COM     COMMON   784635104        175        3873 Shares                       X               1        3873      0       0
SPDR GOLD
 TRUST           COMMON   78463V107       2226       14087 Shares              X                        1           0      0       0
SPDR GOLD
 TRUST           COMMON   78463V107         82         521 Shares                       X               1           0      0       0
SPDR S&P
 EMERGING
 ASIA PACIFIC    COMMON   78463X301        418        6500 Shares                       X               1           0      0       0
SPDR S&P
 EMERGING
 MARKETS ETF     COMMON   78463X509         56        1000 Shares              X                        1           0      0       0
SPDR DJ
 WILSHIRE
 SMALL CAP
 VAL - E         COMMON   78464A300         22         380 Shares                       X               1           0      0       0
SPDR BARCLAYS
 CAP HI YLD
 BD ETF          COMMON   78464A417         43        1200 Shares              X                        1           0      0       0
SPDR DJ REIT
 ETF             COMMON   78464A607        183        3235 Shares              X                        1           0      0       0
SPDR BARCLAYS
 CAPITAL TIPS
 ETF             COMMON   78464A656        142        2500 Shares              X                        1           0      0       0
KBW REGIONAL
 BANKING ETF     COMMON   78464A698        437       22650 Shares              X                        1           0      0       0
KBW REGIONAL
 BANKING ETF     COMMON   78464A698          4         200 Shares                       X               1           0      0       0
SPDR S&P OIL
 & GAS
 EXPLORATION     COMMON   78464A730         14         335 Shares              X                        1           0      0       0
SPDR S&P OIL
 & GAS
 EXPLORATION     COMMON   78464A730         31         720 Shares                       X               1           0      0       0


                                    25 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
SPDR S&P
 DIVIDEND ETF    COMMON   78464A763      35078      722517 Shares              X                        1           0      0       0
SPDR S&P
 DIVIDEND ETF    COMMON   78464A763       4110       84664 Shares                       X               1           0      0       0
SPDR S&P
 DIVIDEND ETF    COMMON   78464A763       8873      182762 Shares              X                        3        2069      0       0
SPDR S&P
 DIVIDEND ETF    COMMON   78464A763         13         270 Shares              X                        4           0      0       0
SPDR S&P
 DIVIDEND ETF    COMMON   78464A763        184        3787 Shares                       X               4           0      0       0
SPDR KBW BANK
 ETF             COMMON   78464A797          7         386 Shares              X                        1           0      0       0
SPDR DJ MID
 CAP VALUE - E   COMMON   78464A839         21         460 Shares                       X               1           0      0       0
SPDR S&P
 BIOTECH ETF     COMMON   78464A870        298        5000 Shares                       X               1           0      0       0
SPDR DJ
 INDUSTRIAL
 AVG ETF FD      COMMON   78467X109        237        2172 Shares              X                        1           0      0       0
SPDR S&P
 MIDCAP          COMMON   78467Y107        373        2623 Shares              X                        1           0      0       0
SPDR S&P
 MIDCAP          COMMON   78467Y107       2312       16270 Shares                       X               1           0      0       0
SPDR S&P
 MIDCAP          COMMON   78467Y107         65         455 Shares              X                        3           0      0       0
SXC HEALTH
 SOLUTIONS
 CORP            COMMON   78505P100        624       11200 Shares              X                        1       11200      0       0
SXC HEALTH
 SOLUTIONS
 CORP            COMMON   78505P100       1260       22635 Shares              X                        3        1860      0       0
SAFEWAY INC
 COM             COMMON   786514208         17        1039 Shares              X                        1        1039      0       0
SAFEWAY INC
 COM             COMMON   786514208         25        1500 Shares                       X               1           0      0    1500
ST JOE CORP      COMMON   790148100          3         200 Shares                       X               1         200      0       0
ST JUDE
 MEDICAL INC
 COM             COMMON   790849103         14         392 Shares              X                        1         392      0       0
ST JUDE
 MEDICAL INC
 COM             COMMON   790849103         36        1000 Shares                       X               1        1000      0       0
ST JUDE
 MEDICAL INC
 COM             COMMON   790849103        137        3775 Shares              X                        3        1885      0    1890
SALESFORCE.COM
 INC             COMMON   79466L302         96         844 Shares              X                        1         844      0       0
SALLY BEAUTY
 COMPANY INC     COMMON   79546E104          2         100 Shares              X                        1         100      0       0
SAN JUAN
 BASIN
 ROYALTY TR      COMMON   798241105         92        4000 Shares              X                        1           0      0    4000
SAN JUAN
 BASIN
 ROYALTY TR      COMMON   798241105          3         150 Shares                       X               1           0      0     150
SANDISK CORP
 COM             COMMON   80004C101         16         405 Shares              X                        1         405      0       0
SANDY SPRING
 BANCORP INC     COMMON   800363103        146       10000 Shares              X                        1       10000      0       0
SANDY SPRING
 BANCORP INC     COMMON   800363103        227       15508 Shares                       X               1       15508      0       0
SANOFI-ADR       COMMON   80105N105         33        1000 Shares              X                        1        1000      0       0
SANOFI-ADR       COMMON   80105N105         41        1250 Shares                       X               1        1250      0       0
SANOFI-CVR
 12/31/20        COMMON   80105N113          4        4000 Shares              X                        1        4000      0       0
SANOFI-CVR
 12/31/20        COMMON   80105N113          1         860 Shares                       X               1         860      0       0
SAP AG SPONS
 ADR             COMMON   803054204         25         500 Shares              X                        1         500      0       0
SARA LEE CORP    COMMON   803111103         23        1400 Shares              X                        1        1400      0       0
SARA LEE CORP    COMMON   803111103        100        6125 Shares                       X               1        2925      0    3200
SCANA CORP
 NEW COM         COMMON   80589M102         93        2308 Shares              X                        1        2272      0      36
SCANA CORP
 NEW COM         COMMON   80589M102        119        2950 Shares                       X               1        2950      0       0
HENRY SCHEIN
 INC COM         COMMON   806407102         78        1254 Shares              X                        1        1254      0       0
SCHLUMBERGER
 LTD             COMMON   806857108      15314      256392 Shares              X                        1      252776      0    3616
SCHLUMBERGER
 LTD             COMMON   806857108       4620       77340 Shares                       X               1       71545      0    5795
SCHLUMBERGER
 LTD             COMMON   806857108       2924       45558 Shares              X                        3       20424      0    3508
SCHLUMBERGER
 LTD             COMMON   806857108         99        1650 Shares                       X               4        1650      0       0
SCHWAB
 CHARLES CORP
 NEW COM         COMMON   808513105        206       18240 Shares              X                        1       18240      0       0
SCHWAB
 CHARLES CORP
 NEW COM         COMMON   808513105         15        1298 Shares                       X               1        1298      0       0
THE SCOTTS
 MIRACLE-GRO
 COMPANY CL A    COMMON   810186106        424        9500 Shares              X                        1        9500      0       0
SCRIPPS
 NETWORKS
 INTERACTIVE
 - CL A          COMMON   811065101         11         300 Shares              X                        1         300      0       0
SEACOR
 HOLDINGS INC    COMMON   811904101        144        1800 Shares              X                        1           0      0    1800
SEALED AIR
 CORP NEW COM    COMMON   81211K100          5         277 Shares              X                        1         277      0       0
SEALED AIR
 CORP NEW COM    COMMON   81211K100          8         498 Shares                       X               1         498      0       0
SEARS
 HOLDINGS CORP   COMMON   812350106         11         188 Shares              X                        1         188      0       0
SEARS
 HOLDINGS CORP   COMMON   812350106         27         472 Shares                       X               1         468      0       4
ENERGY SELECT
 SECTOR SPDR
 FD              COMMON   81369Y506          9         152 Shares              X                        1           0      0       0
ENERGY SELECT
 SECTOR SPDR
 FD              COMMON   81369Y506         14         235 Shares                       X               1           0      0       0
FINANCIAL
 SELECT
 SECTOR SPDR
 FD              COMMON   81369Y605        907       76808 Shares              X                        1           0      0       0
FINANCIAL
 SELECT
 SECTOR SPDR
 FD              COMMON   81369Y605        521       44081 Shares                       X               1           0      0       0
FINANCIAL
 SELECT
 SECTOR SPDR
 FD              COMMON   81369Y605          4         300 Shares              X                        4           0      0       0
SELECT SECTOR
 SPDR
 UTILITIES       COMMON   81369Y886       2080       61869 Shares              X                        1           0      0       0
SELECT SECTOR
 SPDR
 UTILITIES       COMMON   81369Y886        312        9293 Shares                       X               1           0      0       0
SELECT SECTOR
 SPDR
 UTILITIES       COMMON   81369Y886       1440       42568 Shares              X                        3       29940      0       0
SELECT
 COMFORT
 CORPORATION     COMMON   81616X103         30        2125 Shares              X                        1        2125      0       0
SELECT
 COMFORT
 CORPORATION     COMMON   81616X103       1083       77500 Shares              X                        3        1083      0       0
SELECTIVE INS
 GROUP INC       COMMON   816300107         48        3712 Shares              X                        1        3712      0       0
SEMPRA ENERGY
 COM             COMMON   816851109          5          98 Shares              X                        1          98      0       0
SEMPRA ENERGY
 COM             COMMON   816851109         22         420 Shares                       X               1         420      0       0
SENIOR
 HOUSING
 PROPERTIES
 TR (REIT)       COMMON   81721M109          2         116 Shares              X                        1           0      0       0
SENIOR
 HOUSING
 PROPERTIES
 TR (REIT)       COMMON   81721M109          2         100 Shares                       X               1           0      0       0
SERVICE
 CORPORATION
 INTL            COMMON   817565104        151       16473 Shares              X                        1       14271      0    2202
SERVICE
 CORPORATION
 INTL            COMMON   817565104         77        8382 Shares                       X               1        8382      0       0


                                    26 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
SEVERN
 BANCORP INC     COMMON   81811M100          2         726 Shares                       X               1         726      0       0
SHERWIN
 WILLIAMS CO
 COM             COMMON   824348106         15         200 Shares              X                        1         200      0       0
SHERWIN
 WILLIAMS CO
 COM             COMMON   824348106        372        5000 Shares                       X               1           0      0    5000
SHIRE PLC -
 ADR             COMMON   82481R106         25         270 Shares              X                        1         270      0       0
SHUTTERFLY INC   COMMON   82568P304         26         625 Shares              X                        1         625      0       0
SHUTTERFLY INC   COMMON   82568P304        927       22500 Shares              X                        3         927      0       0
SIEMENS A G
 SPONSORED ADR   COMMON   826197501          6          66 Shares              X                        1          66      0       0
SIEMENS A G
 SPONSORED ADR   COMMON   826197501         31         350 Shares                       X               1         350      0       0
SIGNATURE BANK   COMMON   82669G104         30         625 Shares              X                        1         625      0       0
SIGNATURE BANK   COMMON   82669G104       1217       25500 Shares              X                        3        1217      0       0
SILICON
 GRAPHICS
 INTL CORP       COMMON   82706L108         27        2225 Shares              X                        1        2225      0       0
SILICON
 GRAPHICS
 INTL CORP       COMMON   82706L108        966       81000 Shares              X                        3         966      0       0
SILVER
 WHEATON
 CORPORATION     COMMON   828336107         51        1738 Shares              X                        1        1738      0       0
SILVER
 WHEATON
 CORPORATION     COMMON   828336107         74        2525 Shares                       X               1        2525      0       0
SILVERCORP
 METALS INC      COMMON   82835P103        108       13700 Shares              X                        1       13700      0       0
SIMON
 PROPERTY GRP
 INC (REIT)      COMMON   828806109       1049        9531 Shares              X                        1           0      0       0
SIMON
 PROPERTY GRP
 INC (REIT)      COMMON   828806109        638        5805 Shares                       X               1           0      0       0
SIRONA DENTAL
 SYSTEMS INC     COMMON   82966C103         30         700 Shares              X                        1         700      0       0
SIRONA DENTAL
 SYSTEMS INC     COMMON   82966C103       1081       25500 Shares              X                        3        1081      0       0
SIRIUS XM
 RADIO INC       COMMON   82967N108         22       14588 Shares              X                        1       14588      0       0
SMITH &
 NEPHEW PLC -
 SPONS ADR       COMMON   83175M205          7         164 Shares              X                        1         164      0       0
JM SMUCKER CO    COMMON   832696405         84        1151 Shares              X                        1        1151      0       0
JM SMUCKER CO    COMMON   832696405        246        3378 Shares                       X               1        2780      0     598
SNAP ON INC      COMMON   833034101          9         195 Shares              X                        1         195      0       0
SOLUTIA INC-
 WARRANTS
 2/28/13         COMMON   834376147          0          65 Shares                       X               1          65      0       0
SOLUTIA INC      COMMON   834376501        201       15637 Shares              X                        1       15637      0       0
SOLUTIA INC      COMMON   834376501          0           8 Shares                       X               1           8      0       0
SOLUTIA INC      COMMON   834376501       2504      194820 Shares              X                        3        9927      0       0
SONOCO
 PRODUCTS CO
 COM             COMMON   835495102         11         400 Shares              X                        1         400      0       0
SONY CORP -
 SPONSORED ADR   COMMON   835699307          7         356 Shares              X                        1         356      0       0
SOTHEBY'S        COMMON   835898107         29        1050 Shares              X                        1        1050      0       0
SOTHEBY'S        COMMON   835898107       1061       38500 Shares              X                        3        1061      0       0
SOURCEFIRE INC   COMMON   83616T108        208        7758 Shares              X                        1        7758      0       0
SOURCEFIRE INC   COMMON   83616T108       3463      129400 Shares              X                        3        6480      0       0
SOUTHERN CO
 COM             COMMON   842587107       1039       24530 Shares              X                        1       23342      0    1188
SOUTHERN CO
 COM             COMMON   842587107       1298       30629 Shares                       X               1       30229      0     400
SOUTHERN
 COPPER CORP     COMMON   84265V105         15         600 Shares              X                        1           0      0     600
SOUTHWEST
 AIRLINES CO
 COM             COMMON   844741108          6         800 Shares              X                        1         800      0       0
SOUTHWEST
 AIRLINES CO
 COM             COMMON   844741108          2         300 Shares                       X               1         300      0       0
SOUTHWESTERN
 ENERGY
 COMPANY         COMMON   845467109        341       10230 Shares              X                        1       10230      0       0
SOUTHWESTERN
 ENERGY
 COMPANY         COMMON   845467109         34        1010 Shares                       X               1        1010      0       0
SPECTRA
 ENERGY CORP     COMMON   847560109        194        7898 Shares              X                        1        7898      0       0
SPECTRA
 ENERGY CORP     COMMON   847560109        186        7582 Shares                       X               1        7182      0     400
SPECTRA
 ENERGY
 PARTNERS LP     COMMON   84756N109          1          50 Shares                       X               1          50      0       0
SPIRIT
 AEROSYSTEMS
 HOLD-CL A       COMMON   848574109          3         187 Shares              X                        1         187      0       0
SPRINT NEXTEL
 CORP            COMMON   852061100          1         200 Shares                       X               1         200      0       0
SPROTT
 PHYSICAL
 SILVER TRUST    COMMON   85207K107         21        1500 Shares              X                        1           0      0       0
STAAR
 SURGICAL
 COMPANY         COMMON   852312305         24        3075 Shares              X                        1        3075      0       0
STAAR
 SURGICAL
 COMPANY         COMMON   852312305        885      113500 Shares              X                        3         885      0       0
STANDARD
 REGISTER
 COMPANY         COMMON   853887107         25       10000 Shares              X                        1       10000      0       0
STANLEY BLACK
 & DECKER INC    COMMON   854502101        142        2900 Shares              X                        1        2900      0       0
STANLEY BLACK
 & DECKER INC    COMMON   854502101        458        9323 Shares                       X               1        9323      0       0
STAPLES INC
 COM             COMMON   855030102        659       49554 Shares              X                        1       49554      0       0
STAPLES INC
 COM             COMMON   855030102        302       22699 Shares                       X               1       22599      0     100
STAPLES INC
 COM             COMMON   855030102         18        1200 Shares              X                        3        1200      0       0
STARBUCKS
 CORP COM        COMMON   855244109        413       11078 Shares              X                        1       11078      0       0
STARWOOD
 HOTELS &
 RESORTS
 WORLDWIDE       COMMON   85590A401       2638       67960 Shares              X                        1       67514      0     446
STARWOOD
 HOTELS &
 RESORTS
 WORLDWIDE       COMMON   85590A401         83        2148 Shares                       X               1        2148      0       0
STARWOOD
 HOTELS &
 RESORTS
 WORLDWIDE       COMMON   85590A401       1883       48494 Shares              X                        3        3319      0       0
STATE STREET
 CORP            COMMON   857477103         36        1125 Shares              X                        1        1125      0       0
STATE STREET
 CORP            COMMON   857477103       2098       65250 Shares                       X               1       65250      0       0
STATOIL ASA
 SPONSORED ADR   COMMON   85771P102         14         652 Shares              X                        1         652      0       0
STATOIL ASA
 SPONSORED ADR   COMMON   85771P102         10         470 Shares                       X               1         470      0       0
STEEL
 DYNAMICS INC    COMMON   858119100          3         300 Shares              X                        1         300      0       0
STELLARONE
 CORP            COMMON   85856G100         17        1731 Shares                       X               1        1731      0       0
STIFEL
 FINANCIAL
 CORPORATION     COMMON   860630102         47        1775 Shares              X                        1        1775      0       0
STIFEL
 FINANCIAL
 CORPORATION     COMMON   860630102       1726       65000 Shares              X                        3        1726      0       0


                                    27 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
STILLWATER
 MINING
 COMPANY         COMMON   86074Q102          6         750 Shares              X                        1         750      0       0
STRATASYS
 INCORPORATED    COMMON   862685104        180        9694 Shares              X                        1        9694      0       0
STRATASYS
 INCORPORATED    COMMON   862685104       2891      155920 Shares              X                        3        6836      0       0
STRATEGIC
 HOTELS &
 RESORTS INC     COMMON   86272T106         52       12025 Shares              X                        1           0      0       0
STRATEGIC
 HOTELS &
 RESORTS INC     COMMON   86272T106       1883      437000 Shares              X                        3        1883      0       0
STRYKER CORP
 COM             COMMON   863667101        850       18018 Shares              X                        1       13018      0    5000
STRYKER CORP
 COM             COMMON   863667101        146        3100 Shares                       X               1        2100      0    1000
STRYKER CORP
 COM             COMMON   863667101        773       16409 Shares              X                        3        1163      0       0
STURM RUGER &
 CO INC COM      COMMON   864159108          6         250 Shares              X                        1         250      0       0
STURM RUGER &
 CO INC COM      COMMON   864159108         26        1000 Shares                       X               1        1000      0       0
SUBURBAN
 PROPANE
 PARTNERS LP
 LIMITED         COMMON   864482104         26         550 Shares              X                        1         550      0       0
SUBURBAN
 PROPANE
 PARTNERS LP
 LIMITED         COMMON   864482104         74        1600 Shares                       X               1        1600      0       0
SUCCESSFACTORS
 INC             COMMON   864596101         32        1375 Shares              X                        1        1375      0       0
SUCCESSFACTORS
 INC             COMMON   864596101       1156       50300 Shares              X                        3        1156      0       0
SUMITOMO
 TRUST AND
 BANKING CO      COMMON   86562M209         11        2012 Shares                       X               1        2012      0       0
SUN LIFE FINL
 INC             COMMON   866796105         62        2592 Shares              X                        1        2592      0       0
SUN
 HYDRAULICS
 CORPORATION     COMMON   866942105          2         100 Shares              X                        1         100      0       0
SUNCOR ENERGY
 INC             COMMON   867224107         26        1016 Shares              X                        1        1016      0       0
SUNCOR ENERGY
 INC             COMMON   867224107        271       10665 Shares                       X               1       10665      0       0
SUNESIS
 PHARMACEUTICALS
 INC             COMMON   867328601          0         166 Shares              X                        1         166      0       0
SUNOCO
 LOGISTICS
 PARTNERS LP     COMMON   86764L108        106        1200 Shares              X                        1        1200      0       0
SUNOCO
 LOGISTICS
 PARTNERS LP     COMMON   86764L108         35         400 Shares                       X               1         400      0       0
SUNOCO INC COM   COMMON   86764P109          5         170 Shares              X                        1         170      0       0
SUNPOWER CORP
 CL A            COMMON   867652109          2         200 Shares              X                        1         200      0       0
SUNRISE
 SENIOR
 LIVING INC      COMMON   86768K106          5        1000 Shares              X                        1           0      0    1000
SUNTRUST
 BANKS INC       COMMON   867914103        132        7328 Shares              X                        1        7328      0       0
SUNTRUST
 BANKS INC       COMMON   867914103        311       17318 Shares                       X               1       15618      0    1700
SUNTRUST
 BANKS INC       COMMON   867914103        398       20001 Shares              X                        3       20001      0       0
SUSQUEHANNA
 BANCSHARES
 INC PA COM      COMMON   869099101        379       69416 Shares              X                        1       67270      0    2146
SUSQUEHANNA
 BANCSHARES
 INC PA COM      COMMON   869099101         59       10740 Shares                       X               1        9740   1000       0
SUSQUEHANNA
 BANCSHARES
 INC PA COM      COMMON   869099101         31        4627 Shares              X                        3        4627      0       0
ELEMENTS
 ROGERS AGRI
 TOT RET         COMMON   870297603          5         500 Shares              X                        1           0      0       0
SWIFT
 TRANSPORATION
 CO              COMMON   87074U101         30        4600 Shares              X                        1        4600      0       0
SWIFT
 TRANSPORATION
 CO              COMMON   87074U101       1095      170000 Shares              X                        3        1095      0       0
SYMANTEC CORP
 COM             COMMON   871503108         75        4610 Shares              X                        1        4610      0       0
SYMANTEC CORP
 COM             COMMON   871503108         49        2984 Shares                       X               1        2984      0       0
SYNCHRONOSS
 TECHNOLOGIES
 INC             COMMON   87157B103         40        1625 Shares              X                        1        1625      0       0
SYNCHRONOSS
 TECHNOLOGIES
 INC             COMMON   87157B103       1495       60000 Shares              X                        3        1495      0       0
SYNGENTA AG
 ADR             COMMON   87160A100        104        2000 Shares                       X               1        2000      0       0
SYSCO CORP       COMMON   871829107       1354       52273 Shares              X                        1       52173      0     100
SYSCO CORP       COMMON   871829107       3783      146075 Shares                       X               1      143975      0    2100
SYSCO CORP       COMMON   871829107         38        1350 Shares              X                        3        1350      0       0
TCF FINL CORP
 COM             COMMON   872275102          5         500 Shares              X                        1         500      0       0
TECO ENERGY
 INC             COMMON   872375100         31        1800 Shares              X                        1        1800      0       0
TECO ENERGY
 INC             COMMON   872375100         65        3814 Shares                       X               1        3814      0       0
TF FINANCIAL
 CORP            COMMON   872391107        101        5250 Shares              X                        1        5250      0       0
TJX COMPANIES
 COM             COMMON   872540109         84        1512 Shares              X                        1        1512      0       0
TJX COMPANIES
 COM             COMMON   872540109        111        2008 Shares                       X               1        2008      0       0
TAIWAN
 SEMICONDUCTOR
 SPON ADR        COMMON   874039100         23        2000 Shares              X                        1        2000      0       0
TAIWAN
 SEMICONDUCTOR
 SPON ADR        COMMON   874039100         12        1014 Shares                       X               1           0      0    1014
TALISMAN
 ENERGY INC      COMMON   87425E103         22        1755 Shares              X                        1        1755      0       0
TALISMAN
 ENERGY INC      COMMON   87425E103          3         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       4377       89251 Shares              X                        1       89251      0       0
TARGET CORP
 COM             COMMON   87612E106        503       10264 Shares                       X               1       10089      0     175
TARGET CORP
 COM             COMMON   87612E106        295        5966 Shares              X                        3        4446      0    1520
TASEKO MINES
 LTD             COMMON   876511106         38       15000 Shares              X                        1       15000      0       0
TEAVANA
 HOLDINGS INC    COMMON   87819P102         21        1050 Shares              X                        1        1050      0       0
TEAVANA
 HOLDINGS INC    COMMON   87819P102        763       37500 Shares              X                        3         763      0       0
TECH DATA
 CORP COM        COMMON   878237106         22         500 Shares                       X               1         500      0       0
TECK
 RESOURCES
 LTD- CL B       COMMON   878742204        117        4000 Shares              X                        1        4000      0       0
TECK
 RESOURCES
 LTD- CL B       COMMON   878742204         29        1000 Shares                       X               1        1000      0       0
TELE NORTE
 LESTE PART
 ADR             COMMON   879246106          3         365 Shares                       X               1         365      0       0
TELECOM NEW
 ZEALAND SPON
 ADR             COMMON   879278208          5         533 Shares                       X               1         533      0       0
TELECOM
 ITALIA SPA      COMMON   87927Y102         16        1519 Shares                       X               1        1519      0       0
TELECOMUNICACOES
 DE SP ADR       COMMON   87929A102          5         192 Shares                       X               1         192      0       0
TELEDYNE
 TECHNOLOGIES
 INC COM         COMMON   879360105         13         275 Shares              X                        1         275      0       0


                                    28 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
TELEFONICA S
 A SPONSORED
 ADR             COMMON   879382208         50        2618 Shares              X                        1        2434      0     184
TELEFONICA S
 A SPONSORED
 ADR             COMMON   879382208         56        2920 Shares                       X               1        2920      0       0
TELEFONOS DE
 MEXICO SA DE
 CV              COMMON   879403707          0           1 Shares              X                        3           1      0       0
TELEFONOS DE
 MEXICO SP
 ADR L           COMMON   879403780          9         600 Shares              X                        1         600      0       0
TELEFONOS DE
 MEXICO SP
 ADR L           COMMON   879403780         35        2370 Shares                       X               1         370      0    2000
TEMPLE INLAND
 INC             COMMON   879868107          4         128 Shares              X                        1         128      0       0
TEMPLE INLAND
 INC             COMMON   879868107          3         100 Shares                       X               1         100      0       0
TEMPLETON
 DRAGON FUND
 INC             COMMON   88018T101          2         100 Shares              X                        1           0      0       0
TEMPLETON
 GLOBAL
 INCOME
 FUND-DE         COMMON   880198106        354       37500 Shares              X                        1           0      0       0
TEREX CORP       COMMON   880779103         10         947 Shares              X                        1         947      0       0
TESORO CORP      COMMON   881609101         16         800 Shares              X                        1         800      0       0
TEVA
 PHARMACEUTICAL
 SPONS ADR       COMMON   881624209       1031       27698 Shares              X                        1       14268      0   13430
TEVA
 PHARMACEUTICAL
 SPONS ADR       COMMON   881624209        557       14970 Shares                       X               1       14970      0       0
TEXAS CAPITAL
 BANCSHARES
 INC             COMMON   88224Q107        205        8981 Shares              X                        1        8981      0       0
TEXAS CAPITAL
 BANCSHARES
 INC             COMMON   88224Q107       2522      110405 Shares              X                        3        6729      0       0
TEXAS
 INSTRUMENTS
 INC             COMMON   882508104       1507       56535 Shares              X                        1       56535      0       0
TEXAS
 INSTRUMENTS
 INC             COMMON   882508104       1289       48351 Shares                       X               1       44751      0    3600
TEXAS
 INSTRUMENTS
 INC             COMMON   882508104        128        4844 Shares              X                        3        4844      0       0
TEXTRON INC
 COM             COMMON   883203101        129        7336 Shares              X                        1        7336      0       0
TEXTRON INC
 COM             COMMON   883203101         11         600 Shares                       X               1         600      0       0
THERMO FISHER
 SCIENTIFIC
 INC             COMMON   883556102        191        3775 Shares              X                        1         275      0    3500
THERMO FISHER
 SCIENTIFIC
 INC             COMMON   883556102         51        1000 Shares                       X               1         400      0     600
THORATEC CORP    COMMON   885175307         20         625 Shares              X                        1         625      0       0
THORATEC CORP    COMMON   885175307        767       23500 Shares              X                        3         767      0       0
3M CO            COMMON   88579Y101       9801      136526 Shares              X                        1      131036      0    5490
3M CO            COMMON   88579Y101       6905       96187 Shares                       X               1       86146      0   10041
3M CO            COMMON   88579Y101        247        3157 Shares              X                        3        3157      0       0
3M CO            COMMON   88579Y101         47         650 Shares                       X               4         650      0       0
TIBCO
 SOFTWARE INC
 COM             COMMON   88632Q103         40        1800 Shares              X                        1        1800      0       0
TIBCO
 SOFTWARE INC
 COM             COMMON   88632Q103       1467       65500 Shares              X                        3        1467      0       0
TIDEWATER INC    COMMON   886423102         42        1000 Shares              X                        1        1000      0       0
TIFFANY & CO     COMMON   886547108        311        5119 Shares              X                        1        5119      0       0
TIFFANY & CO     COMMON   886547108         61        1000 Shares                       X               1        1000      0       0
TIFFANY & CO     COMMON   886547108       2645       43500 Shares              X                        3        4242      0       0
TIM HORTONS
 INC             COMMON   88706M103        201        4333 Shares              X                        1        4333      0       0
TIME WARNER
 INC             COMMON   887317303        170        5675 Shares              X                        1        5675      0       0
TIME WARNER
 INC             COMMON   887317303         72        2391 Shares                       X               1        2391      0       0
TIME WARNER
 INC             COMMON   887317303          8         251 Shares              X                        3         251      0       0
TIME WARNER
 CABLE INC       COMMON   88732J207         23         373 Shares              X                        1         373      0       0
TIME WARNER
 CABLE INC       COMMON   88732J207         17         265 Shares                       X               1         265      0       0
TIME WARNER
 CABLE INC       COMMON   88732J207        187        2862 Shares              X                        3        2862      0       0
TITAN
 INTERNATIONAL
 INC             COMMON   88830M102         67        4495 Shares              X                        1        4495      0       0
TITAN
 INTERNATIONAL
 INC             COMMON   88830M102       2463      164200 Shares              X                        3        2463      0       0
TOLL BROS INC    COMMON   889478103         10         700 Shares                       X               1         200      0     500
TOMPKINS
 FINANCIAL
 CORP            COMMON   890110109         13         365 Shares              X                        1         365      0       0
TOOTSIE ROLL
 INDUSTRIES      COMMON   890516107         65        2701 Shares              X                        1        2701      0       0
TORONTO-DOMINION
 BANK            COMMON   891160509         21         293 Shares              X                        1         293      0       0
TORONTO-DOMINION
 BANK            COMMON   891160509         41         582 Shares                       X               1         500      0      82
TORTOISE
 ENERGY
 INFRASTRUCTURE
 CORP            COMMON   89147L100         17         500 Shares                       X               1           0      0       0
TORTOISE
 ENERGY
 CAPITAL CORP    COMMON   89147U100         23        1000 Shares                       X               1        1000      0       0
TORTOISE MLP
 FUND INC        COMMON   89148B101         68        3000 Shares              X                        1           0      0       0
TOTAL SA
 SPONSORED ADR   COMMON   89151E109        176        4022 Shares              X                        1        3962      0      60
TOTAL SA
 SPONSORED ADR   COMMON   89151E109         26         598 Shares                       X               1         598      0       0
TOYOTA MOTOR
 CORP SPON ADR   COMMON   892331307         17         250 Shares              X                        1         250      0       0
TOYOTA MOTOR
 CORP SPON ADR   COMMON   892331307         14         200 Shares                       X               1         200      0       0
TRANSACT
 TECHNOLOGIES
 INC COM         COMMON   892918103          8        1000 Shares              X                        1        1000      0       0
TRANSATLANTIC
 HLDGS INC       COMMON   893521104          1          21 Shares              X                        1          21      0       0
TRANSATLANTIC
 HLDGS INC       COMMON   893521104          6         118 Shares                       X               1         118      0       0
TRANSCANADA
 CORP            COMMON   89353D107         12         285 Shares              X                        1         285      0       0
TRANSMONTAIGNE
 PARTNERS LP     COMMON   89376V100         19         570 Shares              X                        1         570      0       0
THE TRAVELERS
 COMPANIES INC   COMMON   89417E109        258        5296 Shares              X                        1        4496      0     800
THE TRAVELERS
 COMPANIES INC   COMMON   89417E109        467        9586 Shares                       X               1        9586      0       0
THE TRAVELERS
 COMPANIES INC   COMMON   89417E109         20         400 Shares              X                        3         400      0       0
TREDEGAR CORP    COMMON   894650100         22        1500 Shares              X                        1        1500      0       0
TRIUMPH GROUP
 INC             COMMON   896818101         23         475 Shares              X                        1         475      0       0
TRIUMPH GROUP
 INC             COMMON   896818101        833       17100 Shares              X                        3         833      0       0
TUPPERWARE
 BRANDS CORP     COMMON   899896104         24         450 Shares                       X               1         450      0       0


                                    29 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
TYLER
 TECHNOLOGIES
 INC             COMMON   902252105        341       13500 Shares              X                        1           0      0   13500
TYSON FOODS
 INC COM         COMMON   902494103         11         625 Shares                       X               1         625      0       0
UDR INC REIT     COMMON   902653104       1362       61525 Shares              X                        1           0      0       0
UDR INC REIT     COMMON   902653104        113        5112 Shares                       X               1           0      0       0
UDR INC REIT     COMMON   902653104          3         120 Shares              X                        3           0      0       0
UGI CORP         COMMON   902681105        255        9696 Shares              X                        1        9696      0       0
UGI CORP         COMMON   902681105         79        3000 Shares                       X               1        3000      0       0
UIL HOLDINGS
 CORPORATION     COMMON   902748102         39        1180 Shares              X                        1        1180      0       0
U S BANCORP
 DEL COM NEW     COMMON   902973304        861       36597 Shares              X                        1       36597      0       0
U S BANCORP
 DEL COM NEW     COMMON   902973304        236       10005 Shares                       X               1        9705      0     300
U S BANCORP
 DEL COM NEW     COMMON   902973304         68        2900 Shares              X                        3        2900      0       0
US AIRWAYS
 GROUP INC       COMMON   90341W108         52        9525 Shares              X                        1        9525      0       0
US AIRWAYS
 GROUP INC       COMMON   90341W108       1914      348000 Shares              X                        3        1914      0       0
ULTA SALON
 COSMETICS &
 FRAGRANCE       COMMON   90384S303         20         325 Shares              X                        1         325      0       0
ULTA SALON
 COSMETICS &
 FRAGRANCE       COMMON   90384S303        716       11500 Shares              X                        3         716      0       0
ULTRATECH INC    COMMON   904034105         31        1800 Shares              X                        1        1800      0       0
ULTRATECH INC    COMMON   904034105       1103       64300 Shares              X                        3        1103      0       0
UNDER ARMOUR
 INC-CLASS A     COMMON   904311107         96        1450 Shares              X                        1         450      0    1000
UNDER ARMOUR
 INC-CLASS A     COMMON   904311107          5          70 Shares                       X               1          70      0       0
UNDER ARMOUR
 INC-CLASS A     COMMON   904311107        644        9700 Shares              X                        3         644      0       0
UNILEVER PLC
 SPONSORED ADR   COMMON   904767704         69        2204 Shares              X                        1        2110      0      94
UNILEVER PLC
 SPONSORED ADR   COMMON   904767704        152        4888 Shares                       X               1        1888      0    3000
UNILEVER NV
 NY SHARES       COMMON   904784709        194        6171 Shares              X                        1        6171      0       0
UNILEVER NV
 NY SHARES       COMMON   904784709         84        2680 Shares                       X               1        2680      0       0
UNION PACIFIC
 CORP COM        COMMON   907818108       2634       32255 Shares              X                        1       31219      0    1036
UNION PACIFIC
 CORP COM        COMMON   907818108        820       10038 Shares                       X               1       10038      0       0
UNITED
 BANKSHARES
 INC             COMMON   909907107        427       21250 Shares              X                        1           0      0   21250
UNITED PARCEL
 SERVICE CL B    COMMON   911312106       4177       66140 Shares              X                        1       65113      0    1027
UNITED PARCEL
 SERVICE CL B    COMMON   911312106        925       14646 Shares                       X               1       13683      0     963
UNITED PARCEL
 SERVICE CL B    COMMON   911312106       1523       23050 Shares              X                        3       21101      0    1949
US GOLD CORP     COMMON   912023207          2         400 Shares              X                        1         400      0       0
UNITED STATES
 OIL FD LP       COMMON   91232N108         15         500 Shares              X                        1           0      0       0
UNITED STS
 STL CORP NEW    COMMON   912909108        385       17478 Shares              X                        1       17152      0     326
UNITED STS
 STL CORP NEW    COMMON   912909108         46        2088 Shares                       X               1        1819      0     269
UNITED STS
 STL CORP NEW    COMMON   912909108         55        2490 Shares              X                        3        2490      0       0
US STEEL CORP
 CONV
 4.000%
 5/15/14         COMMON   912909AE8          2        2000 Shares              X                        1           0      0       0
UNITED
 TECHNOLOGIES
 CORP COM        COMMON   913017109       6735       95715 Shares              X                        1       82975      0   12740
UNITED
 TECHNOLOGIES
 CORP COM        COMMON   913017109       2953       41976 Shares                       X               1       41076      0     900
UNITED
 TECHNOLOGIES
 CORP COM        COMMON   913017109         52         739 Shares              X                        3         739      0       0
UNITEDHEALTH
 GROUP INC       COMMON   91324P102       5209      112946 Shares              X                        1      109171      0    3775
UNITEDHEALTH
 GROUP INC       COMMON   91324P102        268        5804 Shares                       X               1        3714      0    2090
UNITEDHEALTH
 GROUP INC       COMMON   91324P102       3146       67832 Shares              X                        3       24131      0    3638
UNIVERSAL
 DISPLAY CORP    COMMON   91347P105         62        1300 Shares              X                        1        1300      0       0
UNIVEST CORP
 OF PA           COMMON   915271100         29        2210 Shares              X                        1        2210      0       0
URBAN
 OUTFITTERS
 INC             COMMON   917047102          2         100 Shares              X                        1         100      0       0
URSTADT
 BIDDLE PPTYS
 INC CL A
 (REIT)          COMMON   917286205         48        3000 Shares                       X               1           0      0       0
V F CORP         COMMON   918204108        223        1836 Shares              X                        1        1836      0       0
V F CORP         COMMON   918204108         15         125 Shares                       X               1         125      0       0
VIST
 FINANCIAL
 CORP            COMMON   918255100          3         500 Shares              X                        1         500      0       0
VALE SA          COMMON   91912E105         57        2500 Shares              X                        1        2500      0       0
VALE SA          COMMON   91912E105         18         800 Shares                       X               1         800      0       0
VALE SA          COMMON   91912E105         23         800 Shares              X                        3         800      0       0
VALERO ENERGY
 CORP COM        COMMON   91913Y100         13         744 Shares              X                        1         744      0       0
VALERO ENERGY
 CORP COM        COMMON   91913Y100         18        1000 Shares                       X               1        1000      0       0
VANGUARD DVD
 APPRECIATION
 INDEX FD        COMMON   921908844         43         875 Shares              X                        1           0      0       0
VANGUARD
 SHORT-TERM
 BD ETF          COMMON   921937827         13         155 Shares                       X               1           0      0       0
VANGUARD
 SHORT-TERM
 BD ETF          COMMON   921937827       4583       56290 Shares                       X               3           0      0       0
VANGUARD
 TOTAL BOND
 MKT ETF         COMMON   921937835       1595       19047 Shares              X                        1           0      0       0
VANGUARD
 TOTAL BOND
 MKT ETF         COMMON   921937835        162        1938 Shares                       X               1           0      0       0
VANGUARD
 TOTAL BOND
 MKT ETF         COMMON   921937835       3430       40965 Shares              X                        3           0      0       0
VANGUARD HIGH
 DIVIDEND
 YIELD ETF       COMMON   921946406       5693      140842 Shares              X                        1           0      0       0
VANGUARD HIGH
 DIVIDEND
 YIELD ETF       COMMON   921946406        169        4179 Shares                       X               1           0      0       0
VANGUARD HIGH
 DIVIDEND
 YIELD ETF       COMMON   921946406       7140      176633 Shares              X                        3           0      0       0
VANGUARD MSCI
 EMERGING
 MKTS ETF        COMMON   922042858         13         350 Shares              X                        1           0      0       0
VANGUARD MSCI
 EMERGING
 MKTS ETF        COMMON   922042858         65        1802 Shares                       X               1           0      0       0
VANGUARD MSCI
 EMERGING
 MKTS ETF        COMMON   922042858        205        5710 Shares              X                        3           0      0       0
VANGUARD INFO
 TECH ETF        COMMON   92204A702         34         600 Shares              X                        1           0      0     600


                                    30 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
VANGUARD
 UTILITIES ETF   COMMON   92204A876          4          50 Shares              X                        1           0      0       0
VEECO
 INSTRUMENTS
 INC             COMMON   922417100          4         150 Shares              X                        1         150      0       0
VENTAS INC COM   COMMON   92276F100          3          57 Shares              X                        1           0      0       0
VANGUARD
 SMALL-CAP ETF   COMMON   922908751          7         111 Shares              X                        1           0      0       0
VANGUARD
 TOTAL STOCK
 MARKET ETF      COMMON   922908769         38         667 Shares              X                        1           0      0       0
VEOLIA
 ENVIRONNEMENT
 -ADR            COMMON   92334N103          3         200 Shares              X                        1         200      0       0
VERA BRADLEY
 INC             COMMON   92335C106         19         525 Shares              X                        1         525      0       0
VERA BRADLEY
 INC             COMMON   92335C106        696       19300 Shares              X                        3         696      0       0
VERIFONE
 SYSTEMS INC     COMMON   92342Y109         28         800 Shares              X                        1         800      0       0
VERIFONE
 SYSTEMS INC     COMMON   92342Y109        770       22000 Shares              X                        3         770      0       0
VERIZON
 COMMUNICATIONS
 COM             COMMON   92343V104      17821      484269 Shares              X                        1      453631      0   30638
VERIZON
 COMMUNICATIONS
 COM             COMMON   92343V104       7674      208524 Shares                       X               1      197480      0   11044
VERIZON
 COMMUNICATIONS
 COM             COMMON   92343V104       1885       51836 Shares              X                        3       47639      0    4197
VIACOM
 INC-CLASS B     COMMON   92553P201        109        2826 Shares              X                        1        2826      0       0
VIACOM
 INC-CLASS B     COMMON   92553P201        184        4746 Shares                       X               1        2346      0    2400
VIROPHARMA INC   COMMON   928241108         27        1500 Shares              X                        1        1500      0       0
VISA INC         COMMON   92826C839       1430       16679 Shares              X                        1       16445      0     234
VISA INC         COMMON   92826C839        391        4566 Shares                       X               1        4566      0       0
VISA INC         COMMON   92826C839          3          30 Shares              X                        3          30      0       0
VITESSE
 SEMICONDUCTOR
 CORP            COMMON   928497304          0           8 Shares              X                        1           8      0       0
VITAMIN
 SHOPPE INC      COMMON   92849E101        213        5691 Shares              X                        1        5691      0       0
VITAMIN
 SHOPPE INC      COMMON   92849E101       2629       70220 Shares              X                        3        5247      0       0
VMWARE INC       COMMON   928563402         24         300 Shares              X                        1         300      0       0
VODAFONE
 GROUP PLC -
 SP ADR          COMMON   92857W209        668       26032 Shares              X                        1       25854      0     178
VODAFONE
 GROUP PLC -
 SP ADR          COMMON   92857W209        190        7396 Shares                       X               1        7235      0     161
VODAFONE
 GROUP PLC -
 SP ADR          COMMON   92857W209         31        1200 Shares                       X               4        1200      0       0
VOCUS INC        COMMON   92858J108         29        1711 Shares              X                        1        1711      0       0
VOCUS INC        COMMON   92858J108       1031       61500 Shares              X                        3        1031      0       0
VOLCANO CORP     COMMON   928645100         30        1000 Shares              X                        1        1000      0       0
VOLCANO CORP     COMMON   928645100       1081       36500 Shares              X                        3        1081      0       0
VULCAN
 MATERIAL COM    COMMON   929160109         99        3591 Shares              X                        1        3591      0       0
VULCAN
 MATERIAL COM    COMMON   929160109         14         518 Shares                       X               1         518      0       0
WD 40 CO COM     COMMON   929236107         16         400 Shares              X                        1         400      0       0
WD 40 CO COM     COMMON   929236107          8         200 Shares                       X               1         200      0       0
WGL HLDGS INC
 COM             COMMON   92924F106         27         700 Shares              X                        1         700      0       0
WGL HLDGS INC
 COM             COMMON   92924F106         16         400 Shares                       X               1         400      0       0
WGL HLDGS INC
 COM             COMMON   92924F106         60        1530 Shares              X                        3        1530      0       0
W P CAREY &
 CO LLC          COMMON   92930Y107         13         350 Shares              X                        1           0      0       0
WABASH
 NATIONAL
 CORPORATION     COMMON   929566107         56       11775 Shares              X                        1       11775      0       0
WABASH
 NATIONAL
 CORPORATION     COMMON   929566107       2056      431000 Shares              X                        3        2056      0       0
WADDELL &
 REED FINL
 INC CL A        COMMON   930059100         30        1200 Shares              X                        1        1200      0       0
WADDELL &
 REED FINL
 INC CL A        COMMON   930059100       1251       50000 Shares              X                        3        1251      0       0
WAL MART
 STORES INC
 COM             COMMON   931142103      11215      216089 Shares              X                        1      213273      0    2816
WAL MART
 STORES INC
 COM             COMMON   931142103       3493       67305 Shares                       X               1       61811      0    5494
WAL MART
 STORES INC
 COM             COMMON   931142103       2103       40177 Shares              X                        3       21497      0    3036
WALGREEN CO      COMMON   931422109        371       11288 Shares              X                        1       11288      0       0
WALGREEN CO      COMMON   931422109        258        7855 Shares                       X               1        7785      0      70
WALGREEN CO      COMMON   931422109        277        7881 Shares              X                        3        7881      0       0
WALTER ENERGY
 INC             COMMON   93317Q105        190        3166 Shares              X                        1        3166      0       0
WALTER ENERGY
 INC             COMMON   93317Q105       2354       39230 Shares              X                        3        3792      0       0
WASHINGTON
 REAL ESTATE
 INVT (REIT)     COMMON   939653101          6         200 Shares              X                        1           0      0       0
WASHINGTON
 REAL ESTATE
 INVT (REIT)     COMMON   939653101         14         500 Shares                       X               1           0      0       0
WASTE
 CONNECTIONS
 INC             COMMON   941053100        247        7290 Shares              X                        1        7290      0       0
WASTE
 CONNECTIONS
 INC             COMMON   941053100       3031       89635 Shares              X                        3        6403      0       0
WASTE
 MANAGEMENT
 INC             COMMON   94106L109         73        2250 Shares              X                        1        2250      0       0
WASTE
 MANAGEMENT
 INC             COMMON   94106L109        175        5385 Shares                       X               1        2085      0    3300
WATERS CORP
 COM             COMMON   941848103        199        2632 Shares              X                        1        2632      0       0
WATSON
 PHARMACEUTICALS
 INC COM         COMMON   942683103        104        1526 Shares                       X               1         763    763       0
WEINGARTEN
 REALTY
 INVESTORS
 (REIT)          COMMON   948741103         28        1300 Shares              X                        1           0      0       0
WEIS MARKETS
 INC             COMMON   948849104         43        1150 Shares              X                        1         900      0     250
WELLPOINT INC    COMMON   94973V107         36         550 Shares              X                        1         550      0       0
WELLS FARGO &
 CO              COMMON   949746101       9291      385197 Shares              X                        1      382878      0    2319
WELLS FARGO &
 CO              COMMON   949746101       2344       97197 Shares                       X               1       92790      0    4407
WELLS FARGO &
 CO              COMMON   949746101        367     14868.1 Shares              X                        3     10034.1      0    4834
WELLS FARGO &
 CO              COMMON   949746101         48        2000 Shares                       X               4        2000      0       0
WELLS FARGO &
 CO
 WARRANTS
 10/28/18        COMMON   949746119        576       74850 Shares              X                        1           0      0   74850
WELLS FARGO
 PFD CONV
 7.50% SER L     COMMON   949746804        464         450 Shares              X                        1           0      0       0


                                    31 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
WELLS FARGO
 PFD CONV
 7.50% SER L     COMMON   949746804         52          50 Shares                       X               1           0      0       0
WELLS FARGO
 ADVANTAGE
 INCOME          COMMON   94987B105         47        5035 Shares              X                        1           0      0       0
WELLS FARGO
 ADV GLOBAL
 DIV OPP FD      COMMON   94987C103          8        1000 Shares              X                        1           0      0       0
WELLS FARGO
 ADVANTAGE
 MULTI-SECTOR    COMMON   94987D101          0          15 Shares              X                        1           0      0       0
WENDY'S CO/THE   COMMON   95058W100         62       13600 Shares              X                        1       13600      0       0
WESTERN ASSET
 EMERGING
 MARKETS         COMMON   95766A101          5         250 Shares              X                        1           0      0       0
WESTERN ASSET
 EMERGING
 MARKETS         COMMON   95766A101         11         600 Shares                       X               1           0      0       0
WESTN DIGITAL
 CORP            COMMON   958102105         13         500 Shares              X                        1         500      0       0
WESTERN UNION
 COMPANY         COMMON   959802109        123        8012 Shares              X                        1        8012      0       0
WESTERN UNION
 COMPANY         COMMON   959802109         98        6377 Shares                       X               1        6377      0       0
WEYERHAEUSER
 CO COM          COMMON   962166104         64        4084 Shares              X                        1        4084      0       0
WEYERHAEUSER
 CO COM          COMMON   962166104        125        8014 Shares                       X               1        5915      0    2099
WHIRLPOOL
 CORP COM        COMMON   963320106         13         254 Shares                       X               1         254      0       0
WHITESTONE
 REIT-B          COMMON   966084204         22        2000 Shares              X                        1           0      0       0
WHITING
 PETROLEUM
 CORPORATION     COMMON   966387102        119        3383 Shares              X                        1        3383      0       0
WHITING
 PETROLEUM
 CORPORATION     COMMON   966387102       1675       47760 Shares              X                        3        3470      0       0
WHOLE FOODS
 MKT INC COM     COMMON   966837106        366        5598 Shares              X                        1        5598      0       0
WHOLE FOODS
 MKT INC COM     COMMON   966837106        825       12636 Shares              X                        3        1139      0       0
WILLIAMS
 COMPANY INC
 (THE)           COMMON   969457100          9         374 Shares              X                        1         374      0       0
WILLIAMS
 COMPANY INC
 (THE)           COMMON   969457100         29        1200 Shares                       X               1           0      0    1200
WINDSTREAM
 CORP            COMMON   97381W104         94        8043 Shares              X                        1        7935      0     108
WINDSTREAM
 CORP            COMMON   97381W104         74        6354 Shares                       X               1        6054      0     300
WISCONSIN
 ENERGY CORP
 COM             COMMON   976657106        186        5950 Shares              X                        1        5950      0       0
WISCONSIN
 ENERGY CORP
 COM             COMMON   976657106         99        3150 Shares                       X               1        3150      0       0
WISDOMTREE
 INTL REAL ES
 FD              COMMON   97717W331        133        6015 Shares              X                        1           0      0       0
WISDOMTREE
 JAPAN S/C
 DVD FUND        COMMON   97717W836         44        1000 Shares                       X               1           0      0       0
WISDOMTREE
 MIDDLE EAST
 DIVID FD        COMMON   97717X305         14        1000 Shares              X                        1           0      0       0
WORLD FUEL
 SERVICES
 CORPORATION     COMMON   981475106         90        2750 Shares              X                        1        2750      0       0
WORTHINGTON
 INDS INC COM    COMMON   981811102        182       13000 Shares                       X               1           0      0   13000
WRIGHT
 EXPRESS CORP    COMMON   98233Q105         33         875 Shares              X                        1         875      0       0
WRIGHT
 EXPRESS CORP    COMMON   98233Q105       1293       34000 Shares              X                        3        1293      0       0
WYNDHAM
 WORLDWIDE
 CORP            COMMON   98310W108          9         300 Shares              X                        1         300      0       0
WYNDHAM
 WORLDWIDE
 CORP            COMMON   98310W108          9         333 Shares                       X               1         333      0       0
WYNN RESORTS
 LIMITED         COMMON   983134107         12         100 Shares              X                        1         100      0       0
XCEL ENERGY
 INC COM         COMMON   98389B100         47        1900 Shares              X                        1        1900      0       0
XCEL ENERGY
 INC COM         COMMON   98389B100        209        8464 Shares                       X               1        8464      0       0
XILINX COM       COMMON   983919101          3         126 Shares              X                        1         126      0       0
XEROX CORP       COMMON   984121103         24        3375 Shares              X                        1        3375      0       0
XEROX CORP       COMMON   984121103         14        2000 Shares                       X               1        2000      0       0
XFONE INC        COMMON   98414Y109          0         275 Shares              X                        1         275      0       0
YAHOO INC COM    COMMON   984332106         13         970 Shares              X                        1         970      0       0
YAHOO INC COM    COMMON   984332106         13        1000 Shares                       X               1        1000      0       0
YAHOO INC COM    COMMON   984332106         12         850 Shares              X                        3         850      0       0
YAMANA GOLD
 INC             COMMON   98462Y100          1          50 Shares                       X               1           0      0      50
YORK WATER
 COMPANY         COMMON   987184108       1062       65626 Shares              X                        1       65626      0       0
YORK WATER
 COMPANY         COMMON   987184108       1237       76452 Shares                       X               1       76202      0     250
YUM! BRANDS
 INC             COMMON   988498101        858       17372 Shares              X                        1       11427      0    5945
YUM! BRANDS
 INC             COMMON   988498101        532       10770 Shares                       X               1        8570      0    2200
ZIMMER HLDGS
 INC COM         COMMON   98956P102        629       11768 Shares              X                        1       10918      0     850
ZIMMER HLDGS
 INC COM         COMMON   98956P102        390        7294 Shares                       X               1        6244      0    1050
ZIMMER HLDGS
 INC COM         COMMON   98956P102        104        1836 Shares              X                        3        1836      0       0
ZIONS
 BANCORPORATION
 COM             COMMON   989701107         26        1820 Shares              X                        1        1820      0       0
ZIONS
 BANCORPORATION
 COM             COMMON   989701107          9         625 Shares                       X               1         625      0       0
ZIONS
 BANCORPORATION
 COM             COMMON   989701107          9         525 Shares              X                        3         525      0       0
ZUMIEZ INC       COMMON   989817101         18        1050 Shares              X                        1        1050      0       0
ZUMIEZ INC       COMMON   989817101        700       40000 Shares              X                        3         700      0       0
DEUTSCHE BANK
 AG-REG          COMMON   D18190898          4         124 Shares              X                        1         124      0       0
AMDOCS LIMITED   COMMON   G02602103         10         375 Shares              X                        1         375      0       0
ENERGY XXI       COMMON
 LIMITED         STOCK(BM)G10082140         37        1725 Shares              X                        1        1725      0       0
ENERGY XXI       COMMON
 LIMITED         STOCK(BM)G10082140       1351       63000 Shares              X                        3        1351      0       0
ACCENTURE
 PLC- CL A       COMMON   G1151C101        435        8255 Shares              X                        1        8155      0     100
ACCENTURE
 PLC- CL A       COMMON   G1151C101        519        9860 Shares                       X               1        9725      0     135
CHINA YUCHAI
 INTERNATIONAL
 LTD             COMMON   G21082105         20        1400 Shares              X                        1        1400      0       0
COOPER
 INDUSTRIES
 PLC CL A        COMMON   G24140108         46        1000 Shares              X                        1        1000      0       0
COVIDIEN PLC     COMMON   G2554F113        102        2322 Shares              X                        1        2247      0      75
COVIDIEN PLC     COMMON   G2554F113         91        2069 Shares                       X               1        1266      0     803
EVEREST RE
 GROUP LTD COM   COMMON   G3223R108         14         174 Shares              X                        1         174      0       0


                                    32 of 33




                                        SEC USE _______________________________


                 COLUMN 2  COLUMN 3  COLUMN 4              COLUMN 5              COLUMN 6        COLUMN 7         COLUMN 8
                                                                           INVESTMENT AUTHORITY
                                      VALUE     SHARES OR            PUT  ----------------------               VOTING AUTHORITY
                 TITLE OF           ----------  PRINCIAL   SHARES OR OR        SHARED - SHARED -  OTHER   --------------------------
  NAME OF ISSUER  CLASS     CUSIP   (X $1,000)   AMOUNT    PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS     SOLE    SHARED  OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
HERBALIFE LTD    COMMON   G4412G101        342        6386 Shares              X                        1        6386      0       0
HERBALIFE LTD    COMMON   G4412G101       4062       75780 Shares              X                        3        6882      0       0
INGERSOLL-RAND
 PUBLIC LTD CO   COMMON   G47791101         22         788 Shares              X                        1         788      0       0
INGERSOLL-RAND
 PUBLIC LTD CO   COMMON   G47791101        131        4670 Shares                       X               1        4670      0       0
INVESCO
 LIMITED         COMMON   G491BT108          2         141 Shares              X                        1         141      0       0
MARVEL
 TECHNOLOGY
 GROUP LTD       COMMON   G5876H105          3         200 Shares                       X               1         200      0       0
NABORS
 INDUSTRIES
 LTD             COMMON   G6359F103        142       11610 Shares              X                        1       11610      0       0
NABORS
 INDUSTRIES
 LTD             COMMON   G6359F103        110        8955 Shares                       X               1        8955      0       0
SEADRILL LTD     COMMON   G7945E105          6         226 Shares              X                        1         226      0       0
VALIDUS
 HOLDINGS LTD    COMMON   G9319H102          1          60 Shares              X                        1          60      0       0
GOLAR LNG LTD    COMMON   G9456A100         63        1987 Shares              X                        1        1987      0       0
GOLAR LNG LTD    COMMON   G9456A100       2234       70300 Shares              X                        3        2234      0       0
WHITE
 MOUNTAINS
 INSURANCE
 GROUP LTD       COMMON   G9618E107       1763        4344 Shares              X                        1        4296      0      48
WHITE
 MOUNTAINS
 INSURANCE
 GROUP LTD       COMMON   G9618E107        118         292 Shares                       X               1         292      0       0
WHITE
 MOUNTAINS
 INSURANCE
 GROUP LTD       COMMON   G9618E107          3           8 Shares              X                        3           8      0       0
XL GROUP PLC     COMMON   G98290102          4         229 Shares              X                        1         229      0       0
XL GROUP PLC     COMMON   G98290102          6         300 Shares                       X               1         300      0       0
ACE LTD          COMMON   H0023R105       2988       49306 Shares              X                        1       48980      0     326
ACE LTD          COMMON   H0023R105        373        6163 Shares                       X               1        5751      0     412
ACE LTD          COMMON   H0023R105        905       14493 Shares              X                        3       12043      0    2450
WEATHERFORD
 INTL LTD
 SWITZERLAND     COMMON   H27013103        820       67135 Shares              X                        1       67135      0       0
WEATHERFORD
 INTL LTD
 SWITZERLAND     COMMON   H27013103         82        6704 Shares                       X               1        6704      0       0
WEATHERFORD
 INTL LTD
 SWITZERLAND     COMMON   H27013103       1378      112903 Shares              X                        3        4246      0       0
FOSTER
 WHEELER AG      COMMON   H27178104        263       14811 Shares              X                        1       14811      0       0
FOSTER
 WHEELER AG      COMMON   H27178104         47        2645 Shares                       X               1        2645      0       0
FOSTER
 WHEELER AG      COMMON   H27178104         92        3750 Shares              X                        3        3750      0       0
NOBLE
 CORPORATION     COMMON   H5833N103        132        4500 Shares              X                        1        4500      0       0
NOBLE
 CORPORATION     COMMON   H5833N103         19         650 Shares                       X               1         650      0       0
TE
 CONNECTIVITY
 LTD             COMMON   H84989104         43        1516 Shares              X                        1        1516      0       0
TE
 CONNECTIVITY
 LTD             COMMON   H84989104         30        1077 Shares                       X               1        1077      0       0
TRANSOCEAN
 LIMITED         COMMON   H8817H100       2930       61378 Shares              X                        1       60263      0    1115
TRANSOCEAN
 LIMITED         COMMON   H8817H100        419        8777 Shares                       X               1        6441      0    2336
TRANSOCEAN
 LIMITED         COMMON   H8817H100        833       15895 Shares              X                        3       13359      0    2536
TYCO
 INTERNATIONAL
 LTD             COMMON   H89128104         62        1530 Shares              X                        1        1530      0       0
TYCO
 INTERNATIONAL
 LTD             COMMON   H89128104         69        1686 Shares                       X               1         883      0     803
UBS AG           COMMON   H89231338         10         906 Shares              X                        1         906      0       0
UBS AG           COMMON   H89231338          5         450 Shares                       X               1         450      0       0
ALLOT
 COMMUNICATIONS  COMMON   M0854Q105         34        3450 Shares              X                        1        3450      0       0
ALLOT
 COMMUNICATIONS  COMMON   M0854Q105       1217      124800 Shares              X                        3        1217      0       0
CERAGON
 NETWORKS LTD    COMMON   M22013102          9         986 Shares              X                        1         986      0       0
SODASTREAM
 INTERNATIONAL
 LTD             COMMON   M9068E105         30         900 Shares              X                        1         900      0       0
SODASTREAM
 INTERNATIONAL
 LTD             COMMON   M9068E105       1107       33500 Shares              X                        3        1107      0       0
AERCAP
 HOLDINGS NV     COMMON   N00985106          5         500 Shares              X                        1         500      0       0
CORE
 LABORATORIES    COMMON   N22717107        270        3010 Shares              X                        1        3010      0       0
CORE
 LABORATORIES    COMMON   N22717107       3795       42240 Shares              X                        3        4878      0       0
SENSATA
 TECHNOLOGIES
 HLDG NV         COMMON   N7902X106          7         250 Shares              X                        1         250      0       0
                                    ---------- -----------                                                ----------- ------ -------
                                       2317729 70383081.25                                                39578609.25  11343 2896186


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