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

                                    FORM 13F

                               FORM 13F COVER PAGE

      Report for the Calendar Year or Quarter Ended:  March 31, 2004

      Check here if Amendment [X]; Amendment Number:  1

      This Amendment (Check only one):   [X] is a restatement

                                         [ ] adds new holdings entries.

      Institutional Investment Manager Filing this Report:

      Name:                     BancorpSouth, Inc.

      Address:                  One Mississippi Plaza
                                201 South Spring Street
                                Tupelo, MS  38804

      Form 13F File Number:     28-10453

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

      Person Signing this Report on Behalf of Reporting Manager:

      Name:  Cathy S. Freeman

      Title:  Senior Vice President and Corporate Secretary

      Phone:  (662) 680-2084

      Signature, Place, and Date of Signing:

      /s/ Cathy S. Freeman      Tupelo, Mississippi         November 15, 2004
      -----------------------------------------------------------------------
      Report Type (Check only one.):

      [X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager 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).)

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

      List of Other Managers Reporting for this Manager: None.




                              FORM 13F SUMMARY PAGE

      Report Summary:

      Number of Other Included Managers: 1

      Form 13F Information Table Entry Total: 689

      Form 13F Information Table Value Total: $11,226,844
                                              (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.



 No.                Form 13F File Number           Name
----                --------------------     -----------------
                                         
 1                        28-10939           BancorpSouth Bank



                           FORM 13F INFORMATION TABLE



                                                                                                                 VOTING AUTHORITY
                                       TITLE OF             VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   -----------------------
         NAME OF ISSUER                 CLASS      CUSIP   [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED    NONE
---------------------------------    ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   -----
                                                                                              
DAIMLERCHRYSLER AG                     ORD       D1668R123        2         49  SH       SOLE           1         49       0      0
ACE LIMITED                                      G0070K103       15        369  SH       SOLE           1        228       0    141
COOPER INDUSTRIES, LTD                 CL A      G24182100       10        180  SH       SOLE           1          0       0    180
FRONTLINE LDT F                                  G3682E127        2        100  SH       SOLE           1        100       0      0
INGSOLL-RAND CO                        CL A      G4776G101      482       7125  SH       SOLE           1       5760       0   1365
                                      BERMUDA
NOBLE CORP                                       G65422100       11        300  SH       SOLE           1        300       0      0
ROYAL CARIBBEAN CRUISES                          V7780T103        8        200  SH       SOLE           1        200       0      0
A F L A C INC                                    001055102       96       2400  SH       SOLE           1       2400       0      0
AGL RESOURCES, INC                               001204106       31       1090  SH       SOLE           1       1090       0      0
AES CORPORATION                                  00130H105        8       1000  SH       SOLE           1          0    1000      0
AT&T CORP                             COM NEW    001957505      110       5643  SH       SOLE           1       4798       0    845
AT&T CORP                             COM NEW    001957505        0         49  SH       DEFINED        1         49       0      0
AT&T WIRELESS SVCS INC                           00209A106       96       7055  SH       SOLE           1       6155       0    900
AT&T WIRELESS SVCS INC                           00209A106        1         80  SH       DEFINED        1         80       0      0
ABBOTT LAB                                       002824100     1080      26302  SH       SOLE           1      21874       0   4428
ABBOTT LAB                                       002824100      197       4800  SH       DEFINED        1        200    4000    600
ADAMS EXPRESS CO                        COM      006212104      122       9692  SH       SOLE           1       9692       0      0
ADAPTEC INC                                      00651F108        3        400  SH       SOLE           1        400       0      0
ADVANCED NEUROMODILATION SYS                     00757T101        2         80  SH       SOLE           1          0       0     80
ADVANCED MICRO DEVICES INC                       007903107        9        600  SH       SOLE           1        600       0      0
ADVANCED MICRO DEVICES INC                       007903107        3        200  SH       DEFINED        1        200       0      0
AETNA INC                               COM      00817Y108        8        100  SH       DEFINED        1          0       0    100
AGILENT TECHNOLOGIES, INC.                       00846U101       48       1525  SH       SOLE           1       1525       0      0
AGNICO EAGLE MINES                               008474108        7        500  SH       SOLE           1        500       0      0
AIR PRODS & CHEMS INC                   COM      009158106       16        334  SH       SOLE           1        168       0    166
AIRTRAN HLDGS INC                       COM      00949P108        3        255  SH       DEFINED        1        255       0      0
ALBERTSONS, INC                                  013104104       10        485  SH       SOLE           1          0       0    485
ALCOA INC                                        013817101      210       6083  SH       SOLE           1       4030       0   2053
ALCOA INC                                        013817101       18        520  SH       DEFINED        1        520       0      0
ALLIANCE CAP MGMT HLDG L P                       01855A101       73       2000  SH       DEFINED        1       2000       0      0
ALLIANCE GAMING CORP                             01859P609        5        170  SH       SOLE           1          0       0    170
ALLIED CAP CORP                       NEW COM    01903Q108        9        315  SH       SOLE           1        315       0      0
ALLSTATE CORP                         COMMON     020002101      646      14229  SH       SOLE           1      10800       0   3429
ALLSTATE CORP                         COMMON     020002101       33        734  SH       DEFINED        1        440       0    294
ALLTEL CORP                                      020039103      228       4590  SH       SOLE           1       4590       0      0
ALLTEL CORP                                      020039103      528      10600  SH       DEFINED        1      10600       0      0
ALTRIA GROUP INC                                 02209S103      896      16463  SH       SOLE           1      13426       0   3037
ALTRIA GROUP INC                                 02209S103       13        255  SH       DEFINED        1        255       0      0
AMERICAN EAGLE OUTFITTERS, INC                   02553E106        9        340  SH       SOLE           1        200       0    140
AMERICAN ELECTRIC POWER                          025537101      158       4803  SH       SOLE           1       1303       0   3500
AMER EXPRESS CO                                  025816109      196       3800  SH       SOLE           1       3800       0      0
AMERICAN INTERNATIONAL GROUP, INC                026874107      455       6382  SH       SOLE           1       4110       0   2272
AMERICAN INTERNATIONAL GROUP, INC                026874107       12        175  SH       DEFINED        1        175       0      0
AMERICREDIT CORP                        COM      03060R101        3        190  SH       DEFINED        1        190       0      0
AMERUS LIFE HOLDINGS                             03072M108       28        712  SH       SOLE           1        712       0      0
AMERISOURCEBERGEN CORP                           03073E105       18        345  SH       SOLE           1        214       0    131
AMETEK INC                                       031100100        8        320  SH       SOLE           1        190       0    130
AMGEN INC                                        031162100      342       5890  SH       SOLE           1       3966       0   1924
AMGEN INC                                        031162100       11        200  SH       DEFINED        1        200       0      0
AMSOUTH BANCORPORATION                           032165102     1398      59504  SH       SOLE           1      59504       0      0
ANADARKO PETE CORP                               032511107       75       1464  SH       DEFINED        1          0    1464      0
ANALOG DEVICES INC                      COM      032654105        4        100  SH       SOLE           1        100       0      0
ANHEUSER-BUSCH COMPANIES                         035229103      885      17354  SH       SOLE           1      15654       0   1700
ANHEUSER-BUSCH COMPANIES                         035229103      183       3600  SH       DEFINED        1       3600       0      0
APARTMENT INVT & MGMT CO               CL A      03748R101        9        305  SH       SOLE           1          0       0    305
APPLE COMP INC                                   037833100       86       3200  SH       DEFINED        1       3200       0      0
APPLIED MATERIALS INC                            038222105      114       5350  SH       SOLE           1       5350       0      0
AQUANTIVE INC                                    03839G105        2        280  SH       SOLE           1          0       0    280
ARCH COAL, INC                                   039380100       10        325  SH       SOLE           1        190       0    135
ARCHER-DANIELS-MIDLAND COMPANY                   039483102        4        279  SH       SOLE           1        279       0      0
ARVINMERITOR                                     043353101        0         44  SH       SOLE           1         44       0      0
ASTORIA FINANCIAL CORP                           046265104        4        130  SH       SOLE           1         75       0     55
ASYST TECHNOLOGIES INC                           04648X107        6        800  SH       SOLE           1        470       0    330
AUTO DATA PROCESS                                053015103      218       5200  SH       SOLE           1       5200       0      0
AUTO DATA PROCESS                                053015103       92       2200  SH       DEFINED        1       2200       0      0
AUTOZONE                                         053332102       17        200  SH       SOLE           1        200       0      0
AUTOZONE                                         053332102       45        530  SH       DEFINED        1        530       0      0
AVAYA INC                                        053499109        3        227  SH       SOLE           1        227       0      0
AVON PRODUCTS INC                       COM      054303102       53        700  SH       SOLE           1        700       0      0
AXA-UAP                                 ADR      054536107        4        236  SH       SOLE           1        236       0      0
BP AMOCO PLC SPONSORED                  ADR      055622104      463       9052  SH       SOLE           1       8977       0     75
BP AMOCO PLC SPONSORED                  ADR      055622104      195       3810  SH       DEFINED        1       3810       0      0
BMC SOFTWARE                                     055921100       15        785  SH       SOLE           1        486       0    299
BAKER HUGHES INC                        COM      057224107       18        506  SH       SOLE           1        506       0      0
BALDOR ELEC CO                          COM      057741100    32697    1423467  SH       DEFINED        1    1423467       0      0
BANCO BILBAO VIZCAYA SP                 ADR      05946K101        3        285  SH       SOLE           1        285       0      0
BANCORPSOUTH INC                                 059692103    20647     944095  SH       SOLE           1     943095       0   1000
BANCORPSOUTH INC                                 059692103     2927     133856  SH       DEFINED        1     130590    2592    674
BANK OF AMERICA CORP                  NEW COM    060505104      710       8772  SH       SOLE           1       6845       0   1927
BANK OF AMERICA CORP                  NEW COM    060505104       24        300  SH       DEFINED        1        300       0      0
BANK OF THE OZARKS, INC                          063904106     2539      92200  SH       DEFINED        1      92200       0      0
BANK OF NEW YORK                                 064057102      276       8790  SH       SOLE           1       5580       0   3210
BANK ONE CORP                           COM      06423A103      131       2420  SH       SOLE           1       2420       0      0






                                                                                                                VOTING AUTHORITY
                                       TITLE OF             VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   ----------------------
          NAME OF ISSUER                CLASS     CUSIP    [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED    NONE
----------------------------------   ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   ----
                                                                                              
BANK ONE CORP                           COM      06423A103       80       1482  SH       DEFINED        1          0    1482      0
BAXTER INTL INC                                  071813109      258       8360  SH       SOLE           1       6075       0   2285
BEAR STEARNS COS INC                             073902108      123       1412  SH       SOLE           1       1357       0     55
BED BATH & BEYOND                                075896100        8        200  SH       SOLE           1        200       0      0
BELLSOUTH CORP                                   079860102      825      29826  SH       SOLE           1      26283       0   3543
BELLSOUTH CORP                                   079860102       11        400  SH       DEFINED        1        400       0      0
BERKSHIRE HATHAWAY "A"                           084670108       93          1  SH       SOLE           1          1       0      0
BERKSHIRE HATHAWAY INC               DEL CL B    084670207        9          3  SH       DEFINED        1          3       0      0
BLACKROCK INVT QUALITY MUNI TR INC               09247D105       45       3000  SH       SOLE           1       3000       0      0
MF BLACKROCK INCOME TRUST                        09247F100       18       2400  SH       SOLE           1       2400       0      0
BLACKSTONE INVESTMENT                            09247J102       40       4155  SH       SOLE           1       4155       0      0
QUALITY TERM TRUST
BLOCK H & R INC                         COM      093671105       28        563  SH       SOLE           1        348       0    215
BOEING INC                                       097023105       49       1200  SH       SOLE           1        600       0    600
BRINKER INTL INC                                 109641100       15        414  SH       SOLE           1        238       0    176
BRINK'S COMPANY, INC                             109696104        4        180  SH       SOLE           1        105       0     75
BRISTOL MYERS SQUIBB CO                          110122108      475      19633  SH       SOLE           1      19198       0    435
BRISTOL MYERS SQUIBB CO                          110122108       48       2000  SH       DEFINED        1       2000       0      0
BROOKLINE BANCORP INC                            11373M107        1         84  SH       SOLE           1         50       0     34
BROWN TOM INC                           NEW      115660201        8        220  SH       SOLE           1        130       0     90
BURLINGTON NORTHERN/SANTA FE CORP                12189T104       10        330  SH       SOLE           1          0       0    330
CBRL GROUP INC                          COM      12489V106       40       1025  SH       SOLE           1        975       0     50
CIGNA CORPORATION                                125509109       21        360  SH       SOLE           1        225       0    135
CLECO CORP                              COM      12561W105       10        576  SH       SOLE           1        461       0    115
CSK AUTO CORP                                    125965103        7        430  SH       SOLE           1        250       0    180
CNET NETWORKS INC                                12613R104        1        118  SH       SOLE           1        118       0      0
CVS CORP DELAWARE                                126650100       15        434  SH       SOLE           1        269       0    165
CADBURY SCHWEPPES PLC                   ADR      127209302       38       1200  SH       SOLE           1       1200       0      0
CALLAWAY GOLF CO                                 131193104       13        710  SH       SOLE           1        300       0    410
CAMPBELL SOUP CO                        COM      134429109       10        400  SH       SOLE           1        400       0      0
CAPITAL ONE FINL CORP                   COM      14040H105      196       2600  SH       SOLE           1       2600       0      0
CARAUSTAR INDUSTRIES, INC                        140909102        7        615  SH       SOLE           1        363       0    252
CARDINAL HEALTH INC                     COM      14149Y108       13        200  SH       SOLE           1        200       0      0
CARNIVAL CORP                                    143658300       16        366  SH       SOLE           1        206       0    160
CATERPILLAR INC                                  149123101        7        100  SH       SOLE           1        100       0      0
CENDANT CORP                            COM      151313103       29       1226  SH       SOLE           1       1000       0    226
CENTERPOINT ENERGY INC                           15189T107        5        500  SH       SOLE           1          0       0    500
CENTURYTEL, INC                                  156700106       83       3040  SH       SOLE           1       3040       0      0
CHARTER COMMUNICATIONS INC           DEL CL A    16117M107        2        600  SH       SOLE           1        600       0      0
CHECKPOINT SYSTEMS                               162825103       18       1000  SH       SOLE           1       1000       0      0
CHEVRONTEXACO CORP                               166764100      892      10172  SH       SOLE           1       8588       0   1584
CHEVRONTEXACO CORP                               166764100      116       1327  SH       DEFINED        1       1327       0      0
CINERGY                                          172474108        3         75  SH       SOLE           1         75       0      0
CISCO SYS INC                                    17275R102      977      41498  SH       SOLE           1      35156    1650   4692
CISCO SYS INC                                    17275R102       36       1540  SH       DEFINED        1        940       0    600
CITIGROUP, INC                                   172967101     1013      19607  SH       SOLE           1      16691       0   2916
CITIGROUP, INC                                   172967101      419       8117  SH       DEFINED        1       8117       0      0
CITIZENS HOLDING COMPANY                         174715102     3656     158987  SH       SOLE           1     158987       0      0
CLEAR CHANNEL COMMUNICATIONS                     184502102        4        100  SH       SOLE           1        100       0      0
COCA COLA BOTTLING CO CONS              COM      191098102       18        370  SH       SOLE           1        370       0      0
COCA COLA CO                                     191216100     1253      24917  SH       SOLE           1      20437       0   4480
COCA COLA CO                                     191216100       70       1400  SH       DEFINED        1        400       0   1000
COCA COLA ENTERPRISES INC               COM      191219104       57       2400  SH       SOLE           1       2400       0      0
COLGATE-PALMOLIVE CO                             194162103      226       4112  SH       SOLE           1       4112       0      0
COLGATE-PALMOLIVE CO                             194162103       11        200  SH       DEFINED        1          0       0    200
COLONIAL BANCGROUP INC                           195493309        4        240  SH       SOLE           1        140       0    100
COLUMBIA SPORTSWEAR CO                           198516106        4         75  SH       SOLE           1         45       0     30
COMCAST CORP                         NEW CL A    20030N101       28       1005  SH       SOLE           1       1005       0      0
                                                                           COM

COMMSCOPE INC                                    203372107       16       1000  SH       SOLE           1       1000       0      0
COMPUTER SCIENCES CORPORATION         COMMON     205363104        3         99  SH       DEFINED        1          0       0     99
COMSTOCK RES INC                        NEW      205768203        4        205  SH       SOLE           1          0       0    205
CONAGRA FOODS INC                       COM      205887102       11        415  SH       SOLE           1          0       0    415
CONAGRA FOODS INC                       COM      205887102        6        245  SH       DEFINED        1        245       0      0
CONEXANT SYS INC                        COM      207142100        1        176  SH       SOLE           1        176       0      0
CONOCO PHILLIPS                                  20825C104      401       5748  SH       SOLE           1       4451       0   1297
CONSECO INC                             NEW      208464883       13        586  SH       SOLE           1        363       0    223
CONSTELLATION ENERGY CORP                        210371100        5        150  SH       SOLE           1        150       0      0
COOPER TIRE & RUBBER CO                          216831107      325      16173  SH       SOLE           1      15083       0   1090
COOPER TIRE & RUBBER CO                          216831107        2        100  SH       DEFINED        1        100       0      0
CORRECTIONS CORP OF AMERICA                      22025Y407        5        145  SH       SOLE           1          0       0    145
COSTCO WHOLESALE CORP                            22160K105       24        640  SH       SOLE           1        445       0    195
CREDIT SUISSE GROUP                     ADR      225401108        4        134  SH       SOLE           1        134       0      0
CRESCENT REAL ESTATE EQUITIE            COM      225756105        6        345  SH       SOLE           1        200       0    145
CROSS COUNTRY HEALTHCARE, INC                    227483104        8        530  SH       SOLE           1        310       0    220
CYTYC CORPORATION                                232946103        6        295  SH       SOLE           1        175       0    120
DNP SELECT INCOME FD INC                         23325P104       12       1100  SH       SOLE           1       1100       0      0
DTE ENERGY CO                                    233331107       22        535  SH       SOLE           1          0       0    535
DANAHER CORP                          DEL COM    235851102      323       3465  SH       SOLE           1       2205       0   1260
DEERE & CO                                       244199105      103       1500  SH       SOLE           1       1500       0      0
DELL INC                                         24702R101      730      21737  SH       SOLE           1      18570       0   3167
DELPHI AUTO SYSTEMS                              247126105        2        250  SH       SOLE           1        250       0      0
DELTA & PINE LD CO                      COM      247357106       12        509  SH       SOLE           1        509       0      0
DELTIC TIMBER INC                                247850100      224       6324  SH       SOLE           1       6324       0      0
DELTIC TIMBER INC                                247850100    22894     645471  SH       DEFINED        1     242423  403048      0
DELUXE CORP                                      248019101       10        265  SH       SOLE           1          0       0    265
DEVON ENERGY CORP                     NEW COM    25179M103        4         82  SH       SOLE           1         82       0      0
DIAGEO P L C SPON                     ADR NEW    25243Q205        3         75  SH       SOLE           1         75       0      0
DIAMONDCLUSTER INTL INC                 COM      25278P106        1        200  SH       SOLE           1        200       0      0
DIAMONDS                                         252787106       10        105  SH       DEFINED        1        105       0      0
DIGENE CORP                                      253752109        3        105  SH       SOLE           1          0       0    105
WALT DISNEY CO                                   254687106      376      15092  SH       SOLE           1      10688       0   4404






                                                                                                                 VOTING AUTHORITY
                                       TITLE OF             VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   -----------------------
         NAME OF ISSUER                 CLASS     CUSIP    [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED    NONE
--------------------------------     ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   -----
                                                                                              
DOMINION RES INC VA                     NEW      25746U109        1         25  SH       SOLE           1         25       0      0
DOW CHEMICAL CO                                  260543103       84       2100  SH       SOLE           1       2100       0      0
DOW CHEMICAL CO                                  260543103       19        483  SH       DEFINED        1        483       0      0
DREYFUS STRATEGIC MUNICIPALS INC                 261932107       20       2086           SOLE           1       2086       0      0
DREYFUS MUNICIPAL INCOME INC                     26201R102       19       1832           SOLE           1       1832       0      0
DU PONT EI D NEMOURS & CO                        263534109      216       5120  SH       SOLE           1       3490       0   1630
DUKE ENERGY CORP                        COM      264399106       70       3114  SH       SOLE           1       3114       0      0
DUKE REALTY CORP                                 264411505       11        345  SH       SOLE           1          0       0    345
E-LOAN INC                                       26861P107        3       1000  SH       SOLE           1       1000       0      0
EMC CORP                                         268648102       54       4000  SH       SOLE           1       3650     350      0
EMC CORP                                         268648102       51       3800  SH       DEFINED        1       3800       0      0
ENI S P A SPONSORED                     ADR      26874R108       11        115  SH       SOLE           1          0       0    115
E TRADE FINANCIAL CORP                           269246104       53       4000  SH       SOLE           1       4000       0      0
EASTMAN KODAK CO                                 277461109       26       1000  SH       SOLE           1       1000       0      0
EASTMAN KODAK CO                                 277461109        6        234  SH       DEFINED        1        234       0      0
EATON CORP                              COM      278058102      398       7090  SH       SOLE           1       3170       0   3920
ECHOSTAR COMMUN                                  278762109       16        500  SH       SOLE           1        500       0      0
EDWARDS LIFESCIENCES CORP                        28176E108        7        240  SH       SOLE           1        240       0      0
EL PASO CORPORATION                              28336L109        1        166  SH       SOLE           1        166       0      0
ELAN CORP PLC                           ADR      284131208        2        100  SH       SOLE           1        100       0      0
ELECTRONIC DATA SYS CORP                NEW      285661104        7        400  SH       SOLE           1        400       0      0
ELECTRONIC DATA SYS CORP                NEW      285661104        5        280  SH       DEFINED        1        280       0      0
EMERSON ELECTRIC CO                              291011104      113       1900  SH       SOLE           1       1900       0      0
EMULEX NETWORK SYSTEMS                           292475209        7        345  SH       SOLE           1        200       0    145
ENCORE WIRE CORP                        COM      292562105      792      21300  SH       SOLE           1        900       0  20400
ENTERASYS NETWORKS INC                           293637104        0        200  SH       SOLE           1        200       0      0
ENTERGY CORP                                     29364G103      304       5116  SH       SOLE           1       2116       0   3000
ENTERGY CORP                                     29364G103       35        593  SH       DEFINED        1        593       0      0
EQUITY INNS, INC                                 294703103       13       1500  SH       DEFINED        1       1500       0      0
EQUITY RESIDENTIAL PPTYS SBI                     29476L107       13        436  SH       SOLE           1        436       0      0
ESTERLINE TECHNOLOGIES CORP                      297425100        7        310  SH       SOLE           1        185       0    125
EXXON MOBIL CORP                                 30231G102     5803     139540  SH       SOLE           1     134297       0   5243
EXXON MOBIL CORP                                 30231G102     1109      26676  SH       DEFINED        1      16476    4700   5500
FPL GROUP INC                                    302571104      356       5336  SH       SOLE           1       3445       0   1891
FSI INTERNATIONAL INC                            302633102        2        270  SH       SOLE           1          0       0    270
FAIR ISAAC & CO INC                              303250104        5        165  SH       SOLE           1          0       0    165
FED HMN LN MTG CORP                   VOTING     313400301       14        250  SH       SOLE           1        250       0      0
                                                                           COM

FNMA                                    COM      313586109      103       1394  SH       SOLE           1       1200       0    194
FEDERATED DEPT STORES INC                        31410H101        5         95  SH       SOLE           1          0       0     95
FEDEX CORPORATION                                31428X106      120       1600  SH       SOLE           1       1600       0      0
FIRST DATA CORP                         COM      319963104        3         91  SH       SOLE           1          0       0     91
FIRST INDL RLTY TR INC                           32054K103       17        450  SH       SOLE           1        450       0      0
FIRST M & F CORP                                 320744105       43       1293  SH       SOLE           1       1293       0      0
FIRST TENNESSEE NATIONAL CORP                    337162101       51       1082  SH       SOLE           1       1082       0      0
FIRSTMERIT CORP                                  337915102        3        130  SH       SOLE           1         75       0     55
FIRST ENERGY CORP                     COMMON     337932107       12        328  SH       SOLE           1        198       0    130
FLEET BOSTON CORP                                339030108       48       1087  SH       SOLE           1        976       0    111
FORD MOTOR COMPANY                    COMMON     345370860       27       2030  SH       SOLE           1       1260       0    770
FORD MOTOR COMPANY                    COMMON     345370860        9        700  SH       DEFINED        1        700       0      0
FOREST LABS                                      345838106       28        395  SH       SOLE           1        266       0    129
FORRESTER RESEARCH INC                           346563109        8        440  SH       SOLE           1        260       0    180
40/86 STRATEGIC INCOME FUND                      349739102        9        866  SH       SOLE           1        866       0      0
FUELCELL ENERGY INC                     COM      35952H106        2        200  SH       SOLE           1        200       0      0
FULTON FINANCIAL CORP -PA                        360271100        7        355  SH       SOLE           1        205       0    150
FURNITURE BRANDS INTL                            360921100        9        310  SH       SOLE           1        185       0    125
GSI COMMERCE INC                                 36238G102        0         29  SH       SOLE           1         29       0      0
GAP INC                                 DEL      364760108       35       1641  SH       SOLE           1       1500       0    141
                                                                           COM

GENERAL ELECTRIC CO                              369604103     2237      73297  SH       SOLE           1      72922       0    375
GENERAL ELECTRIC CO                              369604103      181       5940  SH       DEFINED        1       4740       0   1200
GENERAL MLS INC                         COM      370334104       14        320  SH       SOLE           1        320       0      0
GENERAL MLS INC                         COM      370334104        0         20  SH       DEFINED        1          0       0     20
GEN MTR CORP                                     370442105       51       1095  SH       SOLE           1        540       0    555
GENOME THERAPEUTICS CORP                COM      372430108        5       1000  SH       SOLE           1          0       0   1000
GEORGIA PAC CORP                                 373298108       43       1290  SH       SOLE           1       1290       0      0
GETTY IMAGES INC                                 374276103        6        115  SH       SOLE           1          0       0    115
GILLETTE CO                                      375766102      345       8846  SH       SOLE           1       6616       0   2230
GILLETTE CO                                      375766102      130       3335  SH       DEFINED        1       3335       0      0
GLAXO WELLCOME PLC SPONSORED            ADR      37733W105       35        882  SH       SOLE           1        314       0    568
GOLD FIELDS LTD SPONS                   ADR      38059T106        2        155  SH       SOLE           1        155       0      0
GOLDMAN SACHS GROUP                              38141G104       33        322  SH       SOLE           1        178       0    144
GOODYEAR TIRE & RUBBER                           382550101        4        526  SH       SOLE           1        526       0      0
GRAFTECH INTERNATIONAL INC                       384313102        4        270  SH       SOLE           1          0       0    270
GREAT LAKES CHEM CORP                   COM      390568103       42       1785  SH       DEFINED        1       1785       0      0
GREAT PLAINS ENERGY INC                          391164100       62       1855  SH       SOLE           1       1855       0      0
GUIDANT CORP                            COM      401698105      154       2444  SH       SOLE           1       2389       0     55
GUITAR CENTER INC                                402040109        5        140  SH       SOLE           1          0       0    140
HCA INC.                                         404119109       52       1297  SH       SOLE           1       1127       0    170
HCC INSURANCE HOLDINGS, INC                      404132102        8        265  SH       SOLE           1        155       0    110
HALLIBURTON CO                          COM      406216101      376      12388  SH       SOLE           1       8185       0   4203
HANCOCK FABRICS                                  409900107       25       1600  SH       SOLE           1       1600       0      0
HANCOCK HLDG CO CAP VALUE                        410120109      268       8690  SH       SOLE           1       8690       0      0
CEF HANCOCK JOHN PFD                             41013X106       10        400  SH       SOLE           1        400       0      0
HARLEY DAVIDSON INC                     COM      412822108       38        716  SH       SOLE           1        482       0    234
HARRIS CORP                                      413875105       67       1400  SH       SOLE           1       1400       0      0
HARTFORD FNCL SV GRP INC                COM      416515104        7        111  SH       SOLE           1          0       0    111
HARTFORD FNCL SV GRP INC                COM      416515104       12        200  SH       DEFINED        1        200       0      0
HASBRO, INC                                      418056107       17        787  SH       DEFINED        1        787       0      0
HEADWATERS INC                                   42210P102       11        460  SH       SOLE           1        270       0    190
HEINZ H J CO                            COM      423074103       10        273  SH       SOLE           1        273       0      0
HEWLETT PACKARD CO                               428236103      738      32325  SH       SOLE           1      25569       0   6756
HEWLETT PACKARD CO                               428236103        9        400  SH       DEFINED        1          0       0    400






                                                                                                                 VOTING AUTHORITY
                                      TITLE OF              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   -----------------------
          NAME OF ISSUER                CLASS      CUSIP   [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED    NONE
-------------------------            ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   -----
                                                                                              
HIBERNIA CORP                                    428656102     7097     302278  SH       SOLE           1     300378       0   1900
HIBERNIA CORP                                    428656102       21        900  SH       DEFINED        1        900       0      0
HIGH INCOME OPPORTUNITY FD                       42967Q105       17       2500  SH       SOLE           1       2500       0      0
HILB ROGAL & HAMILTON COMPANY                    431294107        6        177  SH       SOLE           1        102       0     75
HOME DEPOT                                       437076102      866      23183  SH       SOLE           1      20470       0   2713
HOME DEPOT                                       437076102       57       1532  SH       DEFINED        1       1532       0      0
HOMESTORE INC                           COM      437852106        0        180  SH       SOLE           1        180       0      0
HUBBELL INC                            CL B      443510201       40       1000  SH       SOLE           1          0       0   1000
HUDSON UNITED BANCORP                            444165104        3         80  SH       SOLE           1         45       0     35
ING PRIME RATE TR SH BEN INT                     44977W106      111      13907  SH       SOLE           1      13907       0      0
IKON OFFICE SOLUTIONS INC               COM      451713101        7        580  SH       DEFINED        1        580       0      0
ILLINOIS TOOL WORKS INC                          452308109        6         76  SH       SOLE           1         76       0      0
IMATION CORP                                     45245A107        9        245  SH       SOLE           1        145       0    100
IMPERIAL TOBACCO PLC SPON               ADR      453142101        3         90  SH       SOLE           1         90       0      0
ING GROEP N V                                    456837103       19        866  SH       SOLE           1        548       0    318
INPUT/OUTPUT INC                                 457652105       10       1346  SH       SOLE           1        783       0    563
INTERGRATED CIRCUIT SYSTEMS NEW,                 45811K208        4        180  SH       SOLE           1          0       0    180
INC

INTEGRATED DEVICE TECHNOLOGY                     458118106        3        225  SH       SOLE           1          0       0    225
INTEGRATED SILICON                               45812P107        8        480  SH       SOLE           1          0       0    480
INTEL CORP CAP                                   458140100     1598      58752  SH       SOLE           1      50389       0   8363
INTEL CORP CAP                                   458140100      102       3780  SH       DEFINED        1       2980       0    800
IBM CORP                                         459200101     1398      15227  SH       SOLE           1      11340       0   3887
IBM CORP                                         459200101       39        425  SH       DEFINED        1        425       0      0
INTL PAPER CO                                    460146103      373       8845  SH       SOLE           1       5844       0   3001
INTL PAPER CO                                    460146103       38        900  SH       DEFINED        1          0     900      0
INVESTORS FINANCIAL SERVICE CORP                 461915100        4        100  SH       SOLE           1          0       0    100
IONICS, INC                                      462218108        9        320  SH       SOLE           1        190       0    130
ITRON INC                                        465741106        3        170  SH       SOLE           1        100       0     70
JDS UNIPHASE CORP                       COM      46612J101        0        120  SH       SOLE           1        120       0      0
J P MORGAN CHASE & CO                            46625H100      448      10685  SH       SOLE           1       7822       0   2863
J P MORGAN CHASE & CO                            46625H100       62       1500  SH       DEFINED        1       1500       0      0
JANUS CAPITAL GROUP INC.                         47102X105        9        600  SH       SOLE           1        600       0      0
JEFFERSON PILOT CORPORATION                      475070108       11        215  SH       SOLE           1          0       0    215
JOHNSON & JOHNSON                                478160104     1941      38273  SH       SOLE           1      36607       0   1666
JOHNSON & JOHNSON                                478160104      432       8520  SH       DEFINED        1       4845    1200   2475
JOHNSON CONTROLS INC                             478366107      378       6403  SH       SOLE           1       4275       0   2128
JONES APPAREL GROUP INC                          480074103        5        145  SH       DEFINED        1        145       0      0
KLA TENCOR CORP                                  482480100        5        100  SH       SOLE           1        100       0      0
KERR-MCGEE CORPORATION INC                       492386107       11        220  SH       SOLE           1          0       0    220
KEYCORP                                 NEW      493267108       22        745  SH       SOLE           1          0       0    745
KEYSPAN CORP                            COM      49337W100       10        285  SH       SOLE           1          0       0    285
KIMBERLY-CLARK CORP                              494368103       24        385  SH       SOLE           1        200       0    185
KIMBERLY-CLARK CORP                              494368103       21        340  SH       DEFINED        1        340       0      0
KINDER MORGAN ENERGY PARTNERS, L.P.              494550106       10        232  SH       SOLE           1        232       0      0
KONINKLIJKE PHLPS ELECTRS N V SP      ADR NEW    500472303        7        242  SH       SOLE           1         95       0    147
KROGER CO                                        501044101      203      12218  SH       SOLE           1       8088       0   4130
KYOCERA CORP                                     501556203        4         52  SH       SOLE           1         52       0      0
LSI LOGIC CORP                          COM      502161102        3        400  SH       SOLE           1        400       0      0
LAFARGE SPONSORED                       ADR      505861401        3        180  SH       SOLE           1        180       0      0
ESTEE LAUDER CO                                  518439104       26        600  SH       DEFINED        1        600       0      0
LEHMAN BROTHERS HOLDINGS                COM      524908100      335       4045  SH       SOLE           1       2790       0   1255
LEVEL 3 COMMUNICATIONS INC                       52729N100       24       6037  SH       SOLE           1       6037       0      0
LEXMARK INTL                         NEW CL A    529771107      529       5753  SH       SOLE           1       3593       0   2160
THE LIBERTY CORPORATION                          530370105      111       2400  SH       SOLE           1       2400       0      0
ELI LILLY & CO                                   532457108      586       8765  SH       SOLE           1       7390       0   1375
ELI LILLY & CO                                   532457108      100       1500  SH       DEFINED        1       1500       0      0
LIMITED BRANDS, INC                              532716107       28       1425  SH       SOLE           1        515       0    910
LINCOLN NATIONAL CORP IND                        534187109       16        344  SH       SOLE           1          0       0    344
LIONBRIDGE TECHNOLOGIES INC                      536252109        3        405  SH       SOLE           1          0       0    405
LOCKHEED MARTIN CORP                             539830109        4        100  SH       SOLE           1        100       0      0
LOWES CO INC                                     548661107      246       4400  SH       SOLE           1       4400       0      0
LUCENT TECHNOLOGIES                              549463107       85      20705  SH       SOLE           1      19605       0   1100
LUCENT TECHNOLOGIES                              549463107        4       1000  SH       DEFINED        1       1000       0      0
M & T BANK CORP                                  55261F104      179       2000  SH       SOLE           1       2000       0      0
MFS INTER INCOME TR                  SH BEN INT  55273C107        6       1000  SH       SOLE           1       1000       0      0
MI DEVS INC                                      55304X104        7        250  SH       DEFINED        1        250       0      0
MSC INDL DIRECT CO A                             553530106        5        170  SH       SOLE           1          0       0    170
MAGELLAN MIDSTREAM PARTNERS LP                   559080106       10        200  SH       SOLE           1        200       0      0
MANDALAY RESORT GROUP                    COM     562567107        4         75  SH       DEFINED        1         75       0      0
MANULIFE FINANCIAL CORP                          56501R106     1384      37281  SH       SOLE           1      37281       0      0
MARATHON OIL CORP                                565849106       15        448  SH       SOLE           1          0       0    448
MARVEL ENTERPRISES, INC                          57383M108        8        427  SH       SOLE           1          0       0    427
MASCO CORPORATION                                574599106      238       7826  SH       SOLE           1       4920       0   2906
MATTELL INC                                      577081102       12        703  SH       SOLE           1        435       0    268
MAXIM INTEGRATED PRODUCTS INC                    57772K101       24        513  SH       SOLE           1        356       0    157
MAY DEPARTMENT STORES CO                         577778103       12        375  SH       SOLE           1          0       0    375
MAVERICK TUBE CORP                               577914104        3        165  SH       SOLE           1          0       0    165
MCDATA CORP                            CLASS A   580031201        0         73  SH       DEFINED        1         73       0      0
MCDONALD'S CORP                                  580135101      429      15042  SH       SOLE           1      10992       0   4050
MEADWESTVACO CORP                                583334107       43       1547  SH       SOLE           1       1547       0      0
MEDCO HEALTH SOLUTIONS INC                       58405U102       23        687  SH       SOLE           1        553       0    134
MEDICINES COMPANY                                584688105        5        175  SH       SOLE           1          0       0    175
MEDIMMUNE INC                            COM     584699102       14        639  SH       SOLE           1        639       0      0
MEDTRONIC INC                            COM     585055106       17        360  SH       SOLE           1        360       0      0
MELLON FINL CORP                                 58551A108       25        800  SH       SOLE           1        800       0      0
MERCK & CO INC                                   589331107     1310      29665  SH       SOLE           1      26490       0   3175
MERCK & CO INC                                   589331107       55       1250  SH       DEFINED        1       1250       0      0
MERISTAR HOSPITALITY CORP                        58984Y103        4        670  SH       SOLE           1        395       0    275
MERRILL LYNCH & CO, INC                          590188108       19        320  SH       SOLE           1        320       0      0
METLIFE INC                              COM     59156R108       90       2529  SH       SOLE           1       2529       0      0






                                                                                                                 VOTING AUTHORITY
                                      TITLE OF              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   -----------------------
          NAME OF ISSUER                CLASS      CUSIP   [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED    NONE
-------------------------            ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   -----
                                                                                              
METLIFE INC                              COM     59156R108        6        170  SH       DEFINED        1        170       0      0
MICROSOFT CORP                                   594918104      631      25313  SH       SOLE           1      24614       0    699
MICROSOFT CORP                                   594918104       26       1060  SH       DEFINED        1        260       0    800
MICROSTRATEGY INC                      CLASS A   594972408        3         75  SH       SOLE           1          0       0     75
MID-AMERICA APARTMENT CMNTYS                     59522J103       37       1000  SH       DEFINED        1       1000       0      0
MIDAS GROUP INC                                  595626102       12        666  SH       SOLE           1        666       0      0
MILLER HERMAN INC                        COM     600544100       71       2705  SH       SOLE           1       2645       0     60
MINDSPEED TECNOLOGIES                            602682106        0         58  SH       SOLE           1         58       0      0
MITSUBISHI TOKYO FNCL GROUP INC          ADR     606816106        4        475  SH       SOLE           1        475       0      0
SPND

MONSANTO CO.                            (NEW)    61166W101        6        187  SH       SOLE           1        187       0      0
MONSANTO CO.                            (NEW)    61166W101        5        150  SH       DEFINED        1        150       0      0
MOODYS CORP                                      615369105       51        725  SH       SOLE           1        602       0    123
MORGAN STANLEY DEAN WITTER                       617446448      471       8232  SH       SOLE           1       6588       0   1644
DISCOVER & CO
MORGAN STANLEY DEAN WITTER                       617446448       14        260  SH       DEFINED        1        260       0      0
DISCOVER & CO
MOTOROLA INC                                     620076109      173       9868  SH       SOLE           1       9028       0    840
MOTOROLA INC                                     620076109       10        600  SH       DEFINED        1        300       0    300
MUNICIPAL MORTGAGE & EQUITY LLC -                62624B101      102       4000  SH       SOLE           1       4000       0      0
GROWTH SH
MUNIVEST FD INC                          COM     626295109       48       5000           SOLE           1       5000       0      0
MURPHY OIL CORP                          COM     626717102     4536      72043  SH       SOLE           1      72043       0      0
MURPHY OIL CORP                          COM     626717102   292829    4650306  SH       DEFINED        1    2068366 2581940      0
MYLAN LABORATORIES INC                           628530107       43       1908  SH       SOLE           1       1908       0      0
NASDAQ 100 TRUST                                 631100104        7        200  SH       SOLE           1        200       0      0
NATIONAL COMM FINL CORP                          63545P104       74       2600  SH       SOLE           1       2600       0      0
NEIGHBORCARE INC                                 64015Y104        4        190  SH       SOLE           1          0       0    190
NEWPORT INC                                      651824104        3        215  SH       SOLE           1          0       0    215
NEWS CORP LTD                            ADR     652487703        3        100  SH       SOLE           1          0       0    100
NICOR INC                                COM     654086107       15        450  SH       SOLE           1        450       0      0
NIKE INC                               CLASS B   654106103       54        700  SH       SOLE           1        700       0      0
NIPPON TEL & TEL SPON                    ADR     654624105        4        155  SH       SOLE           1        155       0      0
NOKIA CORP SPND                          ADR     654902204       56       2786  SH       SOLE           1       2408       0    378
NOBLE ENERGY INC                                 655044105       47       1000  SH       SOLE           1       1000       0      0
NOMURA HOLDINGS INC                      ADR     65535H208        4        270  SH       SOLE           1        270       0      0
NORFOLK SO CORP                                  655844108       31       1434  SH       SOLE           1       1434       0      0
NORTEL NETWORK CORP                      NEW     656568102       29       5000  SH       SOLE           1       5000       0      0
NORTHERN TRUST COMPANY                  NTRS     665859104       82       1780  SH       SOLE           1       1780       0      0
NORTHERN TRUST COMPANY                  NTRS     665859104      167       3600  SH       DEFINED        1       3600       0      0
NORTHRUP GRUMMAN                                 666807102        3         33  SH       SOLE           1          0       0     33
NORTHWESTERN CORPORATION                         668074107        0        330  SH       SOLE           1        330       0      0
NOVARTIS AG SPONSORED                    ADR     66987V109        3         80  SH       SOLE           1         80       0      0
NOVEN PHARMACEUTICALS                            670009109        4        215  SH       SOLE           1          0       0    215
NU SKIN ENTERPRISES INC                CLASS A   67018T105       10        497  SH       SOLE           1        293       0    204
NUVEEN INSD PREMIUM INCOME MUNI FD               6706D8104        5        388           SOLE           1        338       0      0
NUVEEN MUNICIPAL MARKET OPP                      67062W103       53       3529           SOLE           1       3529       0      0
OKLAHOMA GAS & ELEC ENERGY CORP                  670837103       26       1000  SH       SOLE           1       1000       0      0
NUVEEN QUALITY INCOME MUNI                       670977107        7        500  SH       SOLE           1        500       0      0
NUVEEN PREMIER MUNICIPAL INC                     670988104       24       1565  SH       SOLE           1       1565       0      0
OSI PHARMACEUTICALS INC                  COM     671040103        0          5  SH       SOLE           1          5       0      0
OCCIDENTAL PETE COR                      DEL     674599105       33        735  SH       SOLE           1        500       0    235
OCWEN FINANCIAL CORP                             675746101        7        781  SH       SOLE           1        462       0    319
OHIO CASUALTY CORP                               677240103        7        385  SH       SOLE           1        225       0    160
OLIN CORP                                        680665205        2        166  SH       DEFINED        1        166       0      0
OMNICOM GROUP                                    681919106       24        300  SH       SOLE           1        300       0      0
OMNIVISION TECHNOLOGIES                          682128103        3        140  SH       SOLE           1          0       0    140
ORACLE SYSTEMS CORP                              68389X105      167      13950  SH       SOLE           1       9320       0   4630
PPG INDUSTRIES INC                               693506107       38        659  SH       SOLE           1        600       0     59
PACIFIC CAPITAL BANCORP                          69404P101        5        131  SH       SOLE           1         76       0     55
PACTIV COPR                                      695257105       36       1649  SH       SOLE           1       1396       0    253
PATTERSON UTI ENERGY INC                         703481101        3        105  SH       SOLE           1          0       0    105
PAYCHEX INC                                      704326107        5        150  SH       SOLE           1        150       0      0
PCCW LTD SONSORED                        ADR     70454G207        3        494  SH       DEFINED        1        494       0      0
PENTAIR INC                                      709631105        9        165  SH       SOLE           1        105       0     60
PEOPLES ENERGY CORP                      COM     711030106       22        500  SH       DEFINED        1        500       0      0
PEOPLES HLDG CO                          COM     711148106       43       1300  SH       SOLE           1       1300       0      0
PEPCO HLDGS INC                                  713291102        6        327  SH       SOLE           1        327       0      0
PEPSIAMERICAS INC                                71343P200       81       4000  SH       SOLE           1       4000       0      0
PEPSICO INC                              COM     713448108     1627      30221  SH       SOLE           1      29956       0    265
PEPSICO INC                              COM     713448108      114       2130  SH       DEFINED        1        430    1100    600
PETSMART INC                                     716768106        8        305  SH       SOLE           1          0       0    305
PFIZER INC                                       717081103     1591      45419  SH       SOLE           1      44703       0    716
PFIZER INC                                       717081103      189       5417  SH       DEFINED        1       3817       0   1600
PHARMACEUTICAL RES INC                           717125108        6        110  SH       SOLE           1          0       0    110
THE PHOENIX COMPANIES                            71902E109       14       1051  SH       SOLE           1       1051       0      0
PITNEY BOWES INC                         COM     724479100       14        330  SH       SOLE           1        220       0    110
PLACER DOME INC                                  725906101        3        170  SH       SOLE           1        170       0      0
PLUM CREEK TIMBER CO INC                         729251108        9        285  SH       DEFINED        1        285       0      0
POPE & TALBOT INC DELAWARE                       732827100        5        343  SH       SOLE           1        203       0    140
PORTFOLIO RECOVERY ASSOCIATES INC                73640Q105        2         95  SH       SOLE           1          0       0     95
POTLATCH CORP                            COM     737628107        6        150  SH       SOLE           1        150       0      0
POWER TECHNOLOGIES                               739363109        8       1140  SH       SOLE           1        665       0    475
PRAXAIR INC                              COM     74005P104       22        600  SH       DEFINED        1        600       0      0
PRINCIPAL FINANCIAL GROUP                        74251V102       43       1221  SH       SOLE           1       1221       0      0
PRIORITY HEALTHCARE INC                 CL B     74264T102        3        165  SH       SOLE           1          0       0    165
PROCTER & GAMBLE CO                      COM     742718109     1461      13936  SH       SOLE           1      12616       0   1320
PROCTER & GAMBLE CO                      COM     742718109      146       1400  SH       DEFINED        1       1400       0      0
PROGRESS ENERGY INC                      COM     743263105       10        232  SH       SOLE           1        232       0      0
PRUDENTIAL FINANCIAL                             744320102      180       4024  SH       SOLE           1       4024       0      0
PUBLIC SVC ENTERPRISE GROUP INC                  744573106        5        110  SH       SOLE           1          0       0    110






                                                                                                                 VOTING AUTHORITY
                                      TITLE OF              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   -----------------------
          NAME OF ISSUER                CLASS      CUSIP   [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED    NONE
-------------------------            ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   -----
                                                                                              
PUBLIC STORAGE, INC REIT                         74460D109        8        180  SH       SOLE           1        180       0      0
PUTNAM MANAGED MUNICIPAL INCOME                  746823103        3        500           DEFINED        1          0       0    500
TRUST

PUTNAM MASTER INTER INC R                        746909100        7       1150  SH       SOLE           1       1150       0      0
QLOGIC CORP                              COM     747277101       34       1053  SH       SOLE           1       1053       0      0
QUALCOMM INC                                     747525103       13        200  SH       SOLE           1        200       0      0
QUANTA SERVICES, INC                             74762E102        8       1225  SH       SOLE           1        730       0    495
QWEST COMMUNICATIONS INTL INC            COM     749121109        8       1865  SH       SOLE           1       1865       0      0
CEF RMK HIGH INCOME FUND                         74963B105       16       1008  SH       SOLE           1       1008       0      0
RADISYS CORP                                     750459109        3        185  SH       SOLE           1          0       0    185
RALCORP HOLDINGS                       NEW COM   751028101        2         66  SH       DEFINED        1          0       0     66
RAYOVAC CORP                                     755081106        9        315  SH       SOLE           1        185       0    130
RAYTHEON CO                              NEW     755111507      205       6570  SH       SOLE           1       4469       0   2101
RAYTHEON CO                              NEW     755111507        3        110  SH       DEFINED        1        110       0      0
REGIONS FNCL CORP                                758940100      631      17300  SH       SOLE           1      16100       0   1200
REGIONS FNCL CORP                                758940100       65       1786  SH       DEFINED        1          0    1786      0
RELIANT RESOURCES INC                            75952B105        3        394  SH       SOLE           1          0       0    394
RELIANT RESOURCES INC                            75952B105       16       2022  SH       DEFINED        1       2022       0      0
REMINGTON OIL & GAS CORP                 COM     759594302       15        800  SH       SOLE           1        800       0      0
REYNOLDS R J TOB HLDGS INC                       76182K105       11        185  SH       SOLE           1          0       0    185
RIO TINTO GBP                                    767204100        2         22  SH       SOLE           1         22       0      0
ROCKWELL INTL CORP                       NEW     773903109        6        177  SH       SOLE           1        177       0      0
ROCKWELL COLLINS INC                             774341101        5        177  SH       SOLE           1        177       0      0
ROGERS CORP                                      775133101        3         65  SH       SOLE           1          0       0     65
ROWAN COMPANIES INC                              779382100        7        370  SH       SOLE           1        220       0    150
ROXIE INC                                        780008108        0         65  SH       SOLE           1         65       0      0
ROYAL DUTCH PETE CO NY REG GLD1.25               780257804      104       2203  SH       SOLE           1       2203       0      0
ROYAL DUTCH PETE CO NY REG GLD1.25               780257804      152       3200  SH       DEFINED        1          0       0
RUBY TUESDAY INC                                 781182100       34       1060  SH       DEFINED        1          0       0   1060
SBC COMMUNICATIONS, INC                          78387G103      729      29742  SH       SOLE           1      25188       0   4554
SBC COMMUNICATIONS, INC                          78387G103       19        780  SH       DEFINED        1        780       0      0
STANDARD & POORS DEP RECEIPTS                    78462F103       10         95  SH       DEFINED        1         95       0      0
ST JUDE MEDICAL                                  790849103      374       5195  SH       SOLE           1       3300       0   1895
ST PAUL COS INC                                  792860108       11        275  SH       SOLE           1          0       0    275
ST PAUL COS INC                                  792860108        6        150  SH       DEFINED        1        150       0      0
SANMINA CORP                                     800907107        3        306  SH       SOLE           1        306       0      0
SARA LEE CORP                            COM     803111103       81       3711  SH       SOLE           1       3364       0    347
SCANA CORP                               NEW     80589M102        7        222  SH       SOLE           1        222       0      0
SCHERING PLOUGH CORP                     COM     806605101      412      25424  SH       SOLE           1      22864       0   2560
SCHERING PLOUGH CORP                     COM     806605101      307      19000  SH       DEFINED        1          0   19000      0
SCHLUMBERGER LTD                         COM     806857108      438       6875  SH       SOLE           1       4940       0   1935
SCRIPPS EW INC                        NEW CL A   811054204       30        300  SH       SOLE           1        300       0      0
SEARS ROEBUCK & CO                       COM     812387108       81       1900  SH       SOLE           1       1900       0      0
SEARS ROEBUCK & CO                       COM     812387108        7        167  SH       DEFINED        1        167       0      0
SELECT COMFORT CORP                              81616X103        4        155  SH       SOLE           1          0       0    155
SELECT MEDICAL CORP                              816196109        3        210  SH       SOLE           1          0       0    210
SELIGMAN SELECT MUN FD INC                       816344105       14       1250  SH       SOLE           1       1250       0      0
SEMTECH CORP                                     816850101        5        230  SH       SOLE           1          0       0    230
SEMPRA ENERGY                            COM     816851109       11        365  SH       SOLE           1          0       0    365
SEROLOGICALS CORP                                817523103        8        410  SH       SOLE           1        235       0    175
SERVICEMASTER COMPANY                    COM     81760N109       91       7593  SH       SOLE           1       7593       0      0
SHELL TRANS & TRADING PLC            NEW YRK SH  822703609       71       1800  SH       DEFINED        1       1800       0      0
                                                                           NEW

SHERWIN WILLIAMS CO                      COM     824348106       21        550  SH       SOLE           1        550       0      0
SIEMENS AG SPONS                         ADR     826197501        4         55  SH       SOLE           1         55       0      0
SIMMONS 1ST NATL CORP                CL A $5 PAR 828730200      414      15038  SH       SOLE           1      15038       0      0
SIMMONS 1ST NATL CORP                CL A $5 PAR 828730200       13        500  SH       DEFINED        1        500       0      0
SIRIUS SATTELITE RADIO                           82966U103       34      10000  SH       SOLE           1      10000       0      0
SKYWEST INC                                      830879102        4        215  SH       SOLE           1          0       0    215
SKYWORKS SOLUTIONS                               83088M102        0         61  SH       SOLE           1         61       0      0
SMITHFIELD FOODS INC DE                          832248108       11        439  SH       SOLE           1        272       0    167
SMUCKER J M CO                                   832696405        0          7  SH       SOLE           1          7       0      0
SMURFIT-STONE CONTAINER CORP                     832727101        8        495  SH       SOLE           1        495       0      0
SNAP ON INC                                      833034101        7        240  SH       SOLE           1        145       0     95
SOLUTIA INC                              COM     834376105        0        500  SH       SOLE           1        500       0      0
SONIC WALL INC                                   835470105       11       1315  SH       SOLE           1        775       0    540
SONY CORP                                        835699307       41       1000  SH       DEFINED        1       1000       0      0
SOUTHERN CO                              COM     842587107      396      13003  SH       SOLE           1      13003       0      0
SOUTHERN CO                              COM     842587107       79       2600  SH       DEFINED        1       2600       0      0
SOUTHWEST AIRLS CO                       COM     844741108        7        505  SH       SOLE           1        505       0      0
SOUTHWEST BANCORPATION                           84476R109        3         85  SH       SOLE           1          0       0     85
SPINNAKER EXPLORATION CO                         84855W109        9        265  SH       SOLE           1        155       0    110
SPRINT CORP                            COM FON   852061100     1044      56670  SH       SOLE           1      56000       0    670
                                                                         GROUP

SPRINT CORP PCS SR 1                             852061506       10       1156  SH       SOLE           1        716       0    440
STANCORP FINANCIAL GROUP                         852891100        5         85  SH       SOLE           1         50       0     35
STANLEY WORKS                                    854616109       12        290  SH       SOLE           1          0       0    290
STARBUCKS CORP                                   855244109       39       1039  SH       SOLE           1        744       0    295
STEWART ENTERPRISES                              860370105       29       4000  SH       SOLE           1       4000       0      0
STONE ENERGY CORP                                861642106        8        165  SH       SOLE           1         95       0     70
SUN LIFE FINANCIAL                               866796105      360      13417  SH       SOLE           1      13417       0      0
SUN MICROSYSTEMS                                 866810104        5       1400  SH       SOLE           1       1400       0      0
SUNGARD DATA SYSTEMS                             867363103        4        148  SH       SOLE           1          0       0    148
SUNOCO INC                                       86764P109       49        800  SH       SOLE           1        800       0      0
SUNTRUST BANKS INC                       COM     867914103       58        843  SH       SOLE           1        843       0      0
SUPER VALU INC                                   868536103       12        415  SH       SOLE           1          0       0    415
SUPPORTSOFT INC                                  868587106        4        380  SH       SOLE           1          0       0    380
SYNOVUS FINL CORP                                87161C105       27       1125  SH       SOLE           1       1125       0      0
TDC A/S SPONSORED                        ADR     87236N102        2        115  SH       SOLE           1        115       0      0
TECO ENERGY INC                          COM     872375100        2        200  SH       SOLE           1        200       0      0






                                                                                                                 VOTING AUTHORITY
                                      TITLE OF              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   -----------------------
          NAME OF ISSUER                CLASS      CUSIP   [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED    NONE
-------------------------            ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   -----
                                                                                              
TEPPCO PARTNERS LP                               872384102        7        270  SH       DEFINED        1        270       0      0
TTM TECHNOLOGIES                                 87305R109        2        205  SH       SOLE           1          0       0    205
TXU CORP                                         873168108       42       1500  SH       SOLE           1          0       0   1500
TARGET CORP                                      87612E106      398       8848  SH       SOLE           1       6456       0   2392
TARGET CORP                                      87612E106       18        400  SH       DEFINED        1        400       0      0
TELEFONICA SA SPONSORED                  ADR     879382208        2         52  SH       SOLE           1         52       0      0
TELLABS INC DELAWARE                             879664100        5        600  SH       SOLE           1        600       0      0
TELLABS INC DELAWARE                             879664100        1        200  SH       DEFINED        1        200       0      0
TEVA PHARMACEUTICAL IND                 ADR'S    881624209       23        365  SH       SOLE           1        249       0    116
TEXAS GENCO HOLDINGS INC.                        882443104        0         25  SH       SOLE           1          0       0     25
TEXAS GENCO HOLDINGS INC.                        882443104        4        128  SH       DEFINED        1        128       0      0
TEXAS INSTRUMENTS                                882508104      218       7475  SH       SOLE           1       5255       0   2220
TEXAS INSTRUMENTS                                882508104        6        224  SH       DEFINED        1        224       0      0
TEXTRON INCORPORATED                    COMM     883203101      388       7302  SH       SOLE           1       4665       0   2637
TIFFANY & CO                             NEW     886547108       83       2200  SH       SOLE           1       2200       0      0
TIME WARNER INC                                  887317105      474      28160  SH       SOLE           1      27618       0    542
TOTAL FINA ELF S.A.                      ADR     89151E109        3         40  SH       SOLE           1         40       0      0
TOYOTA MOTOR CORP                      ADR NEW   892331307        4         60  SH       SOLE           1         60       0      0
TRAVELERS PROPERTY CASUALTY CORP        CL A     89420G109       18       1104  SH       SOLE           1        683       0    421
TRAVELERS PROPERTY CASUALTY CORP        CL A     89420G109        5        345  SH       DEFINED        1        345       0      0
TRAVELERS PPTY & CAS CORP            NEW CLASS B 89420G406       12        709  SH       DEFINED        1        709       0      0
TRIAD HOSPS INC                                  89579K109        5        175  SH       SOLE           1        105       0     70
TRIBUNE COMPANY                                  896047107       60       1200  SH       SOLE           1       1200       0      0
TRUSTMARK CORP                           COM     898402102      590      20336  SH       SOLE           1      20336       0      0
TYCO INTL LTD                          NEW COM   902124106       15        547  SH       SOLE           1        350       0    197
TYSON FOODS INC                         CL A     902494103       13        750  SH       SOLE           1          0       0    750
TYSON FOODS INC                         CL A     902494103       98       5470  SH       DEFINED        1       5470       0      0
UCBH HOLDINGS INC                                90262T308        4        105  SH       SOLE           1          0       0    105
UST INC COMMON STOCK                             902911106        2         77  SH       SOLE           1          0       0     77
USA TRUCK INC -RESTRICTED                        902925106      594      61498  SH       SOLE           1      61498       0      0
US BANCORP                             DEL NEW   902973304       17        644  SH       SOLE           1        288       0    356
ULTRA PETROLEUM CORP-CAD                         903914109        9        330  SH       SOLE           1          0       0    330
ULTRATECH STEPPER INC                            904034105        6        260  SH       SOLE           1        105       0    155
UNIFI INC                                        904677101        3        764  SH       SOLE           1        450       0    314
UNILEVER NV NY                           NEW     904784709        3         54  SH       SOLE           1         54       0      0
UNION PACIFIC CORP                               907818108       23        400  SH       SOLE           1        350       0     50
UNION PACIFIC CORP                               907818108      227       3800  SH       DEFINED        1          0    3800      0
UNION PLANTERS CORP                              908068109     1185      39742  SH       SOLE           1      38997       0    745
UNITED STATIONERS INC                            913004107        5        135  SH       SOLE           1         75       0     60
UNITED THERA PEUTICS CORP                        91307C102        3        145  SH       SOLE           1          0       0    145
UNOCAL CORP                              COM     915289102        6        165  SH       DEFINED        1        165       0      0
UNUMPROVIDENT CORP                               91529Y106       11        770  SH       SOLE           1          0       0    770
VF CORPORATION                                   918204108       23        505  SH       SOLE           1          0       0    505
VALASSIS COMMUNICATIONS INC                      918866104        4        145  SH       SOLE           1         85       0     60
VARIAN MEDICAL SYSTEMS                           92220P105       23        272  SH       SOLE           1        191       0     81
VENTAS INC                               COM     92276F100        3        140  SH       DEFINED        1        140       0      0
VERIZON COMMUNICATIONS                           92343V104      891      24405  SH       SOLE           1      17370       0   7035
VERIZON COMMUNICATIONS                           92343V104       88       2419  SH       DEFINED        1       2419       0      0
VIAD CORP                                        92552R109        8        348  SH       SOLE           1        348       0      0
VIACOM INC                              CL B     925524308      132       3380  SH       SOLE           1       2959       0    421
VIACOM INC                              CL B     925524308       12        325  SH       DEFINED        1        325       0      0
VISTEON CORP                                     92839U107        0         75  SH       SOLE           1         75       0      0
VODAFONE GROUP PLC                       NEW     92857W100       88       3704  SH       SOLE           1       3704       0      0
W.P.CAREY & CO., LLC                             92930Y107       76       2474  SH       SOLE           1       2474       0      0
WACHOVIA CORP 2ND                        NEW     929903102      720      15333  SH       SOLE           1      13284       0   2049
WACHOVIA CORP 2ND                        NEW     929903102       23        500  SH       DEFINED        1        500       0      0
WAL MART STORES INC                      COM     931142103     2646      44339  SH       SOLE           1      39869       0   4470
WAL MART STORES INC                      COM     931142103      350       5876  SH       DEFINED        1       2776    3000    100
WALGREEN CO                              COM     931422109       91       2775  SH       SOLE           1       2574       0    201
WASHINGTON MUTUAL INC                            939322103       52       1232  SH       SOLE           1        600       0    632
WASTE CONNECTIONS INC                            941053100        2         70  SH       SOLE           1          0       0     70
WASTE MANAGEMENT INC                     NEW     94106L109      155       5143  SH       SOLE           1       2525       0   2618
WASTE MANAGEMENT INC                     NEW     94106L109        9        331  SH       DEFINED        1        330       0      1
WATSON WYATT & CO HLDGS                CLASS A   942712100        8        355  SH       SOLE           1        210       0    145
WEINGARTEN RLTY INVS                 SH BEN INT  948741103       51       1500  SH       SOLE           1       1500       0      0
WELLS FARGO & CO.                        NEW     949746101      255       4511  SH       SOLE           1       4135       0    376
WELLS FARGO & CO.                        NEW     949746101       11        200  SH       DEFINED        1        200       0      0
WEST MARINE INC                                  954235107        6        215  SH       SOLE           1          0       0    215
WESTAR ENERGY INC                                95709T100        4        200  SH       SOLE           1        200       0      0
WESTELL TECHNOLOGIES INC                CL A     957541105        3        465  SH       SOLE           1          0       0    465
WEYERHAEUSER CO                          COM     962166104       32        500  SH       SOLE           1          0       0    500
WHIRLPOOL CORP                                   963320106       11        160  SH       SOLE           1          0       0    160
WHITNEY HOLDING CORP                   COMMON    966612103      132       3180  SH       SOLE           1       3180       0      0
WILD OATS MKTS INC                               96808B107        9        774  SH       SOLE           1        455       0    319
WISCONSIN ENERGY CORP                            976657106        6        190  SH       DEFINED        1        190       0      0
WRIGHT MEDICAL GROUP                             98235T107        3        120  SH       SOLE           1          0       0    120
WYETH                                            983024100      484      12905  SH       SOLE           1       9475       0   3430
WYETH                                            983024100       11        300  SH       DEFINED        1        300       0      0
XM SATELLITE                                     983759101      698      25000  SH       SOLE           1      25000       0      0
XCEL ENERGY INC                                  98389B100        2        154  SH       SOLE           1        154       0      0
XILINX INC                                       983919101        3        100  SH       SOLE           1        100       0      0
YANKEE CANDLE CO INC                             984757104        8        300  SH       SOLE           1        175       0    125
YUM BRANDS INC                                   988498101       99       2626  SH       SOLE           1       2626       0      0
YUM BRANDS INC                                   988498101       10        280  SH       DEFINED        1        280       0      0
ZIMMER HLDGS INC                                 98956P102       34        462  SH       SOLE           1        328       0    134
ZOLL MEDICAL CORP                                989922109        9        230  SH       SOLE           1        135       0     95
AT&T CORP NEW                                      1957505       10        500  SH       SOLE                      0       0    500
ALLIANT TECHSYSTEMS INC.                          18804104       11        210  SH       SOLE                      0       0    210
ALLSTATE CORP                                     20002101        7        150  SH       SOLE                      0       0    150
ALLTEL CORP NEW                                   20039103       11        225  SH       SOLE                      0       0    225
AMER INTL GROUP INC                               26874107        5         67  SH       SOLE                      0       0     67






                                                                                                                 VOTING AUTHORITY
                                      TITLE OF              VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER   -----------------------
          NAME OF ISSUER                CLASS      CUSIP   [X$1000]   PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE  SHARED   NONE
-------------------------            ----------- --------  -------- ----------- --- ---- ---------- -------- ------- -------   -----
                                                                                              
AMGEN INC                                         31162100  19        335       SH       SOLE                      0       0    335
AMSOUTH BANCORP                                   32165102  323       13724     SH       SOLE                      0       0  13724
ANALOG DEVICES INC                                32654105  5         100       SH       SOLE                      0       0    100
AUTOMATIC DATA  PROCESSING
INC                                               53015103  4         100       SH       SOLE                      0       0    100
BANCORPSOUTH  INC                                 59692103  271       12373     SH       SOLE                      0       0  12373
BANK OF AMERICA  CORP                             60505104  12        150       SH       SOLE                      0       0    150
BERKSHIRE HATHAWAY  INC.           DEL CL
                                   B              84670207  31        10        SH       SOLE                      0       0     10
BEST BUY INC                                      86516101  16        300       SH       SOLE                      0       0    300
BOMBAY COMPANY INC                                97924104  2         200       SH       SOLE                      0       0    200
BOSTON SCIENTIFIC                  CORP          101137107  10        240       SH       SOLE                      0       0    240
CAREER EDUCATION CRP                             141665109  6         100       SH       SOLE                      0       0    100
CAREMARK RX INC                                  141705103  17        500       SH       SOLE                      0       0    500
CISCO SYS INC                                    17275R102  47        2000      SH       SOLE                      0       0   2000
CITIGROUP INC                                    172967101  147       2850      SH       SOLE                      0       0   2850
COCA COLA CO                                     191216100  60        1200      SH       SOLE                      0       0   1200
COVENTRY HEALTH CARE INC.                        222862104  6         150       SH       SOLE                      0       0    150
DELUXE CORP                                      248019101  10        250       SH       SOLE                      0       0    250
DOW CHEMICAL CO                                  260543103  10        250       SH       SOLE                      0       0    250
EXXON MOBIL CORP                                 30231G102  8         200       SH       SOLE                      0       0    200
GAP INC DEL                                      364760108  9         400       SH       SOLE                      0       0    400
GENERAL DYNAMICS CRP                             369550108  10        110       SH       SOLE                      0       0    110
GENERAL ELECTRIC CO                              369604103  236       7735      SH       SOLE                      0       0   7735
GENERAL MOTORS CORP                              370442105  11        240       SH       SOLE                      0       0    240
HCA INC                                          404119109  12        300       SH       SOLE                      0       0    300
HEWLETT-PACKARD CO                 DE            428236103  12        540       SH       SOLE                      0       0    540
HOME DEPOT INC                                   437076102  5         127       SH       SOLE                      0       0    127
HOSPITALITY  PROPERTIES TRUS  T                  44106M102  5         100       SH       SOLE                      0       0    100
INTEL CORP                                       458140100  130       4780      SH       SOLE                      0       0   4780
INTL BUSINESS MACH                               459200101  18        200       SH       SOLE                      0       0    200
ISHARES TR DOW JONES               US FINL
                                   SECTOR INDEX  464287788  105       1134      SH       SOLE                      0       0   1134
JDS UNIPHASE CORP                                46612J101  1         250       SH       SOLE                      0       0    250
JOHNSON & JOHNSON                                478160104  5         100       SH       SOLE                      0       0    100
KRAFT FOODS INC                    CL
                                   A             50075N104  3         100       SH       SOLE                      0       0    100
L-3 COMMUNICATIONS HLDGS INC                     502424104  17        280       SH       SOLE                      0       0    280
LANDSTAR SYSTEMS INC                             515098101  4         100       SH       SOLE                      0       0    100
LUCENT TECH INC                                  549463107  2         500       SH       SOLE                      0       0    500
MBNA CORP                                        55262L100  3         100       SH       SOLE                      0       0    100
MKS INSTRUMENTS INC                              55306N104  5         200       SH       SOLE                      0       0    200
MERCK & CO INC                                   589331107  13        300       SH       SOLE                      0       0    300
MERISTAR HOSPITALITY               CORP          58984Y103  6         847       SH       SOLE                      0       0    847
MICROSOFT CORP                                   594918104  68        2740      SH       SOLE                      0       0   2740
MYLAN LABS INC                                   628530107  17        745       SH       SOLE                      0       0    745
NASDAQ 100 TR                      UNIT SER
                                   1             631100104  13        370       SH       SOLE                      0       0    370
NAUTILUS GROUP INC                 COM           63910B102  5         300       SH       SOLE                      0       0    300
NOKIA CORP ADR                                   654902204  2         100       SH       SOLE                      0       0    100
NUVEEN QUAL PFD                                  67071S606  200       8         SH       SOLE                      0       0      8
OPEN TEXT CORP                                   683715106  6         200       SH       SOLE                      0       0    200
OXFORD HEALTH PLANS INC                          691471106  5         100       SH       SOLE                      0       0    100
PEOPLES HLDG CO                                  711148106  73        2158      SH       SOLE                      0       0   2158
PEPSICO INC                                      713448108  22        400       SH       SOLE                      0       0    400
PFIZER INC                                       717081103  16        468       SH       SOLE                      0       0    468
PIPER JAFFRAY COS                  COM           724078100  0         2         SH       SOLE                      0       0      2
PROCTER & GAMBLE CO                              742718109  146       1395      SH       SOLE                      0       0   1395
RF MICRO DEVICES INC                             749941100  3         400       SH       SOLE                      0       0    400
S & P 500 DEPOSITORY                             78462F103  74        650       SH       SOLE                      0       0    650
SELECT SECTOR SPDR                               81369Y100  99        3799      SH       SOLE                      0       0   3799
SECTOR SPDR TR SHS                               81369Y605  407       13833     SH       SOLE                      0       0  13833
SMUCKER J M CO NEW                               832696405  0         4         SH       SOLE                      0       0      4
SONIC AUTOMOTIVE INC                             83545G102  5         200       SH       SOLE                      0       0    200
SYSCO CORP                                       871829107  4         100       SH       SOLE                      0       0    100
TEXAS INSTRUMENTS INC                            882508104  9         300       SH       SOLE                      0       0    300
TIME WARNER INC                                  887317105  3         200       SH       SOLE                      0       0    200
TRAVELERS PPTY CAS CORP            NEW CL
                                   A             89420G109  0         10        SH       SOLE                      0       0     10
TRAVELERS PPTY CAS CORP            NEW CL
                                   B             89420G406  0         22        SH       SOLE                      0       0     22
US BANCORP DEL                     COM
                                   NEW           902973304  6         215       SH       SOLE                      0       0    215
UNION PLANTERS CORP                              908068109  24        800       SH       SOLE                      0       0    800
WAL-MART STORES INC                              931142103  8         140       SH       SOLE                      0       0    140
WALGREEN COMPANY                                 931422109  5         150       SH       SOLE                      0       0    150
ZIMMER HLDGS INC                                 98956P102  15        200       SH       SOLE                      0       0    200
AMDOCS LIMITED                     ISIN          G02602103
                                   #GB0022569080            9         325       SH       SOLE                      0       0    325
FLEXTRONICS INTL INC               ISIN          Y2573F102
                                   #SG9999000020            14        800       SH       SOLE                      0       0    800
                                                           --------  --------                                ------- -------  ------
GRAND TOTALS                                               11226844  10755607                                7355063 3033012  141986
                                                           ========  ========                                ======= =======  ======