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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 6/30/11

CHECK HERE IF AMENDMENT [_]; AMENDMENT NUMBER:

THIS AMENDMENT (CHECK ONLY ONE.): [_] IS A RESTATEMENT.
                                  [_] ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:    TOM STRINGFELLOW
ADDRESS: FROST NATIONAL BANK
         P.O. BOX 1600
         SAN ANTONIO, TX 78296

13F FILE NUMBER: 28-183

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:    STAN MCCORMICK
TITLE:   COPORATE SECRETARY - SR. V.P.
PHONE:   210-220-4310

SIGNATURE,PLACE,AND DATE OF SIGNING:


STAN MCCORMICK                      SAN ANTONIO, TX                       7/2/11

REPORT TYPE (CHECK ONLY ONE.):

[X]  13F HOLDINGS REPORT

[_]  13F NOTICE

[_]  13F COMBINATION REPORT

LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:

     NONE

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.




                              FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:                 0
FORM 13F INFORMATION TABLE ENTRY TOTAL:          961
FORM 13F INFORMATION TABLE VALUE TOTAL:   $2,944,332




                           FORM 13F INFORMATION TABLE



                                                                                                     VOTING AUTHORITY
                                                          VALUE  SHARES/ SH/ PUT/ INVSTMT  OTHER   ---------------------
        NAME OF ISSUER         TITLE OF CLASS   CUSIP    (X1000) PRN AMT PRN CALL DSCRETN MANAGERS  SOLE   SHARED  NONE
------------------------------ --------------- --------- ------- ------- --- ---- ------- -------- ------- ------ ------
                                                                                 
A O SMITH CORP COM             COMMON STOCK    831865209      30     720 SH       DEFINED                0      0    720
A O SMITH CORP COM             COMMON STOCK    831865209    2365   55909 SH       OTHER                  0      0  55909
ABBOTT LABORATORIES COM*       COMMON STOCK    002824100    4458   84718 SH       DEFINED            75274      0   9444
ABBOTT LABORATORIES COM*       COMMON STOCK    002824100    5236   99504 SH       OTHER              24504      0  75000
ACTIVE BEAR ETF (THE)          COMMON STOCK    00768Y883     337   14874 SH       DEFINED                0      0  14874
ACTUANT CORP CL A COM          COMMON STOCK    00508X203    1003   37400 SH       OTHER                  0      0  37400
ADOBE SYSTEMS INC COM*         COMMON STOCK    00724F101     368   11707 SH       DEFINED              397      0  11310
ADVANCED ENERGY INDS INC COM   COMMON STOCK    007973100    2431  164347 SH       OTHER                  0      0 164347
AECOM TECHNOLOGY CORP COM      COMMON STOCK    00766T100    1993   72880 SH       DEFINED                0      0  72880
AFFILIATED MANAGERS GROUP      COMMON STOCK    008252108    1438   14175 SH       DEFINED                0      0  14175
AFFILIATED MANAGERS GROUP      COMMON STOCK    008252108    1174   11575 SH       OTHER                  0      0  11575
AFLAC INC COM*                 COMMON STOCK    001055102     312    6681 SH       DEFINED             6681      0      0
AFLAC INC COM*                 COMMON STOCK    001055102     140    3008 SH       OTHER               3008      0      0
AGCO CORP COM                  COMMON STOCK    001084102    1046   21196 SH       OTHER                121      0  21075
AGILENT TECHNOLOGIES INC COM*  COMMON STOCK    00846U101     731   14302 SH       DEFINED             9838      0   4464
AGILENT TECHNOLOGIES INC COM*  COMMON STOCK    00846U101     541   10588 SH       OTHER              10588      0      0
AIR PRODUCTS & CHEMICALS INC C COMMON STOCK    009158106   17442  182482 SH       DEFINED           101099      0  81383
AIR PRODUCTS & CHEMICALS INC C COMMON STOCK    009158106    1051   10995 SH       OTHER              10995      0      0
AIRGAS INC COM                 COMMON STOCK    009363102    2995   42762 SH       OTHER                  0      0  42762






                                                                                 
ALBEMARLE CORPORATION COM*     COMMON STOCK    012653101   10894  157424 SH       DEFINED            80529      0  76895
ALBEMARLE CORPORATION COM*     COMMON STOCK    012653101    1740   25141 SH       OTHER              25141      0      0
ALCOA INC COM*                 COMMON STOCK    013817101    1668  105163 SH       DEFINED            86422      0  18741
ALCOA INC COM*                 COMMON STOCK    013817101    1454   91672 SH       OTHER               3772      0  87900
ALERE INC COM                  COMMON STOCK    01449J105    2356   64350 SH       OTHER                  0      0  64350
ALLEGIANT TRAVEL CO COM        COMMON STOCK    01748X102    4061   82048 SH       OTHER                  0      0  82048
ALLERGAN INC COM*              COMMON STOCK    018490102   15281  183554 SH       DEFINED           116916      0  66638
ALLERGAN INC COM*              COMMON STOCK    018490102    2023   24299 SH       OTHER              24299      0      0
ALLIANT ENERGY CORP*           COMMON STOCK    018802108     920   22636 SH       DEFINED            22636      0      0
ALLIANT ENERGY CORP*           COMMON STOCK    018802108      99    2444 SH       OTHER               2444      0      0
ALLIANT TECHSYSTEMS INC COM    COMMON STOCK    018804104    2263   31730 SH       OTHER                  0      0  31730
ALLSCRIPTS HEALTHCARE SOLS INC COMMON STOCK    01988P108     116    5960 SH       DEFINED                0      0   5960
ALLSCRIPTS HEALTHCARE SOLS INC COMMON STOCK    01988P108     881   45375 SH       OTHER                  0      0  45375
ALLSTATE CORP COM*             COMMON STOCK    020002101    3724  121981 SH       DEFINED           121673      0    308
ALLSTATE CORP COM*             COMMON STOCK    020002101    4737  155167 SH       OTHER               4567      0 150600
ALTRIA GROUP INC COM *         COMMON STOCK    02209S103    2574   97476 SH       DEFINED            95151      0   2325
ALTRIA GROUP INC COM *         COMMON STOCK    02209S103    1240   46967 SH       OTHER              46967      0      0
AMAZON.COM INC*                COMMON STOCK    023135106   15807   77299 SH       DEFINED            39730      0  37569
AMAZON.COM INC*                COMMON STOCK    023135106    1855    9071 SH       OTHER               9071      0      0
AMERICAN ELECTRIC POWER INC CO COMMON STOCK    025537101     378   10039 SH       DEFINED             9864      0    175
AMERICAN ELECTRIC POWER INC CO COMMON STOCK    025537101      15     400 SH       OTHER                400      0      0
AMERICAN EQUITY INVT LIFE HLDG COMMON STOCK    025676206      90    7045 SH       DEFINED                0      0   7045
AMERICAN EQUITY INVT LIFE HLDG COMMON STOCK    025676206    2364  185980 SH       OTHER                  0      0 185980
AMERICAN EXPRESS CO COM*       COMMON STOCK    025816109   11209  216816 SH       DEFINED           148750      0  68066
AMERICAN EXPRESS CO COM*       COMMON STOCK    025816109    1206   23318 SH       OTHER              23318      0      0
AMERICAN NATIONAL INSURANCE CO COMMON STOCK    028591105     474    6113 SH       DEFINED             6113      0      0
AMERICAN WTR WKS CO INC COM*   COMMON STOCK    030420103   14516  492898 SH       DEFINED           225423      0 267475
AMERICAN WTR WKS CO INC COM*   COMMON STOCK    030420103     668   22669 SH       OTHER              22669      0      0
AMERIPRISE FINANCIAL INC COM*  COMMON STOCK    03076C106   15680  271851 SH       DEFINED           139836      0 132015
AMERIPRISE FINANCIAL INC COM*  COMMON STOCK    03076C106     783   13573 SH       OTHER              13573      0      0
AMETEK INC COM                 COMMON STOCK    031100100     211    4700 SH       DEFINED                0      0   4700
AMETEK INC COM                 COMMON STOCK    031100100    1308   29125 SH       OTHER                  0      0  29125






                                                                                 
AMGEN INC COM*                 COMMON STOCK    031162100    2137   36624 SH       DEFINED            33446      0   3178
AMGEN INC COM*                 COMMON STOCK    031162100     159    2719 SH       OTHER               2719      0      0
ANADARKO PETROLEUM CORP COM*   COMMON STOCK    032511107   11742  152966 SH       DEFINED            78631      0  74335
ANADARKO PETROLEUM CORP COM*   COMMON STOCK    032511107    2598   33842 SH       OTHER              31842      0   2000
ANIXTER INTERNATIONAL INC COM  COMMON STOCK    035290105     944   14450 SH       OTHER                  0      0  14450
ANNALY CAPITAL MGMT INC REIT C COMMON STOCK    035710409    3649  202277 SH       DEFINED           201017      0   1260
ANNALY CAPITAL MGMT INC REIT C COMMON STOCK    035710409    4530  251101 SH       OTHER               2801      0 248300
ANSYS INC COM                  COMMON STOCK    03662Q105      45     826 SH       DEFINED              116      0    710
ANSYS INC COM                  COMMON STOCK    03662Q105     959   17550 SH       OTHER                  0      0  17550
APACHE CORP COM*               COMMON STOCK    037411105    3599   29169 SH       DEFINED            12146      0  17023
APACHE CORP COM*               COMMON STOCK    037411105     202    1639 SH       OTHER               1639      0      0
APPLE INC COM *                COMMON STOCK    037833100   45914  136783 SH       DEFINED            81573      0  55210
APPLE INC COM *                COMMON STOCK    037833100    4900   14597 SH       OTHER              14297      0    300
APPLIED MATERIALS INC COM *    COMMON STOCK    038222105    2421  186050 SH       DEFINED           185976      0     74
APPLIED MATERIALS INC COM *    COMMON STOCK    038222105    2457  188833 SH       OTHER               7733      0 181100
AQUA AMERICA INC COM*          COMMON STOCK    03836W103    9483  431449 SH       DEFINED           220790      0 210659
AQUA AMERICA INC COM*          COMMON STOCK    03836W103     697   31711 SH       OTHER              31711      0      0
ARCH COAL INC COM*             COMMON STOCK    039380100     950   35649 SH       DEFINED            35649      0      0
ARCH COAL INC COM*             COMMON STOCK    039380100      79    2964 SH       OTHER               2964      0      0
ARCHER DANIELS MIDLAND CO COM  COMMON STOCK    039483102    3189  105756 SH       DEFINED            99028      0   6728
ARCHER DANIELS MIDLAND CO COM  COMMON STOCK    039483102    5119  169800 SH       OTHER                  0      0 169800
ARTHROCARE CORPORATION COM     COMMON STOCK    043136100    1073   32072 SH       OTHER                  0      0  32072
ASTEC INDS INC COM             COMMON STOCK    046224101    2015   54494 SH       OTHER                  0      0  54494
AT & T INC COM*                COMMON STOCK    00206R102   25237  803460 SH       DEFINED           642244      0 161216
AT & T INC COM*                COMMON STOCK    00206R102   14058  447573 SH       OTHER             133087    294 314192
AUTOMATIC DATA PROCESSING INC  COMMON STOCK    053015103    3437   65238 SH       DEFINED            62861      0   2377
AUTOMATIC DATA PROCESSING INC  COMMON STOCK    053015103     420    7982 SH       OTHER               7982      0      0
AVON PRODUCTS INC COM*         COMMON STOCK    054303102    1585   56617 SH       DEFINED            50784      0   5833
AVON PRODUCTS INC COM*         COMMON STOCK    054303102    2898  103500 SH       OTHER                  0      0 103500
BAKER HUGHES INC COM*          COMMON STOCK    057224107    2549   35131 SH       DEFINED            13664      0  21467
BAKER HUGHES INC COM*          COMMON STOCK    057224107      82    1133 SH       OTHER               1133      0      0






                                                                                 
BALL CORP COM                  COMMON STOCK    058498106      33     860 SH       DEFINED                0      0    860
BALL CORP COM                  COMMON STOCK    058498106     431   11200 SH       OTHER              11200      0      0
BALLY TECHNOLOGIES INC COM     COMMON STOCK    05874B107    2474   60820 SH       OTHER                  0      0  60820
BANK OF AMERICA CORP COM*      COMMON STOCK    060505104    1655  151006 SH       DEFINED           144966      0   6040
BANK OF AMERICA CORP COM*      COMMON STOCK    060505104    2429  221595 SH       OTHER              27765      0 193830
BANK OF HAWAII CORP COM*       COMMON STOCK    062540109     131    2806 SH       DEFINED             2806      0      0
BANK OF HAWAII CORP COM*       COMMON STOCK    062540109     140    3005 SH       OTHER               3005      0      0
BANK OF NEW YORK MELLON CORP C COMMON STOCK    064058100    1176   45885 SH       DEFINED            43935      0   1950
BANK OF NEW YORK MELLON CORP C COMMON STOCK    064058100     247    9656 SH       OTHER               3156      0   6500
BARD C. R. INC COM*            COMMON STOCK    067383109    9127   83078 SH       DEFINED            48460      0  34618
BARD C. R. INC COM*            COMMON STOCK    067383109    1656   15078 SH       OTHER              15078      0      0
BAXTER INTERNATIONAL INC COM * COMMON STOCK    071813109     228    3817 SH       DEFINED             3817      0      0
BAXTER INTERNATIONAL INC COM * COMMON STOCK    071813109      48     809 SH       OTHER                809      0      0
BB&T CORP COM*                 COMMON STOCK    054937107   12525  466661 SH       DEFINED           232837      0 233824
BB&T CORP COM*                 COMMON STOCK    054937107     459   17117 SH       OTHER              17117      0      0
BE AEROSPACE INC COM           COMMON STOCK    073302101    1329   32575 SH       OTHER                  0      0  32575
BECTON DICKINSON & CO COM*     COMMON STOCK    075887109   13907  161391 SH       DEFINED            89552      0  71839
BECTON DICKINSON & CO COM*     COMMON STOCK    075887109    2888   33516 SH       OTHER               6016      0  27500
BEMIS INC COM*                 COMMON STOCK    081437105     130    3840 SH       DEFINED             2400      0   1440
BEMIS INC COM*                 COMMON STOCK    081437105     358   10600 SH       OTHER              10600      0      0
BERKSHIRE HATHAWAY INC CL B CO COMMON STOCK    084670702    1847   23871 SH       DEFINED            23021      0    850
BERKSHIRE HATHAWAY INC CL B CO COMMON STOCK    084670702     423    5463 SH       OTHER               5463      0      0
BERKSHIRE HATHAWAY INC DEL CL  COMMON STOCK    084670108     464       4 SH       DEFINED                4      0      0
BEST BUY COMPANY INC COM*      COMMON STOCK    086516101    1401   44592 SH       DEFINED            44509      0     83
BEST BUY COMPANY INC COM*      COMMON STOCK    086516101    2956   94100 SH       OTHER                  0      0  94100
BLACK BOX CORPORATION COM      COMMON STOCK    091826107    2391   76466 SH       DEFINED            76368      0     98
BLACK BOX CORPORATION COM      COMMON STOCK    091826107    3110   99456 SH       OTHER                  0      0  99456
BLOCK H & R INC COM            COMMON STOCK    093671105     565   35207 SH       DEFINED            35198      0      9
BLOCK H & R INC COM            COMMON STOCK    093671105    2246  140000 SH       OTHER                  0      0 140000
BOEING CO COM *                COMMON STOCK    097023105    6500   87917 SH       DEFINED            84971      0   2946
BOEING CO COM *                COMMON STOCK    097023105    6393   86474 SH       OTHER               1674      0  84800
BORGWARNER INC COM*            COMMON STOCK    099724106   14085  174335 SH       DEFINED           102427      0  71908






                                                                                 
BORGWARNER INC COM*            COMMON STOCK    099724106    1891   23403 SH       OTHER              23403      0      0
BRIGGS & STRATTON CORP COM     COMMON STOCK    109043109    2363  119000 SH       OTHER                  0      0 119000
BRIGHAM EXPL COCOM             COMMON STOCK    109178103    1096   36625 SH       OTHER                  0      0  36625
BRISTOL-MYERS SQUIBB CO COM *  COMMON STOCK    110122108    1471   50810 SH       DEFINED            44680      0   6130
BRISTOL-MYERS SQUIBB CO COM *  COMMON STOCK    110122108     330   11384 SH       OTHER              11384      0      0
BROADRIDGE FINANCIAL SOLUTIONS COMMON STOCK    11133T103     161    6700 SH       DEFINED             6700      0      0
BROADRIDGE FINANCIAL SOLUTIONS COMMON STOCK    11133T103    2652  110180 SH       OTHER                  0      0 110180
BROCADE COMMUNICATIONS SYS INC COMMON STOCK    111621306      54    8300 SH       DEFINED                0      0   8300
BROCADE COMMUNICATIONS SYS INC COMMON STOCK    111621306    1343  207864 SH       OTHER                 89      0 207775
BRUNSWICK CORP COM             COMMON STOCK    117043109    1164   57050 SH       OTHER                  0      0  57050
BUCKEYE TECHNOLOGIES INC COM   COMMON STOCK    118255108    1668   61824 SH       OTHER                  0      0  61824
C.H. ROBINSON WORLDWIDE INC CO COMMON STOCK    12541W209     319    4050 SH       DEFINED             1000      0   3050
CALAMOS ASSET MGMT INC CL A CO COMMON STOCK    12811R104    1732  119307 SH       OTHER                  0      0 119307
CARDINAL HEALTH INC COM*       COMMON STOCK    14149Y108    8892  195769 SH       DEFINED            93424      0 102345
CARDINAL HEALTH INC COM*       COMMON STOCK    14149Y108     496   10929 SH       OTHER              10929      0      0
CARLISLE COS INC COM           COMMON STOCK    142339100     361    7341 SH       DEFINED             7341      0      0
CARLISLE COS INC COM           COMMON STOCK    142339100     591   12000 SH       OTHER                  0      0  12000
CARPENTER TECHNOLOGY CORP COM  COMMON STOCK    144285103    1426   24715 SH       OTHER               1015      0  23700
CARRIZO OIL & GAS INC COM      COMMON STOCK    144577103    1923   46065 SH       OTHER                  0      0  46065
CARTER INC COM                 COMMON STOCK    146229109    2684   87260 SH       OTHER                  0      0  87260
CASH AMERICA INTERNATIONAL INC COMMON STOCK    14754D100    1121   19375 SH       OTHER                  0      0  19375
CATALYST HEALTH SOLUTIONS INC  COMMON STOCK    14888B103    2284   40912 SH       OTHER                  0      0  40912
CATERPILLAR INC COM *          COMMON STOCK    149123101    5674   53300 SH       DEFINED            51550      0   1750
CATERPILLAR INC COM *          COMMON STOCK    149123101     915    8595 SH       OTHER               8595      0      0
CATHAY GENERAL BANCORP COM     COMMON STOCK    149150104    2514  153370 SH       OTHER                  0      0 153370
CELGENE CORP COM *             COMMON STOCK    151020104   11259  186660 SH       DEFINED            71848      0 114812
CELGENE CORP COM *             COMMON STOCK    151020104     629   10420 SH       OTHER               6920      0   3500
CENVEO INC COM                 COMMON STOCK    15670S105    3785  591459 SH       OTHER                  0      0 591459
CEPHEID INC COM                COMMON STOCK    15670R107     117    3388 SH       DEFINED                0      0   3388
CEPHEID INC COM                COMMON STOCK    15670R107    1819   52514 SH       OTHER                  0      0  52514
CHESAPEAKE ENERGY CORP COM*    COMMON STOCK    165167107     245    8251 SH       DEFINED             7051      0   1200






                                                                                 
CHESAPEAKE ENERGY CORP COM*    COMMON STOCK    165167107       6     200 SH       OTHER                200      0      0
CHEVRON CORPORATION COM*       COMMON STOCK    166764100   33779  328466 SH       DEFINED           204982      0 123484
CHEVRON CORPORATION COM*       COMMON STOCK    166764100    4561   44349 SH       OTHER              44349      0      0
CHICOS FAS INC COM             COMMON STOCK    168615102     284   18672 SH       DEFINED                0      0  18672
CHICOS FAS INC COM             COMMON STOCK    168615102    2343  153868 SH       OTHER                  0      0 153868
CHIPOTLE MEXICAN GRILL INC CL  COMMON STOCK    169656105     693    2250 SH       OTHER                  0      0   2250
CHUBB CORP COM*                COMMON STOCK    171232101     602    9618 SH       DEFINED             4189      0   5429
CHUBB CORP COM*                COMMON STOCK    171232101      15     235 SH       OTHER                235      0      0
CIGNA CORP COM                 COMMON STOCK    125509109     371    7204 SH       DEFINED             3100      0   4104
CIRRUS LOGIC INC COM           COMMON STOCK    172755100     122    7700 SH       DEFINED                0      0   7700
CIRRUS LOGIC INC COM           COMMON STOCK    172755100     632   39750 SH       OTHER                  0      0  39750
CISCO SYSTEM INC COM*          COMMON STOCK    17275R102    4107  263127 SH       DEFINED           162164      0 100963
CISCO SYSTEM INC COM*          COMMON STOCK    17275R102     259   16562 SH       OTHER              16562      0      0
CLIFFS NATURAL RESOURCES INC   COMMON STOCK    18683K101     293    3174 SH       DEFINED             3174      0      0
CLOROX CO COM *                COMMON STOCK    189054109     364    5394 SH       DEFINED             4694      0    700
CLOROX CO COM *                COMMON STOCK    189054109     263    3900 SH       OTHER               3900      0      0
CME GROUP INC COM*             COMMON STOCK    12572Q105     745    2554 SH       DEFINED             2058      0    496
CME GROUP INC COM*             COMMON STOCK    12572Q105     721    2473 SH       OTHER               2473      0      0
COACH INC COM*                 COMMON STOCK    189754104     410    6409 SH       DEFINED             6409      0      0
COACH INC COM*                 COMMON STOCK    189754104      88    1384 SH       OTHER               1384      0      0
COCA COLA CO COM*              COMMON STOCK    191216100   32648  485188 SH       DEFINED           255526      0 229662
COCA COLA CO COM*              COMMON STOCK    191216100    4664   69309 SH       OTHER              67309      0   2000
COEUR D'ALENE MINES CORP COM   COMMON STOCK    192108504      95    3900 SH       DEFINED              900      0   3000
COEUR D'ALENE MINES CORP COM   COMMON STOCK    192108504    2118   87308 SH       OTHER                  0      0  87308
COGNIZANT TECH. SOLUTIONS CL A COMMON STOCK    192446102   24192  329865 SH       DEFINED           226498      0 103367
COGNIZANT TECH. SOLUTIONS CL A COMMON STOCK    192446102    2535   34570 SH       OTHER              34570      0      0
COLGATE-PALMOLIVE CO COM*      COMMON STOCK    194162103    3283   37563 SH       DEFINED            29035      0   8528
COLGATE-PALMOLIVE CO COM*      COMMON STOCK    194162103     830    9500 SH       OTHER               9500      0      0
COMCAST CORPORATION NEW CL A C COMMON STOCK    20030N101    1147   45270 SH       DEFINED            34510      0  10760
COMCAST CORPORATION NEW CL A C COMMON STOCK    20030N101     658   25984 SH       OTHER              25984      0      0
COMERICA INC COM               COMMON STOCK    200340107     200    5797 SH       DEFINED             2800      0   2997
COMPASS MINERALS INTL INC COM  COMMON STOCK    20451N101     268    3111 SH       OTHER                  0      0   3111






                                                                                 
COMPLETE PRODTN SVCS INC COM   COMMON STOCK    20453E109     167    5000 SH       DEFINED             5000      0      0
COMPLETE PRODTN SVCS INC COM   COMMON STOCK    20453E109    4961  148704 SH       OTHER                  0      0 148704
COMPUTER SCIENCES CORP COM *   COMMON STOCK    205363104     767   20200 SH       DEFINED            20162      0     38
COMPUTER SCIENCES CORP COM *   COMMON STOCK    205363104    1727   45500 SH       OTHER                  0      0  45500
COMPUWARE CORP COM             COMMON STOCK    205638109    2195  224909 SH       OTHER                  0      0 224909
CONAGRA FOODS INC COM*         COMMON STOCK    205887102    1944   75326 SH       DEFINED            73626      0   1700
CONAGRA FOODS INC COM*         COMMON STOCK    205887102     292   11306 SH       OTHER              11306      0      0
CONOCOPHILLIPS COM*            COMMON STOCK    20825C104    5785   76940 SH       DEFINED            68167      0   8773
CONOCOPHILLIPS COM*            COMMON STOCK    20825C104    3004   39957 SH       OTHER              24757      0  15200
CONSTELLATION BRANDS INC CLASS COMMON STOCK    21036P108       3     135 SH       DEFINED                0      0    135
CONSTELLATION BRANDS INC CLASS COMMON STOCK    21036P108     915   43950 SH       OTHER                  0      0  43950
CORNING INC COM*               COMMON STOCK    219350105   11670  642971 SH       DEFINED           301058      0 341913
CORNING INC COM*               COMMON STOCK    219350105     516   28436 SH       OTHER              28436      0      0
COSTCO WHOLESALE CORP NEW COM* COMMON STOCK    22160K105   17022  209533 SH       DEFINED           126076      0  83457
COSTCO WHOLESALE CORP NEW COM* COMMON STOCK    22160K105    2361   29060 SH       OTHER              29060      0      0
CRANE CO COM                   COMMON STOCK    224399105    2526   51120 SH       OTHER                  0      0  51120
CROWN HOLDINGS INC COM         COMMON STOCK    228368106     406   10450 SH       DEFINED            10450      0      0
CULLEN/FROST BANKERS INC COM   COMMON STOCK    229899109   24522  431350 SH       DEFINED           405850   9500  16000
CULLEN/FROST BANKERS INC COM   COMMON STOCK    229899109    2950   51893 SH       OTHER              51893      0      0
CUMMINS INC*                   COMMON STOCK    231021106   15280  147649 SH       DEFINED            77406      0  70243
CUMMINS INC*                   COMMON STOCK    231021106    1675   16181 SH       OTHER              16181      0      0
CURTISS WRIGHT CORP COM        COMMON STOCK    231561101    2338   72240 SH       OTHER                840      0  71400
CVS CAREMARK CORP COM *        COMMON STOCK    126650100    3378   89901 SH       DEFINED            13863      0  76038
CVS CAREMARK CORP COM *        COMMON STOCK    126650100     326    8680 SH       OTHER               3680      0   5000
CYNOSURE INC COM               COMMON STOCK    232577205     121   10000 SH       DEFINED            10000      0      0
CYTEC INDUSTRIES INC COM       COMMON STOCK    232820100    1180   20625 SH       OTHER                  0      0  20625
DANAHER CORPORATION COM*       COMMON STOCK    235851102     536   10122 SH       DEFINED             2242      0   7880
DANAHER CORPORATION COM*       COMMON STOCK    235851102     361    6820 SH       OTHER               2320      0   4500
DARDEN RESTAURANTS INC COM     COMMON STOCK    237194105     254    5100 SH       OTHER               5100      0      0
DEERE & CO COM *               COMMON STOCK    244199105   15503  188029 SH       DEFINED            96364      0  91665
DEERE & CO COM *               COMMON STOCK    244199105    1739   21086 SH       OTHER              21086      0      0






                                                                                 
DELL INC COM*                  COMMON STOCK    24702R101    1132   67907 SH       DEFINED            63352      0   4555
DELL INC COM*                  COMMON STOCK    24702R101      86    5183 SH       OTHER               5183      0      0
DENBURY RESOURCES INC (HOLDING COMMON STOCK    247916208    6363  318128 SH       DEFINED           307652      0  10476
DENTSPLY INTERNATIONAL INC NEW COMMON STOCK    249030107    1064   27950 SH       DEFINED                0      0  27950
DENTSPLY INTERNATIONAL INC NEW COMMON STOCK    249030107     171    4500 SH       OTHER                  0      0   4500
DEVON ENERGY CORPORATION NEW C COMMON STOCK    25179M103    4519   57340 SH       DEFINED            54565      0   2775
DEVON ENERGY CORPORATION NEW C COMMON STOCK    25179M103     631    8004 SH       OTHER               7004      0   1000
DIAMOND FOODS INC COM          COMMON STOCK    252603105      57     741 SH       DEFINED                0      0    741
DIAMOND FOODS INC COM          COMMON STOCK    252603105    2183   28602 SH       OTHER                  0      0  28602
DICKS SPORTING GOODS INC COM   COMMON STOCK    253393102      18     470 SH       DEFINED              470      0      0
DICKS SPORTING GOODS INC COM   COMMON STOCK    253393102    1141   29675 SH       OTHER                  0      0  29675
DIEBOLD INC COM                COMMON STOCK    253651103    2296   74040 SH       OTHER                  0      0  74040
DIRECTV COM CLASS A*           COMMON STOCK    25490A101    8879  174713 SH       DEFINED            81363      0  93350
DIRECTV COM CLASS A*           COMMON STOCK    25490A101     795   15649 SH       OTHER              15649      0      0
DISNEY (WALT) COMPANY HOLDING  COMMON STOCK    254687106    5736  146928 SH       DEFINED           125230      0  21698
DISNEY (WALT) COMPANY HOLDING  COMMON STOCK    254687106    2243   57465 SH       OTHER              57465      0      0
DOMINION RES INC VA NEW COM*   COMMON STOCK    25746U109    3086   63929 SH       DEFINED            61409      0   2520
DOMINION RES INC VA NEW COM*   COMMON STOCK    25746U109     364    7551 SH       OTHER               7551      0      0
DOVER CORP COM *               COMMON STOCK    260003108    2730   40263 SH       DEFINED            40263      0      0
DOVER CORP COM *               COMMON STOCK    260003108    5004   73800 SH       OTHER                  0      0  73800
DOW CHEMICAL CO COM *          COMMON STOCK    260543103   14458  401623 SH       DEFINED           243268      0 158355
DOW CHEMICAL CO COM *          COMMON STOCK    260543103    5136  142679 SH       OTHER              16379      0 126300
DSW INC CL A COM               COMMON STOCK    23334L102      40     784 SH       DEFINED                0      0    784
DSW INC CL A COM               COMMON STOCK    23334L102    1151   22750 SH       OTHER                  0      0  22750
DU PONT E I DE NEMOURS & CO CO COMMON STOCK    263534109    3730   69018 SH       DEFINED            61933      0   7085
DU PONT E I DE NEMOURS & CO CO COMMON STOCK    263534109     886   16385 SH       OTHER              16285      0    100
DUKE ENERGY HOLDING CORP COM*  COMMON STOCK    26441C105    2579  136973 SH       DEFINED           123918      0  13055
DUKE ENERGY HOLDING CORP COM*  COMMON STOCK    26441C105     565   29980 SH       OTHER              19980      0  10000
DYNACQ HEALTHCARE INC COM      COMMON STOCK    26779V105      98   50349 SH       DEFINED            50349      0      0
E M C CORP MASSACHUSETTS COM * COMMON STOCK    268648102   19214  697439 SH       DEFINED           404636      0 292803
E M C CORP MASSACHUSETTS COM * COMMON STOCK    268648102    2097   76104 SH       OTHER              76104      0      0
EAST WEST BANCORP INC COM*     COMMON STOCK    27579R104    4866  240784 SH       DEFINED           113199      0 127585






                                                                                 
EAST WEST BANCORP INC COM*     COMMON STOCK    27579R104     196    9699 SH       OTHER               9699      0      0
EATON CORP COM*                COMMON STOCK    278058102    1742   33866 SH       DEFINED            28299      0   5567
EATON CORP COM*                COMMON STOCK    278058102     200    3889 SH       OTHER               3889      0      0
ELI LILLY & CO COM *           COMMON STOCK    532457108    2621   69846 SH       DEFINED            68596      0   1250
ELI LILLY & CO COM *           COMMON STOCK    532457108     478   12724 SH       OTHER              12574    150      0
EMCORE CORP COM                COMMON STOCK    290846104      55   20000 SH       DEFINED            20000      0      0
EMDEON INCORPORATED CL A COM   COMMON STOCK    29084T104    1816  138400 SH       OTHER                  0      0 138400
EMERSON ELECTRIC CO COM*       COMMON STOCK    291011104   29005  515651 SH       DEFINED           310993      0 204658
EMERSON ELECTRIC CO COM*       COMMON STOCK    291011104    4486   79744 SH       OTHER              79744      0      0
ENDO PHARMACEUTICALS HLDGS INC COMMON STOCK    29264F205      65    1615 SH       DEFINED                0      0   1615
ENDO PHARMACEUTICALS HLDGS INC COMMON STOCK    29264F205    1177   29300 SH       OTHER                  0      0  29300
ENERGY CONVERSION DEVICES INC  COMMON STOCK    292659109     133  112990 SH       DEFINED           112990      0      0
ENERGYSOLUTIONS INC COM        COMMON STOCK    292756202      71   14370 SH       DEFINED                0      0  14370
ENZO BIOCHEM INC COM           COMMON STOCK    294100102     437  102772 SH       DEFINED           102772      0      0
EOG RESOURCES INC COM*         COMMON STOCK    26875P101    7818   74780 SH       DEFINED            33577      0  41203
EOG RESOURCES INC COM*         COMMON STOCK    26875P101     175    1676 SH       OTHER               1676      0      0
EQT CORPORATION COM            COMMON STOCK    26884L109    1455   27700 SH       DEFINED                0      0  27700
EURONET WORLDWIDE INC COM      COMMON STOCK    298736109    2078  134860 SH       OTHER                  0      0 134860
EXCO RESOURCES INC COM         COMMON STOCK    269279402     189   10700 SH       DEFINED                0      0  10700
EXELON CORP COM*               COMMON STOCK    30161N101     197    4588 SH       DEFINED             4588      0      0
EXELON CORP COM*               COMMON STOCK    30161N101      24     550 SH       OTHER                550      0      0
EXPRESS SCRIPTS INC COM*       COMMON STOCK    302182100     706   13076 SH       DEFINED             3866      0   9210
EXPRESS SCRIPTS INC COM*       COMMON STOCK    302182100      43     800 SH       OTHER                800      0      0
EXXON MOBIL CORP COM*          COMMON STOCK    30231G102   72141  886470 SH       DEFINED           719855    703 165912
EXXON MOBIL CORP COM*          COMMON STOCK    30231G102   19415  238577 SH       OTHER             237377      0   1200
FAMILY DOLLAR STORES INC COM*  COMMON STOCK    307000109     221    4208 SH       DEFINED             4208      0      0
FAMILY DOLLAR STORES INC COM*  COMMON STOCK    307000109      16     300 SH       OTHER                300      0      0
FEDEX CORP COM*                COMMON STOCK    31428X106    9004   94928 SH       DEFINED            40541      0  54387
FEDEX CORP COM*                COMMON STOCK    31428X106     422    4447 SH       OTHER               4447      0      0
FIDELITY NATIONAL FINANCIAL IN COMMON STOCK    31620R105    2409  153037 SH       DEFINED           150796      0   2241
FIDELITY NATIONAL FINANCIAL IN COMMON STOCK    31620R105    4441  282171 SH       OTHER                  0      0 282171






                                                                                 
FINISAR CORP COM               COMMON STOCK    31787A507     824   45700 SH       OTHER                  0      0  45700
FIRST COMMONWEALTH FINL CORP C COMMON STOCK    319829107    1877  327000 SH       OTHER                  0      0 327000
FLOWERS FOODS INC COM          COMMON STOCK    343498101    3985  180813 SH       DEFINED           180813      0      0
FMC CORP COM NEW               COMMON STOCK    302491303     384    4462 SH       DEFINED                0      0   4462
FMC CORP COM NEW               COMMON STOCK    302491303    1469   17075 SH       OTHER                  0      0  17075
FOOT LOCKER INC COM            COMMON STOCK    344849104     252   10620 SH       DEFINED               20      0  10600
FOOT LOCKER INC COM            COMMON STOCK    344849104       5     200 SH       OTHER                200      0      0
FORD MOTOR COMPANY COM         COMMON STOCK    345370860     227   16463 SH       DEFINED            16063      0    400
FORD MOTOR COMPANY COM         COMMON STOCK    345370860      35    2546 SH       OTHER               2546      0      0
FOREST LABORATORIES INC COM    COMMON STOCK    345838106     279    7095 SH       DEFINED              112      0   6983
FOREST OIL CORP COM            COMMON STOCK    346091705    2095   78450 SH       OTHER                  0      0  78450
FORESTAR GROUP INC             COMMON STOCK    346233109     495   30120 SH       DEFINED            30120      0      0
FORTINET INC COM*              COMMON STOCK    34959E109   15776  578082 SH       DEFINED           333394      0 244688
FORTINET INC COM*              COMMON STOCK    34959E109    2080   76216 SH       OTHER              76216      0      0
FORTUNE BRANDS INC COM *       COMMON STOCK    349631101     211    3308 SH       DEFINED             3308      0      0
FORTUNE BRANDS INC COM *       COMMON STOCK    349631101      92    1447 SH       OTHER               1447      0      0
FREEPORT-MCMORAN COPPER & GOLD COMMON STOCK    35671D857   10227  193318 SH       DEFINED           102403      0  90915
FREEPORT-MCMORAN COPPER & GOLD COMMON STOCK    35671D857     524    9912 SH       OTHER               9912      0      0
FRESH MARKET INC COM           COMMON STOCK    35804H106    2606   67377 SH       OTHER                  0      0  67377
FRONTIER COMMUNICATIONS CORP C COMMON STOCK    35906A108     120   14808 SH       DEFINED             1530      0  13278
FRONTIER COMMUNICATIONS CORP C COMMON STOCK    35906A108       6     690 SH       OTHER                690      0      0
F5 NETWORKS INC COM*           COMMON STOCK    315616102    6421   58242 SH       DEFINED            28212      0  30030
F5 NETWORKS INC COM*           COMMON STOCK    315616102     129    1174 SH       OTHER               1174      0      0
GANNETT CO COM*                COMMON STOCK    364730101    1343   93773 SH       DEFINED            93013      0    760
GANNETT CO COM*                COMMON STOCK    364730101    3442  240365 SH       OTHER               4865      0 235500
GARDNER DENVER INC             COMMON STOCK    365558105    1248   14850 SH       OTHER                  0      0  14850
GATX CORP COM                  COMMON STOCK    361448103    2389   64350 SH       OTHER                  0      0  64350
GENERAL DYNAMICS CORP COM*     COMMON STOCK    369550108    2364   31727 SH       DEFINED             5927      0  25800
GENERAL DYNAMICS CORP COM*     COMMON STOCK    369550108     270    3618 SH       OTHER               3618      0      0
GENERAL ELECTRIC CO COM*       COMMON STOCK    369604103   25259 1339297 SH       DEFINED           935245      0 404052
GENERAL ELECTRIC CO COM*       COMMON STOCK    369604103    5362  284316 SH       OTHER             273866    450  10000
GENERAL MILLS INC COM*         COMMON STOCK    370334104     440   11830 SH       DEFINED            10440      0   1390






                                                                                 
GENERAL MILLS INC COM*         COMMON STOCK    370334104    1013   27210 SH       OTHER              27210      0      0
GENTEX CORP COM*               COMMON STOCK    371901109    6665  220462 SH       DEFINED           119598      0 100864
GENTEX CORP COM*               COMMON STOCK    371901109     359   11870 SH       OTHER              11870      0      0
GENWORTH FINANCIAL INC CL A CO COMMON STOCK    37247D106     308   29951 SH       DEFINED            29951      0      0
GENWORTH FINANCIAL INC CL A CO COMMON STOCK    37247D106     708   68861 SH       OTHER               2061      0  66800
GILEAD SCIENCES INC COM*       COMMON STOCK    375558103    3759   90776 SH       DEFINED            89763      0   1013
GILEAD SCIENCES INC COM*       COMMON STOCK    375558103     413    9972 SH       OTHER               9972      0      0
GOLDMAN SACHS GROUP INC COM*   COMMON STOCK    38141G104    4336   32582 SH       DEFINED            21169      0  11413
GOLDMAN SACHS GROUP INC COM*   COMMON STOCK    38141G104    1142    8581 SH       OTHER               8581      0      0
GOODRICH CORP COM*             COMMON STOCK    382388106     464    4856 SH       DEFINED             4806      0     50
GOODRICH CORP COM*             COMMON STOCK    382388106      30     310 SH       OTHER                310      0      0
GOOGLE INC CL A*               COMMON STOCK    38259P508   19301   38116 SH       DEFINED            22458      0  15658
GOOGLE INC CL A*               COMMON STOCK    38259P508    1974    3899 SH       OTHER               3899      0      0
GORDMANS STORES INC COM        COMMON STOCK    38269P100    2435  140041 SH       OTHER                  0      0 140041
GRAINGER W W INC COM           COMMON STOCK    384802104     569    3700 SH       DEFINED             3400      0    300
GREAT PLAINS ENERGY INC COM*   COMMON STOCK    391164100     257   12381 SH       DEFINED            12381      0      0
GREAT PLAINS ENERGY INC COM*   COMMON STOCK    391164100      80    3879 SH       OTHER               3879      0      0
GREEN MTN COFFEE ROASTERS INC  COMMON STOCK    393122106   10123  113410 SH       DEFINED            63826      0  49584
GREEN MTN COFFEE ROASTERS INC  COMMON STOCK    393122106     279    3123 SH       OTHER               3123      0      0
GULFMARK OFFSHORE INC CL A COM COMMON STOCK    402629208    2649   59940 SH       OTHER                  0      0  59940
HALLIBURTON CO COM*            COMMON STOCK    406216101    9723  190650 SH       DEFINED           116855      0  73795
HALLIBURTON CO COM*            COMMON STOCK    406216101    1570   30787 SH       OTHER              30787      0      0
HANESBRANDS INC*               COMMON STOCK    410345102    2147   75200 SH       DEFINED             1300      0  73900
HANESBRANDS INC*               COMMON STOCK    410345102    2401   84090 SH       OTHER                350      0  83740
HANOVER INSURANCE GROUP INC CO COMMON STOCK    410867105    2194   58170 SH       OTHER                  0      0  58170
HARMAN INTL INDS INC COM*      COMMON STOCK    413086109   10368  227527 SH       DEFINED            97640      0 129887
HARMAN INTL INDS INC COM*      COMMON STOCK    413086109    2510   55076 SH       OTHER               3956      0  51120
HARSCO CORPORATION COM         COMMON STOCK    415864107    2356   72280 SH       OTHER                  0      0  72280
HCC INSURANCE HOLDINGS INC COM COMMON STOCK    404132102     236    7501 SH       DEFINED             4401      0   3100
HCC INSURANCE HOLDINGS INC COM COMMON STOCK    404132102       3      80 SH       OTHER                 80      0      0
HEALTH MGMT ASSOC INC NEW CLAS COMMON STOCK    421933102      38    3500 SH       DEFINED                0      0   3500






                                                                                 
HEALTH MGMT ASSOC INC NEW CLAS COMMON STOCK    421933102     964   89450 SH       OTHER                  0      0  89450
HEALTH NET INC COM             COMMON STOCK    42222G108       8     236 SH       DEFINED              186      0     50
HEALTH NET INC COM             COMMON STOCK    42222G108    2461   76700 SH       OTHER                  0      0  76700
HEINZ H. J. CO COM *           COMMON STOCK    423074103    1029   19310 SH       DEFINED            15670      0   3640
HEINZ H. J. CO COM *           COMMON STOCK    423074103     182    3410 SH       OTHER               3410      0      0
HEWLETT PACKARD CO (DEL) COM*  COMMON STOCK    428236103    6891  189324 SH       DEFINED           142888      0  46436
HEWLETT PACKARD CO (DEL) COM*  COMMON STOCK    428236103    6178  169737 SH       OTHER              15237      0 154500
HMS HOLDINGS CORP COM          COMMON STOCK    40425J101      61     800 SH       DEFINED              200      0    600
HMS HOLDINGS CORP COM          COMMON STOCK    40425J101    1051   13675 SH       OTHER                  0      0  13675
HOLLY CORP COM                 COMMON STOCK    435758305     725   10452 SH       DEFINED            10452      0      0
HOME DEPOT INC COM *           COMMON STOCK    437076102    3538   97693 SH       DEFINED            94943      0   2750
HOME DEPOT INC COM *           COMMON STOCK    437076102    4237  116982 SH       OTHER              11282      0 105700
HONEYWELL INTERNATIONAL INC CO COMMON STOCK    438516106   21018  352707 SH       DEFINED           173922      0 178785
HONEYWELL INTERNATIONAL INC CO COMMON STOCK    438516106    1142   19159 SH       OTHER              19159      0      0
HUMANA INC COM*                COMMON STOCK    444859102    5573   69197 SH       DEFINED            32757      0  36440
HUMANA INC COM*                COMMON STOCK    444859102     162    2014 SH       OTHER               2014      0      0
HYPERDYNAMICS CORP COM         COMMON STOCK    448954107    2356  547805 SH       DEFINED           547805      0      0
ILLINOIS TOOL WORKS INC COM *  COMMON STOCK    452308109   13877  245646 SH       DEFINED           122601      0 123045
ILLINOIS TOOL WORKS INC COM *  COMMON STOCK    452308109    1214   21487 SH       OTHER              21487      0      0
INGRAM MICRO INC CLASS A       COMMON STOCK    457153104     911   50200 SH       DEFINED                0      0  50200
INSITUFORM TECH INC COM CL A   COMMON STOCK    457667103    2540  121110 SH       OTHER                  0      0 121110
INT'L FLAVORS & FRAGRANCES INC COMMON STOCK    459506101    1298   20200 SH       DEFINED             2175      0  18025
INTEGRATED DEVICE TECH INC COM COMMON STOCK    458118106    2199  279717 SH       OTHER                  0      0 279717
INTEGRATED SILICON SOLUTION IN COMMON STOCK    45812P107    2476  256100 SH       OTHER                  0      0 256100
INTEL CORP COM *               COMMON STOCK    458140100    8804  397289 SH       DEFINED           297995      0  99294
INTEL CORP COM *               COMMON STOCK    458140100    1673   75481 SH       OTHER              75481      0      0
INTL BUSINESS MACHINES CORP CO COMMON STOCK    459200101   24899  145143 SH       DEFINED           101167      0  43976
INTL BUSINESS MACHINES CORP CO COMMON STOCK    459200101   13113   76438 SH       OTHER              22038      0  54400
INTREPID POTASH INC COM        COMMON STOCK    46121Y102    1154   35510 SH       OTHER                  0      0  35510
INTUITIVE SURGICAL INC COM*    COMMON STOCK    46120E602    2190    5885 SH       DEFINED             5668      0    217
INTUITIVE SURGICAL INC COM*    COMMON STOCK    46120E602     247     663 SH       OTHER                663      0      0
IQ ARB GLOBAL RESOURCES ETF    COMMON STOCK    45409B883     224    7211 SH       DEFINED                0      0   7211






                                                                                 
IQ ARB MERGER ARBITRAGE ETF    COMMON STOCK    45409B800     261   10344 SH       DEFINED                0      0  10344
IQ HEDGE MACRO TRACKER ETF     COMMON STOCK    45409B206     588   21148 SH       DEFINED                0      0  21148
IQ HEDGE MULTI-STRATEGY TRACKE COMMON STOCK    45409B107     853   30959 SH       DEFINED                0      0  30959
ISHARES BARCLAYS AGGREGATE BON COMMON STOCK    464287226     756    7085 SH       DEFINED             3651      0   3434
ISHARES BARCLAYS TIPS BOND FUN COMMON STOCK    464287176    8922   80636 SH       DEFINED            74274      0   6362
ISHARES BARCLAYS TIPS BOND FUN COMMON STOCK    464287176     864    7809 SH       OTHER               7809      0      0
ISHARES BARCLAYS 1-3 YEAR TREA COMMON STOCK    464287457    2018   23933 SH       DEFINED            23583      0    350
ISHARES BARCLAYS 1-3 YEAR TREA COMMON STOCK    464287457    1324   15705 SH       OTHER              15705      0      0
ISHARES BARCLAYS 20+ YR TREAS  COMMON STOCK    464287432    2927   31100 SH       DEFINED            31100      0      0
ISHARES BARCLAYS 20+ YR TREAS  COMMON STOCK    464287432     141    1500 SH       OTHER               1500      0      0
ISHARES BARCLAYS 7-10 YR TREAS COMMON STOCK    464287440    1060   11059 SH       DEFINED             6459      0   4600
ISHARES COHEN & STEERS REALTY* COMMON STOCK    464287564   26816  369820 SH       DEFINED           369820      0      0
ISHARES COHEN & STEERS REALTY* COMMON STOCK    464287564    3357   46300 SH       OTHER              46300      0      0
ISHARES DJ SELECT DIVIDEND IND COMMON STOCK    464287168    7508  141871 SH       DEFINED           135047      0   6824
ISHARES DJ SELECT DIVIDEND IND COMMON STOCK    464287168    1221   23069 SH       OTHER              22669    400      0
ISHARES FTSE/XINHUA CHINA 25 I COMMON STOCK    464287184     208    4849 SH       DEFINED              853      0   3996
ISHARES IBOXX $ INVT GRADE COR COMMON STOCK    464287242   65943  598777 SH       DEFINED           590610      0   8167
ISHARES IBOXX $ INVT GRADE COR COMMON STOCK    464287242    2663   24180 SH       OTHER              24180      0      0
ISHARES INC MSCI GERMANY INDEX COMMON STOCK    464286806     304   11307 SH       DEFINED                0      0  11307
ISHARES MSCI EAFE INDEX FUND*  COMMON STOCK    464287465    4790   79651 SH       DEFINED            55002      0  24649
ISHARES MSCI EAFE INDEX FUND*  COMMON STOCK    464287465     253    4214 SH       OTHER               4214      0      0
ISHARES MSCI EMERGING MKTS IND COMMON STOCK    464287234    3365   70698 SH       DEFINED            60847      0   9851
ISHARES MSCI EMERGING MKTS IND COMMON STOCK    464287234     416    8745 SH       OTHER               8745      0      0
ISHARES MSCI PACIFIC EX JPN IN COMMON STOCK    464286665     831   17451 SH       DEFINED                0      0  17451
ISHARES RUSSELL 1000 GROWTH*   COMMON STOCK    464287614    4676   76810 SH       DEFINED            75140      0   1670
ISHARES RUSSELL 1000 GROWTH*   COMMON STOCK    464287614      31     510 SH       OTHER                510      0      0
ISHARES RUSSELL 1000 VALUE IND COMMON STOCK    464287598    4342   63584 SH       DEFINED            63584      0      0
ISHARES RUSSELL 1000 VALUE IND COMMON STOCK    464287598     129    1888 SH       OTHER               1888      0      0
ISHARES RUSSELL 2000 GRWTH IND COMMON STOCK    464287648    1643   17318 SH       DEFINED            16548      0    770
ISHARES RUSSELL 2000 GRWTH IND COMMON STOCK    464287648     806    8495 SH       OTHER               8495      0      0
ISHARES RUSSELL 2000 INDEX FUN COMMON STOCK    464287655    1580   19084 SH       DEFINED            19084      0      0






                                                                                 
ISHARES RUSSELL 2000 INDEX FUN COMMON STOCK    464287655      91    1103 SH       OTHER               1103      0      0
ISHARES RUSSELL 2000 VALUE IND COMMON STOCK    464287630     737   10036 SH       DEFINED             9146      0    890
ISHARES RUSSELL 2000 VALUE IND COMMON STOCK    464287630      35     475 SH       OTHER                475      0      0
ISHARES S&P EUROPE 350 INDEX F COMMON STOCK    464287861     783   18608 SH       DEFINED                0      0  18608
ISHARES S&P GLOBAL ENERGY SECT COMMON STOCK    464287341     662   15864 SH       DEFINED             9064      0   6800
ISHARES S&P GLOBAL ENERGY SECT COMMON STOCK    464287341       4     100 SH       OTHER                100      0      0
ISHARES S&P GROWTH ALLOCATION  COMMON STOCK    464289867     764   23454 SH       DEFINED                0      0  23454
ISHARES S&P LATIN AMER 40 INDE COMMON STOCK    464287390     218    4217 SH       DEFINED               94      0   4123
ISHARES S&P MIDCAP 400 GROWTH* COMMON STOCK    464287606   21553  194258 SH       DEFINED           190303      0   3955
ISHARES S&P MIDCAP 400 GROWTH* COMMON STOCK    464287606     883    7960 SH       OTHER               7960      0      0
ISHARES S&P MIDCAP 400 INDEX F COMMON STOCK    464287507    1805   18476 SH       DEFINED            14358      0   4118
ISHARES S&P MIDCAP 400 INDEX F COMMON STOCK    464287507     265    2715 SH       OTHER               2715      0      0
ISHARES S&P SMALLCAP 600 INDEX COMMON STOCK    464287804    2134   29109 SH       DEFINED             7879      0  21230
ISHARES S&P SMALLCAP 600 INDEX COMMON STOCK    464287804      19     260 SH       OTHER                260      0      0
ISHARES S&P 500 GROWTH INDEX F COMMON STOCK    464287309     510    7346 SH       DEFINED             7292      0     54
ISHARES SILVER TRUST           COMMON STOCK    46428Q109     125    3685 SH       DEFINED             3685      0      0
ISHARES SILVER TRUST           COMMON STOCK    46428Q109     752   22221 SH       OTHER              22221      0      0
ISTA PHARMACEUTICALS INC COM   COMMON STOCK    45031X204    2280  298233 SH       OTHER                  0      0 298233
JABIL CIRCUIT INC COM          COMMON STOCK    466313103    2439  120760 SH       OTHER                  0      0 120760
JACK IN THE BOX INC COM        COMMON STOCK    466367109    2711  119000 SH       OTHER                  0      0 119000
JEFFERIES TR/J CRB GLBL CMDTY  COMMON STOCK    00162Q304     356    7095 SH       DEFINED                0      0   7095
JOHNSON & JOHNSON COM *        COMMON STOCK    478160104    8624  129642 SH       DEFINED           120754      0   8888
JOHNSON & JOHNSON COM *        COMMON STOCK    478160104    5275   79306 SH       OTHER              44906      0  34400
JOHNSON CONTROLS INC COM *     COMMON STOCK    478366107     829   19900 SH       DEFINED            18760      0   1140
JOHNSON CONTROLS INC COM *     COMMON STOCK    478366107     390    9355 SH       OTHER               9355      0      0
JONES LANG LASALLE INC COM     COMMON STOCK    48020Q107    1219   12925 SH       OTHER                  0      0  12925
JPMORGAN CHASE & CO COM*       COMMON STOCK    46625H100   24864  607324 SH       DEFINED           337763      0 269561
JPMORGAN CHASE & CO COM*       COMMON STOCK    46625H100    3674   89752 SH       OTHER              84252      0   5500
KELLOGG CO COM*                COMMON STOCK    487836108   11948  215974 SH       DEFINED           104473      0 111501
KELLOGG CO COM*                COMMON STOCK    487836108     557   10064 SH       OTHER              10064      0      0
KENNAMETAL INC COM*            COMMON STOCK    489170100    1299   30778 SH       DEFINED            30778      0      0
KENNAMETAL INC COM*            COMMON STOCK    489170100     102    2421 SH       OTHER               2421      0      0






                                                                                 
KEY ENERGY SERVICES INC COM    COMMON STOCK    492914106    2602  144560 SH       OTHER                  0      0 144560
KEYW HOLDING CORP COM (THE)    COMMON STOCK    493723100    1830  147666 SH       OTHER                  0      0 147666
KIMBERLY CLARK CORP COM*       COMMON STOCK    494368103    4486   67392 SH       DEFINED            39922      0  27470
KIMBERLY CLARK CORP COM*       COMMON STOCK    494368103     433    6498 SH       OTHER               6498      0      0
KIRBY CORP COM                 COMMON STOCK    497266106      82    1440 SH       DEFINED                0      0   1440
KIRBY CORP COM                 COMMON STOCK    497266106    2597   45830 SH       OTHER                  0      0  45830
KOHLS CORP COM *               COMMON STOCK    500255104     512   10237 SH       DEFINED             5292      0   4945
KOHLS CORP COM *               COMMON STOCK    500255104      60    1200 SH       OTHER                  0      0   1200
KRAFT FOODS INC CLASS A COM*   COMMON STOCK    50075N104    1307   37100 SH       DEFINED            30134      0   6966
KRAFT FOODS INC CLASS A COM*   COMMON STOCK    50075N104     962   27297 SH       OTHER              27297      0      0
KROGER CO COM                  COMMON STOCK    501044101     241    9700 SH       DEFINED                0      0   9700
LAM RESEARCH CORPORATION COM*  COMMON STOCK    512807108    7498  169328 SH       DEFINED            82933      0  86395
LAM RESEARCH CORPORATION COM*  COMMON STOCK    512807108     252    5702 SH       OTHER               5702      0      0
LIFEPOINT HOSPITALS INC COM    COMMON STOCK    53219L109       5     120 SH       DEFINED              120      0      0
LIFEPOINT HOSPITALS INC COM    COMMON STOCK    53219L109    2411   61700 SH       OTHER                  0      0  61700
LINCOLN ELECTRIC HOLDINGS INC  COMMON STOCK    533900106    5737  160022 SH       DEFINED            70092      0  89930
LINCOLN ELECTRIC HOLDINGS INC  COMMON STOCK    533900106     232    6460 SH       OTHER               6460      0      0
LINCOLN NATIONAL CORP INDIANA  COMMON STOCK    534187109     370   12998 SH       DEFINED            12998      0      0
LINCOLN NATIONAL CORP INDIANA  COMMON STOCK    534187109    1025   35967 SH       OTHER                400      0  35567
LKQ CORP COM                   COMMON STOCK    501889208     163    6255 SH       DEFINED                0      0   6255
LKQ CORP COM                   COMMON STOCK    501889208    1171   44900 SH       OTHER                  0      0  44900
LOCKHEED MARTIN CORP COM *     COMMON STOCK    539830109     425    5245 SH       DEFINED             3945      0   1300
LOCKHEED MARTIN CORP COM *     COMMON STOCK    539830109      84    1042 SH       OTHER               1042      0      0
LOWES COS INC COM *            COMMON STOCK    548661107    3513  150703 SH       DEFINED           130028      0  20675
LOWES COS INC COM *            COMMON STOCK    548661107    1453   62337 SH       OTHER              62337      0      0
LUBRIZOL CORP COM              COMMON STOCK    549271104     688    5122 SH       DEFINED             5122      0      0
M D U RESOURCES GROUP INC COM  COMMON STOCK    552690109    1789   79512 SH       DEFINED              757      0  78755
M D U RESOURCES GROUP INC COM  COMMON STOCK    552690109      34    1517 SH       OTHER               1517      0      0
M&T BANK CORP COM*             COMMON STOCK    55261F104     243    2760 SH       DEFINED             2760      0      0
MAGELLAN HEALTH SERVICES INC C COMMON STOCK    559079207    2654   48480 SH       OTHER                  0      0  48480
MAGNACHIP SEMICONDUCTOR CORP   COMMON STOCK    55933J203    1854  160922 SH       OTHER                  0      0 160922






                                                                                 
MARATHON OIL CORP COM*         COMMON STOCK    565849106    1042   19781 SH       DEFINED            15723      0   4058
MARATHON OIL CORP COM*         COMMON STOCK    565849106     155    2948 SH       OTHER               2948      0      0
MARSH & MCLENNAN COS INC COM*  COMMON STOCK    571748102    3114   99833 SH       DEFINED            99833      0      0
MARSH & MCLENNAN COS INC COM*  COMMON STOCK    571748102    7105  227800 SH       OTHER                  0      0 227800
MASTERCARD INC CL A COM*       COMMON STOCK    57636Q104    7828   25976 SH       DEFINED            14333      0  11643
MASTERCARD INC CL A COM*       COMMON STOCK    57636Q104     213     708 SH       OTHER                708      0      0
MAXIM INTEGRATED PRODUCTS INC  COMMON STOCK    57772K101    9996  391061 SH       DEFINED           217061      0 174000
MAXIM INTEGRATED PRODUCTS INC  COMMON STOCK    57772K101     714   27917 SH       OTHER              27917      0      0
MCCORMICK & CO INC COM NON VOT COMMON STOCK    579780206    1276   25750 SH       DEFINED                0      0  25750
MCDONALD'S CORP COM *          COMMON STOCK    580135101   15791  187272 SH       DEFINED           119307      0  67965
MCDONALD'S CORP COM *          COMMON STOCK    580135101    2013   23871 SH       OTHER              23871      0      0
MEDCO HEALTH SOLUTIONS INC COM COMMON STOCK    58405U102    9361  165621 SH       DEFINED            84171      0  81450
MEDCO HEALTH SOLUTIONS INC COM COMMON STOCK    58405U102     284    5017 SH       OTHER               5017      0      0
MEDICIS PHARMACEUTICAL CL A    COMMON STOCK    584690309    2658   69630 SH       OTHER                  0      0  69630
MEDTRONIC INC COM*             COMMON STOCK    585055106   16311  423329 SH       DEFINED           194183      0 229146
MEDTRONIC INC COM*             COMMON STOCK    585055106    1503   39003 SH       OTHER              39003      0      0
MERCK & CO INC NEW COM*        COMMON STOCK    58933Y105   17213  487764 SH       DEFINED           272190      0 215574
MERCK & CO INC NEW COM*        COMMON STOCK    58933Y105    1356   38419 SH       OTHER              38319      0    100
MEREDITH CORP COM*             COMMON STOCK    589433101     301    9658 SH       DEFINED             9658      0      0
MEREDITH CORP COM*             COMMON STOCK    589433101      79    2550 SH       OTHER               2550      0      0
METLIFE INC COM*               COMMON STOCK    59156R108   13004  296427 SH       DEFINED           143413      0 153014
METLIFE INC COM*               COMMON STOCK    59156R108    1789   40769 SH       OTHER              40769      0      0
METROPCS COMMUNICATIONS INC CO COMMON STOCK    591708102      36    2100 SH       DEFINED                0      0   2100
METROPCS COMMUNICATIONS INC CO COMMON STOCK    591708102    1602   93100 SH       OTHER                  0      0  93100
MICROSEMI CORPORATION COM      COMMON STOCK    595137100    2349  114600 SH       OTHER                  0      0 114600
MICROSOFT CORP COM*            COMMON STOCK    594918104    9559  367635 SH       DEFINED           258730      0 108905
MICROSOFT CORP COM*            COMMON STOCK    594918104    2866  110229 SH       OTHER             104229      0   6000
MOLEX INC COM*                 COMMON STOCK    608554101   11011  427292 SH       DEFINED           194662      0 232630
MOLEX INC COM*                 COMMON STOCK    608554101     515   19972 SH       OTHER              19972      0      0
MOLYCORP INC COM               COMMON STOCK    608753109    1216   19914 SH       OTHER                103      0  19811
MONSANTO CO NEW COM*           COMMON STOCK    61166W101    1969   27141 SH       DEFINED            24311      0   2830
MONSANTO CO NEW COM*           COMMON STOCK    61166W101     225    3099 SH       OTHER               3099      0      0






                                                                                 
MORTONS RESTAURANT GROUP INC C COMMON STOCK    619430101    2292  316176 SH       OTHER                  0      0 316176
MOSAIC COMPANY COM (THE)*      COMMON STOCK    61945C103     346    5114 SH       DEFINED             4714      0    400
MOSAIC COMPANY COM (THE)*      COMMON STOCK    61945C103      28     420 SH       OTHER                420      0      0
MYRIAD GENETICS INCORPORATED C COMMON STOCK    62855J104    1961   86336 SH       OTHER                  0      0  86336
NALCO HOLDING COMPANY COM      COMMON STOCK    62985Q101     222    7972 SH       DEFINED                0      0   7972
NASDAQ OMX GROUP INC COM       COMMON STOCK    631103108    1000   39525 SH       OTHER                  0      0  39525
NATIONAL FINL PARTNERS CORP CO COMMON STOCK    63607P208    2622  227187 SH       OTHER                  0      0 227187
NATIONAL INSTRUMENTS CORP COM  COMMON STOCK    636518102     380   12798 SH       DEFINED              255      0  12543
NATIONAL INSTRUMENTS CORP COM  COMMON STOCK    636518102     998   33587 SH       OTHER                337      0  33250
NATIONAL-OILWELL VARCO INC COM COMMON STOCK    637071101     209    2674 SH       DEFINED              174      0   2500
NETAPP INC COM*                COMMON STOCK    64110D104   11076  209851 SH       DEFINED            88166      0 121685
NETAPP INC COM*                COMMON STOCK    64110D104    1168   22124 SH       OTHER              22124      0      0
NETFLIX INC COM                COMMON STOCK    64110L106     384    1460 SH       DEFINED              133      0   1327
NEWS CORP CLASS A COM          COMMON STOCK    65248E104    1858  104975 SH       DEFINED              925      0 104050
NEXTERA ENERGY INC COM*        COMMON STOCK    65339F101    2705   47068 SH       DEFINED            46288      0    780
NEXTERA ENERGY INC COM*        COMMON STOCK    65339F101     401    6979 SH       OTHER               6979      0      0
NICOR INC COM *                COMMON STOCK    654086107     201    3668 SH       DEFINED             3668      0      0
NICOR INC COM *                COMMON STOCK    654086107      48     868 SH       OTHER                868      0      0
NIKE INC CLASS B *             COMMON STOCK    654106103    1269   14102 SH       DEFINED             3099      0  11003
NIKE INC CLASS B *             COMMON STOCK    654106103     103    1149 SH       OTHER               1149      0      0
NOBLE ENERGY INC COM           COMMON STOCK    655044105     277    3085 SH       DEFINED                0      0   3085
NORDSTROM INC COM*             COMMON STOCK    655664100    7006  149246 SH       DEFINED            82536      0  66710
NORDSTROM INC COM*             COMMON STOCK    655664100     278    5931 SH       OTHER               5931      0      0
NORFOLK SOUTHERN CORP COM*     COMMON STOCK    655844108   16663  222377 SH       DEFINED           114232      0 108145
NORFOLK SOUTHERN CORP COM*     COMMON STOCK    655844108    1336   17835 SH       OTHER              17835      0      0
NORTHROP GRUMMAN CORP COM*     COMMON STOCK    666807102     318    4590 SH       DEFINED             4455      0    135
NORTHROP GRUMMAN CORP COM*     COMMON STOCK    666807102      53     765 SH       OTHER                765      0      0
NUANCE COMMUNICATIONS INC COM  COMMON STOCK    67020Y100     404   18805 SH       DEFINED                0      0  18805
NUANCE COMMUNICATIONS INC COM  COMMON STOCK    67020Y100    1572   73225 SH       OTHER                  0      0  73225
NUCOR CORP COM*                COMMON STOCK    670346105    1165   28269 SH       DEFINED            27269      0   1000
NUCOR CORP COM*                COMMON STOCK    670346105      84    2035 SH       OTHER               2035      0      0






                                                                                 
NUVASIVE INC COM*              COMMON STOCK    670704105     109    3328 SH       DEFINED             3328      0      0
NUVASIVE INC COM*              COMMON STOCK    670704105    2125   64620 SH       OTHER                 43      0  64577
NVIDIA CORP COM*               COMMON STOCK    67066G104     226   14195 SH       DEFINED              345      0  13850
NYSE EURONEXT COM*             COMMON STOCK    629491101   14470  422243 SH       DEFINED           208013      0 214230
NYSE EURONEXT COM*             COMMON STOCK    629491101     572   16688 SH       OTHER              16688      0      0
O'REILLY AUTOMOTIVE INC COM*   COMMON STOCK    67103H107   11765  179591 SH       DEFINED           100231      0  79360
O'REILLY AUTOMOTIVE INC COM*   COMMON STOCK    67103H107    1283   19581 SH       OTHER               9031      0  10550
OCCIDENTAL PETROLEUM CORP COM* COMMON STOCK    674599105    1095   10528 SH       DEFINED            10126      0    402
OCCIDENTAL PETROLEUM CORP COM* COMMON STOCK    674599105     353    3389 SH       OTHER               3389      0      0
OFFICE DEPOT INC COM           COMMON STOCK    676220106       1     300 SH       DEFINED                0      0    300
OFFICE DEPOT INC COM           COMMON STOCK    676220106    2284  541306 SH       OTHER                  0      0 541306
OIL STATES INTL INC COM        COMMON STOCK    678026105    2605   32600 SH       OTHER                  0      0  32600
OMNIAMERICAN BANCORP INC COM   COMMON STOCK    68216R107     150   10000 SH       DEFINED            10000      0      0
ONEOK INC NEW COM              COMMON STOCK    682680103     348    4700 SH       DEFINED             4700      0      0
ONEOK INC NEW COM              COMMON STOCK    682680103       7     100 SH       OTHER                100      0      0
ORACLE CORPORATION*            COMMON STOCK    68389X105   18787  570874 SH       DEFINED           341145      0 229729
ORACLE CORPORATION*            COMMON STOCK    68389X105    2626   79794 SH       OTHER              74794      0   5000
PACCAR INC COM*                COMMON STOCK    693718108   11814  231238 SH       DEFINED           128933      0 102305
PACCAR INC COM*                COMMON STOCK    693718108     145    2834 SH       OTHER               2834      0      0
PAR PHARMACEUTICAL COS INC COM COMMON STOCK    69888P106    5263  159576 SH       OTHER                  0      0 159576
PAREXEL INTL CORP COM          COMMON STOCK    699462107     985   41825 SH       OTHER                  0      0  41825
PATTERSON-UTI ENERGY INC COM*  COMMON STOCK    703481101     753   23826 SH       DEFINED            11998      0  11828
PATTERSON-UTI ENERGY INC COM*  COMMON STOCK    703481101      74    2330 SH       OTHER               2330      0      0
PAYCHEX INC COM*               COMMON STOCK    704326107     194    6302 SH       DEFINED             5252      0   1050
PAYCHEX INC COM*               COMMON STOCK    704326107      68    2199 SH       OTHER               2199      0      0
PEABODY ENERGY CORP COM*       COMMON STOCK    704549104    6270  106428 SH       DEFINED            51713      0  54715
PEABODY ENERGY CORP COM*       COMMON STOCK    704549104     222    3773 SH       OTHER               2273      0   1500
PEBBLEBROOK HOTEL TRUST COM    COMMON STOCK    70509V100    2024  100259 SH       OTHER                  0      0 100259
PENSKE AUTOMOTIVE GROUP INC CO COMMON STOCK    70959W103      63    2755 SH       DEFINED                0      0   2755
PENSKE AUTOMOTIVE GROUP INC CO COMMON STOCK    70959W103    2766  121640 SH       OTHER                  0      0 121640
PEPSICO INC COM*               COMMON STOCK    713448108   19515  277084 SH       DEFINED           196410      0  80674
PEPSICO INC COM*               COMMON STOCK    713448108    4563   64786 SH       OTHER              62786      0   2000






                                                                                 
PERKINELMER INC COM            COMMON STOCK    714046109     194    7223 SH       DEFINED                0      0   7223
PERKINELMER INC COM            COMMON STOCK    714046109    1152   42825 SH       OTHER                  0      0  42825
PETSMART INC COM*              COMMON STOCK    716768106     653   14393 SH       DEFINED             7518      0   6875
PETSMART INC COM*              COMMON STOCK    716768106      17     380 SH       OTHER                380      0      0
PFIZER INC COM*                COMMON STOCK    717081103    7116  345422 SH       DEFINED           324347      0  21075
PFIZER INC COM*                COMMON STOCK    717081103    2910  141271 SH       OTHER             141171      0    100
PHILIP MORRIS INT'L INC COM*   COMMON STOCK    718172109   32232  482725 SH       DEFINED           243565      0 239160
PHILIP MORRIS INT'L INC COM*   COMMON STOCK    718172109    3561   53337 SH       OTHER              53337      0      0
PIONEER DRILLING CO COM        COMMON STOCK    723655106     675   44282 SH       DEFINED            44282      0      0
PIONEER NATURAL RESOURCES CO C COMMON STOCK    723787107     212    2367 SH       DEFINED             2367      0      0
PIONEER NATURAL RESOURCES CO C COMMON STOCK    723787107      18     200 SH       OTHER                200      0      0
PITNEY BOWES INC COM*          COMMON STOCK    724479100     221    9598 SH       DEFINED             9598      0      0
PITNEY BOWES INC COM*          COMMON STOCK    724479100      57    2500 SH       OTHER               2500      0      0
PLUM CREEK TIMBER CO INC REIT  COMMON STOCK    729251108     228    5629 SH       DEFINED               29      0   5600
PMC-SIERRA INC COM             COMMON STOCK    69344F106    2415  319080 SH       OTHER                  0      0 319080
PNC FINANCIAL SERVICES GROUP C COMMON STOCK    693475105   12869  215886 SH       DEFINED           106046      0 109840
PNC FINANCIAL SERVICES GROUP C COMMON STOCK    693475105     450    7548 SH       OTHER               7548      0      0
POWERSHARES DWA EMRG MKTS TECH COMMON STOCK    73936Q207     323   17170 SH       DEFINED            17170      0      0
POWERSHARES DYNAMIC LG CAP VAL COMMON STOCK    73935X708    2377  118969 SH       DEFINED           118969      0      0
POWERSHARES GLOBAL LISTED PRIV COMMON STOCK    73935X195     264   24801 SH       DEFINED                0      0  24801
PPG INDUSTRIES INC COM *       COMMON STOCK    693506107    4415   48628 SH       DEFINED            48628      0      0
PPG INDUSTRIES INC COM *       COMMON STOCK    693506107    2033   22388 SH       OTHER               1288      0  21100
PPL CORPORATION COM*           COMMON STOCK    69351T106     296   10652 SH       DEFINED            10652      0      0
PRAXAIR INC COM*               COMMON STOCK    74005P104    8528   78675 SH       DEFINED            45456      0  33219
PRAXAIR INC COM*               COMMON STOCK    74005P104     481    4440 SH       OTHER               4440      0      0
PRICELINE.COM INCORPORATED COM COMMON STOCK    741503403    8486   16577 SH       DEFINED             9082      0   7495
PRICELINE.COM INCORPORATED COM COMMON STOCK    741503403     148     290 SH       OTHER                290      0      0
PRIVATEBANCORP INCORPORATED CO COMMON STOCK    742962103    2165  156900 SH       OTHER                  0      0 156900
PROCTER & GAMBLE CO COM *      COMMON STOCK    742718109    9660  151954 SH       DEFINED           139302      0  12652
PROCTER & GAMBLE CO COM *      COMMON STOCK    742718109    2896   45558 SH       OTHER              43558      0   2000
PROGRESS ENERGY INC COM*       COMMON STOCK    743263105     198    4134 SH       DEFINED             4134      0      0






                                                                                 
PROGRESS ENERGY INC COM*       COMMON STOCK    743263105      36     740 SH       OTHER                740      0      0
PROGRESS SOFTWARE CORP COM     COMMON STOCK    743312100    2281   94540 SH       OTHER                  0      0  94540
PROSHARES CREDIT SUISSE 130/30 COMMON STOCK    74347R248     473    7794 SH       DEFINED                0      0   7794
PROSHARES RAFI LONG/SHORT ETF  COMMON STOCK    74347X310     266    6515 SH       DEFINED                0      0   6515
PROSHARES ULTRA S&P SMCAP600 E COMMON STOCK    74347R818     247    4733 SH       DEFINED                0      0   4733
PROSPERITY BANCSHARES INC COM  COMMON STOCK    743606105    1065   24307 SH       DEFINED            24307      0      0
PROSPERITY BANCSHARES INC COM  COMMON STOCK    743606105    1081   24675 SH       OTHER                  0      0  24675
PRUDENTIAL FINANCIAL INC COM   COMMON STOCK    744320102     592    9314 SH       DEFINED             1552      0   7762
PRUDENTIAL FINANCIAL INC COM   COMMON STOCK    744320102     192    3019 SH       OTHER                519      0   2500
PUBLIC STORAGE INC REIT COM    COMMON STOCK    74460D109     252    2209 SH       DEFINED             2209      0      0
PULSE ELECTRONICS CORP COM     COMMON STOCK    74586W106    1038  234799 SH       DEFINED           234799      0      0
PULSE ELECTRONICS CORP COM     COMMON STOCK    74586W106    1696  383801 SH       OTHER               6601      0 377200
QUALCOMM INC COM*              COMMON STOCK    747525103   21089  371345 SH       DEFINED           178193      0 193152
QUALCOMM INC COM*              COMMON STOCK    747525103    2169   38185 SH       OTHER              38185      0      0
QUESTCOR PHARMACEUTICALS INC C COMMON STOCK    74835Y101     343   14242 SH       OTHER                  0      0  14242
RANGE RESOURCES CORPORATION CO COMMON STOCK    75281A109     545    9820 SH       DEFINED              350      0   9470
RANGE RESOURCES CORPORATION CO COMMON STOCK    75281A109     723   13030 SH       OTHER                130      0  12900
RAYMOND JAMES FINANCIAL INC CO COMMON STOCK    754730109     294    9136 SH       DEFINED             2066      0   7070
RAYMOND JAMES FINANCIAL INC CO COMMON STOCK    754730109    1088   33850 SH       OTHER                900      0  32950
RAYTHEON CO NEW COM*           COMMON STOCK    755111507    1505   30182 SH       DEFINED            30136      0     46
RAYTHEON CO NEW COM*           COMMON STOCK    755111507    2265   45438 SH       OTHER              10438      0  35000
REINSURANCE GROUP OF AMERICA I COMMON STOCK    759351604      37     600 SH       DEFINED                0      0    600
REINSURANCE GROUP OF AMERICA I COMMON STOCK    759351604    2468   40550 SH       OTHER                  0      0  40550
REPUBLIC SERVICES INC COM      COMMON STOCK    760759100    2145   69525 SH       DEFINED                0      0  69525
ROCK-TENN CO COM               COMMON STOCK    772739207     202    3042 SH       DEFINED                0      0   3042
ROCKWELL AUTOMATION INC COM *  COMMON STOCK    773903109   13128  151313 SH       DEFINED            81898      0  69415
ROCKWELL AUTOMATION INC COM *  COMMON STOCK    773903109     608    7009 SH       OTHER               7009      0      0
ROCKWELL COLLINS INC COM       COMMON STOCK    774341101     267    4330 SH       DEFINED                0      0   4330
ROPER INDS INC COM             COMMON STOCK    776696106     235    2820 SH       DEFINED                0      0   2820
ROSETTA RES INC COM            COMMON STOCK    777779307    1361   26400 SH       OTHER                  0      0  26400
ROSS STORES INC COM            COMMON STOCK    778296103      13     164 SH       DEFINED              164      0      0
ROSS STORES INC COM            COMMON STOCK    778296103     320    4000 SH       OTHER               4000      0      0






                                                                                 
RUSH ENTERPRISES INC CLASS B C COMMON STOCK    781846308   66132 4107574 SH       DEFINED          4107574      0      0
RYDER SYSTEM INC COM*          COMMON STOCK    783549108    9432  165911 SH       DEFINED            81239      0  84672
RYDER SYSTEM INC COM*          COMMON STOCK    783549108     375    6590 SH       OTHER               6590      0      0
RYDEX S&P EQUITY WEIGHT ETF    COMMON STOCK    78355W106     450    8895 SH       DEFINED             8895      0      0
SAKS INC COM                   COMMON STOCK    79377W108    1664  148942 SH       OTHER                  0      0 148942
SALIX PHARMACEUTICALS LTD COM  COMMON STOCK    795435106    3311   83132 SH       OTHER                  0      0  83132
SANDISK CORP*                  COMMON STOCK    80004C101    2754   66351 SH       DEFINED            62754      0   3597
SANDISK CORP*                  COMMON STOCK    80004C101     824   19844 SH       OTHER              19844      0      0
SARA LEE CORP COM *            COMMON STOCK    803111103     307   16153 SH       DEFINED            14948      0   1205
SARA LEE CORP COM *            COMMON STOCK    803111103      38    2006 SH       OTHER               2006      0      0
SATCON TECHNOLOGY CORP COM     COMMON STOCK    803893106     115   48000 SH       DEFINED            48000      0      0
SCHWAB CHARLES CORP NEW COM*   COMMON STOCK    808513105     830   50430 SH       DEFINED            50330      0    100
SCHWAB CHARLES CORP NEW COM*   COMMON STOCK    808513105      54    3304 SH       OTHER               3304      0      0
SELECT SECTOR SPDR FD - ENERGY COMMON STOCK    81369Y506     293    3890 SH       DEFINED             3890      0      0
SELECT SECTOR SPDR FD - FINANC COMMON STOCK    81369Y605     729   47519 SH       DEFINED            47519      0      0
SELECT SECTOR SPDR FD - FINANC COMMON STOCK    81369Y605     103    6710 SH       OTHER               6710      0      0
SELECT SECTOR SPDR FD CONS STA COMMON STOCK    81369Y308     333   10649 SH       DEFINED                0      0  10649
SELECT SECTOR SPDR FD HEALTH C COMMON STOCK    81369Y209     327    9200 SH       DEFINED             3810      0   5390
SELECT SECTOR SPDR FD HEALTH C COMMON STOCK    81369Y209      43    1222 SH       OTHER               1222      0      0
SIGMA-ALDRICH CORP COM         COMMON STOCK    826552101     235    3200 SH       DEFINED             3200      0      0
SILGAN HLDGS INC COM           COMMON STOCK    827048109       4     107 SH       DEFINED              107      0      0
SILGAN HLDGS INC COM           COMMON STOCK    827048109     916   22350 SH       OTHER                  0      0  22350
SM ENERGY COMPANY              COMMON STOCK    78454L100     242    3300 SH       DEFINED                0      0   3300
SM ENERGY COMPANY              COMMON STOCK    78454L100    1359   18500 SH       OTHER                  0      0  18500
SOLUTIA INC COM                COMMON STOCK    834376501    2276   99600 SH       OTHER                  0      0  99600
SOURCEFIRE INC COM             COMMON STOCK    83616T108    2413   81184 SH       OTHER                  0      0  81184
SOUTHERN CO COM                COMMON STOCK    842587107    1194   29581 SH       DEFINED            29581      0      0
SOUTHERN CO COM                COMMON STOCK    842587107     303    7500 SH       OTHER               7500      0      0
SOUTHERN COPPER CORP COM*      COMMON STOCK    84265V105    1429   43469 SH       DEFINED            41469      0   2000
SOUTHERN COPPER CORP COM*      COMMON STOCK    84265V105      95    2875 SH       OTHER               2875      0      0
SOUTHERN UNION CO COM          COMMON STOCK    844030106    3362   83744 SH       DEFINED            83494      0    250






                                                                                 
SOUTHERN UNION CO COM          COMMON STOCK    844030106    3249   80910 SH       OTHER                210      0  80700
SOUTHWEST AIRLINES CO COM*     COMMON STOCK    844741108    3375  295553 SH       DEFINED           271704      0  23849
SOUTHWEST AIRLINES CO COM*     COMMON STOCK    844741108     898   78602 SH       OTHER              78602      0      0
SOUTHWESTERN ENERGY CO COM*    COMMON STOCK    845467109     232    5408 SH       DEFINED             1178      0   4230
SOUTHWESTERN ENERGY CO COM*    COMMON STOCK    845467109     242    5650 SH       OTHER               5650      0      0
SPDR BARCLAYS CAP INTL TREAS B COMMON STOCK    78464A516     696   11267 SH       DEFINED             1600      0   9667
SPDR DJ WILSHIRE INTL RE ETF*  COMMON STOCK    78463X863     240    5948 SH       DEFINED             5948      0      0
SPDR DJ WILSHIRE INTL RE ETF*  COMMON STOCK    78463X863      12     300 SH       OTHER                300      0      0
SPDR DOW JONES REIT ETF*       COMMON STOCK    78464A607    7841  117739 SH       DEFINED           113829      0   3910
SPDR DOW JONES REIT ETF*       COMMON STOCK    78464A607      39     580 SH       OTHER                580      0      0
SPDR GOLD TRUST ETF*           COMMON STOCK    78463V107   11120   76164 SH       DEFINED            73355      0   2809
SPDR GOLD TRUST ETF*           COMMON STOCK    78463V107    1037    7100 SH       OTHER               7100      0      0
SPDR METALS & MINING ETF*      COMMON STOCK    78464A755     718   10351 SH       DEFINED            10351      0      0
SPDR METALS & MINING ETF*      COMMON STOCK    78464A755       7     100 SH       OTHER                100      0      0
SPDR S&P INTL SMALL CAP ETF*   COMMON STOCK    78463X871     327   10301 SH       DEFINED            10301      0      0
SPDR S&P 500 ETF TRUST *       COMMON STOCK    78462F103    6093   46170 SH       DEFINED            16758      0  29412
SPDR S&P 500 ETF TRUST *       COMMON STOCK    78462F103    4702   35632 SH       OTHER              35632      0      0
SPECTRA ENERGY CORP COM*       COMMON STOCK    847560109    2595   94659 SH       DEFINED            92459      0   2200
SPECTRA ENERGY CORP COM*       COMMON STOCK    847560109     312   11391 SH       OTHER              11291      0    100
SPIRIT AEROSYSTEMS CL A COM    COMMON STOCK    848574109    2521  114590 SH       OTHER                  0      0 114590
ST. JUDE MEDICAL INC COM*      COMMON STOCK    790849103    2870   60197 SH       DEFINED            50927      0   9270
ST. JUDE MEDICAL INC COM*      COMMON STOCK    790849103    1301   27295 SH       OTHER              27295      0      0
STANLEY BLACK & DECKER INC COM COMMON STOCK    854502101       2      21 SH       DEFINED                0      0     21
STANLEY BLACK & DECKER INC COM COMMON STOCK    854502101     292    4056 SH       OTHER               4056      0      0
STAPLES INC COM*               COMMON STOCK    855030102    3372  213403 SH       DEFINED           154013      0  59390
STAPLES INC COM*               COMMON STOCK    855030102    4574  289515 SH       OTHER                115      0 289400
STARBUCKS CORP COM*            COMMON STOCK    855244109   15091  382143 SH       DEFINED           256268      0 125875
STARBUCKS CORP COM*            COMMON STOCK    855244109    1050   26601 SH       OTHER              26601      0      0
STARWOOD HOTELS & RESORTS COM* COMMON STOCK    85590A401    7219  128816 SH       DEFINED            58821      0  69995
STARWOOD HOTELS & RESORTS COM* COMMON STOCK    85590A401     197    3519 SH       OTHER               3519      0      0
STRYKER CORP COM *             COMMON STOCK    863667101    1219   20774 SH       DEFINED            19539      0   1235
STRYKER CORP COM *             COMMON STOCK    863667101      90    1526 SH       OTHER               1526      0      0






                                                                                 
SUN BANCORP INC COM            COMMON STOCK    86663B102      45   12341 SH       DEFINED            12341      0      0
SUNOCO INC COM                 COMMON STOCK    86764P109     244    5850 SH       DEFINED             5850      0      0
SUPER MICRO COMPUTER INC COM   COMMON STOCK    86800U104    1634  101523 SH       OTHER                  0      0 101523
SUPERIOR ENERGY SERVICES INC C COMMON STOCK    868157108    2717   73160 SH       OTHER                  0      0  73160
SYSCO CORP COM*                COMMON STOCK    871829107     436   13991 SH       DEFINED             7274      0   6717
SYSCO CORP COM*                COMMON STOCK    871829107     286    9172 SH       OTHER               9172      0      0
TARGET CORP COM *              COMMON STOCK    87612E106     407    8669 SH       DEFINED             7044      0   1625
TARGET CORP COM *              COMMON STOCK    87612E106     178    3805 SH       OTHER               3805      0      0
TEAM INCORPORATED COM          COMMON STOCK    878155100     208    8640 SH       DEFINED             8640      0      0
TEMPLE-INLAND INC COM          COMMON STOCK    879868107    2687   90360 SH       DEFINED            90360      0      0
TEREX CORP COM*                COMMON STOCK    880779103     173    6079 SH       DEFINED             6079      0      0
TEREX CORP COM*                COMMON STOCK    880779103     959   33725 SH       OTHER                  0      0  33725
TEXAS INSTRUMENTS INC COM *    COMMON STOCK    882508104     786   23943 SH       DEFINED            15715      0   8228
TEXAS INSTRUMENTS INC COM *    COMMON STOCK    882508104     216    6565 SH       OTHER               6565      0      0
TEXTRON INC COM *              COMMON STOCK    883203101     107    4515 SH       DEFINED             4430      0     85
TEXTRON INC COM *              COMMON STOCK    883203101     120    5091 SH       OTHER               5091      0      0
THE DOLAN COMPANY COM          COMMON STOCK    25659P402     119   14000 SH       DEFINED            14000      0      0
THE HERSHEY COMPANY COM*       COMMON STOCK    427866108     362    6366 SH       DEFINED             6366      0      0
THE HERSHEY COMPANY COM*       COMMON STOCK    427866108     242    4250 SH       OTHER               4250      0      0
THERMO FISHER SCIENTIFIC INC C COMMON STOCK    883556102    2390   37116 SH       DEFINED             1216      0  35900
THERMO FISHER SCIENTIFIC INC C COMMON STOCK    883556102     161    2500 SH       OTHER                  0      0   2500
TIBCO SOFTWARE INC COM         COMMON STOCK    88632Q103    1278   44050 SH       OTHER                  0      0  44050
TIDEWATER INC COM*             COMMON STOCK    886423102     988   18369 SH       DEFINED            18369      0      0
TIDEWATER INC COM*             COMMON STOCK    886423102      33     608 SH       OTHER                608      0      0
TIME WARNER INC COM NEW*       COMMON STOCK    887317303     468   12879 SH       DEFINED             1599      0  11280
TIME WARNER INC COM NEW*       COMMON STOCK    887317303     132    3637 SH       OTHER               3637      0      0
TRACTOR SUPPLY CO COM          COMMON STOCK    892356106     523    7817 SH       DEFINED             2732      0   5085
TRACTOR SUPPLY CO COM          COMMON STOCK    892356106    1174   17550 SH       OTHER                  0      0  17550
TRAVELERS COMPANIES INC COM *  COMMON STOCK    89417E109    1849   31678 SH       DEFINED            29978      0   1700
TRAVELERS COMPANIES INC COM *  COMMON STOCK    89417E109     191    3273 SH       OTHER               3273      0      0
TREEHOUSE FOODS INC COM        COMMON STOCK    89469A104     296    5421 SH       DEFINED              770      0   4651






                                                                                 
TRIMAS CORP COM                COMMON STOCK    896215209    1864   75317 SH       OTHER                  0      0  75317
TRIQUINT SEMICONDUCTOR INC COM COMMON STOCK    89674K103    2057  201850 SH       OTHER                  0      0 201850
ULTA SALON COSMETICS & FRAG CO COMMON STOCK    90384S303    5792   89682 SH       DEFINED            36067      0  53615
ULTA SALON COSMETICS & FRAG CO COMMON STOCK    90384S303     100    1544 SH       OTHER               1544      0      0
ULTRA S&P 500 PROSHARES ETF    COMMON STOCK    74347R107     703   13300 SH       DEFINED                0      0  13300
ULTRASHORT S&P 500 PROSHARES E COMMON STOCK    74347R883     524   25400 SH       DEFINED            25400      0      0
UMPQUA HOLDINGS CORP COM       COMMON STOCK    904214103    2346  202730 SH       OTHER                  0      0 202730
UNION DRILLING INC COM         COMMON STOCK    90653P105    2561  248852 SH       OTHER                  0      0 248852
UNION PACIFIC CORP COM*        COMMON STOCK    907818108   18827  180332 SH       DEFINED            98377      0  81955
UNION PACIFIC CORP COM*        COMMON STOCK    907818108    2303   22064 SH       OTHER              22064      0      0
UNITED PARCEL SERVICE CLASS B* COMMON STOCK    911312106     306    4189 SH       DEFINED             2864      0   1325
UNITED PARCEL SERVICE CLASS B* COMMON STOCK    911312106     242    3316 SH       OTHER               3316      0      0
UNITED STATES NAT GAS FD LP ET COMMON STOCK    912318110     171   15500 SH       DEFINED            15500      0      0
UNITED TECHNOLOGIES CORP COM*  COMMON STOCK    913017109   13597  153616 SH       DEFINED            82644      0  70972
UNITED TECHNOLOGIES CORP COM*  COMMON STOCK    913017109    1400   15812 SH       OTHER              15812      0      0
UNITEDHEALTH GROUP INC COM*    COMMON STOCK    91324P102     437    8463 SH       DEFINED             3814      0   4649
UNITEDHEALTH GROUP INC COM*    COMMON STOCK    91324P102      33     639 SH       OTHER                639      0      0
URBAN OUTFITTERS INC COM*      COMMON STOCK    917047102    5183  184122 SH       DEFINED            88282      0  95840
URBAN OUTFITTERS INC COM*      COMMON STOCK    917047102    1619   57525 SH       OTHER               9567      0  47958
US BANCORP DEL NEW COM*        COMMON STOCK    902973304     509   19964 SH       DEFINED            12964      0   7000
US BANCORP DEL NEW COM*        COMMON STOCK    902973304      86    3371 SH       OTHER               3371      0      0
USA TRUCK INC COM              COMMON STOCK    902925106     198   17526 SH       OTHER                  0      0  17526
UTILITIES SELECT SECTOR SPDR F COMMON STOCK    81369Y886     206    6150 SH       DEFINED                0      0   6150
VALASSIS COMMUNICATIONS INC CO COMMON STOCK    918866104    1257   41500 SH       DEFINED                0      0  41500
VALERO ENERGY CORP NEW COM*    COMMON STOCK    91913Y100    1319   51566 SH       DEFINED            48345      0   3221
VALERO ENERGY CORP NEW COM*    COMMON STOCK    91913Y100    3125  122202 SH       OTHER               4502      0 117700
VANGUARD FTSE ALL WORLD EX-US  COMMON STOCK    922042775    4989  100151 SH       DEFINED           100151      0      0
VANGUARD FTSE ALL WORLD EX-US  COMMON STOCK    922042775    1011   20300 SH       OTHER              20300      0      0
VANGUARD GROWTH ETF*           COMMON STOCK    922908736    1542   23837 SH       DEFINED            18622      0   5215
VANGUARD LARGE CAP ETF*        COMMON STOCK    922908637    1846   30471 SH       DEFINED                0      0  30471
VANGUARD MEGA CAP 300 ETF*     COMMON STOCK    921910873     312    6939 SH       DEFINED                0      0   6939
VANGUARD MID CAP ETF*          COMMON STOCK    922908629     378    4695 SH       DEFINED                0      0   4695






                                                                                 
VANGUARD MSCI EMERGING MARKETS COMMON STOCK    922042858    1160   23861 SH       DEFINED             7349      0  16512
VANGUARD SHORT-TERM BOND ETF*  COMMON STOCK    921937827    2042   25202 SH       DEFINED            24852      0    350
VANGUARD SHORT-TERM BOND ETF*  COMMON STOCK    921937827     165    2037 SH       OTHER               2037      0      0
VANGUARD SMALL CAP VALUE ETF*  COMMON STOCK    922908611     258    3682 SH       DEFINED                0      0   3682
VERIZON COMMUNICATIONS COM*    COMMON STOCK    92343V104    6090  163567 SH       DEFINED           154283      0   9284
VERIZON COMMUNICATIONS COM*    COMMON STOCK    92343V104    3558   95576 SH       OTHER              34276      0  61300
VIACOM INC CL B                COMMON STOCK    92553P201    1508   29565 SH       DEFINED              225      0  29340
VIROPHARMA INC COM             COMMON STOCK    928241108    1732   93617 SH       OTHER                  0      0  93617
VISA INC CL A COM*             COMMON STOCK    92826C839    9019  107042 SH       DEFINED            65097      0  41945
VISA INC CL A COM*             COMMON STOCK    92826C839     402    4775 SH       OTHER               4775      0      0
VMWARE INC COM*                COMMON STOCK    928563402    6825   68091 SH       DEFINED            32671      0  35420
VMWARE INC COM*                COMMON STOCK    928563402     160    1595 SH       OTHER               1595      0      0
VONAGE HLDGS CORP COM          COMMON STOCK    92886T201      60   13700 SH       DEFINED                0      0  13700
WABTEC CORP COM                COMMON STOCK    929740108    2375   36140 SH       OTHER                  0      0  36140
WAL MART STORES INC COM*       COMMON STOCK    931142103    7346  138233 SH       DEFINED           131194      0   7039
WAL MART STORES INC COM*       COMMON STOCK    931142103    5050   95027 SH       OTHER              19127      0  75900
WALGREEN CO COM*               COMMON STOCK    931422109    1318   31041 SH       DEFINED            27957      0   3084
WALGREEN CO COM*               COMMON STOCK    931422109      30     707 SH       OTHER                707      0      0
WARNACO GROUP INC COM          COMMON STOCK    934390402     850   16275 SH       OTHER                  0      0  16275
WASTE MANAGEMENT DEL INC COM*  COMMON STOCK    94106L109    1671   44834 SH       DEFINED            41634      0   3200
WASTE MANAGEMENT DEL INC COM*  COMMON STOCK    94106L109     104    2786 SH       OTHER               2786      0      0
WEIGHT WATCHERS INTL INC COM   COMMON STOCK    948626106     971   12866 SH       OTHER                  0      0  12866
WELLS FARGO & CO NEW COM*      COMMON STOCK    949746101    2249   80167 SH       DEFINED            66216      0  13951
WELLS FARGO & CO NEW COM*      COMMON STOCK    949746101     956   34071 SH       OTHER              26071      0   8000
WESCO INTL INC COM             COMMON STOCK    95082P105    1153   21315 SH       DEFINED                0      0  21315
WESCO INTL INC COM             COMMON STOCK    95082P105     959   17725 SH       OTHER                  0      0  17725
WEST COAST BANCORP/OREGON COM  COMMON STOCK    952145209    1698  101304 SH       OTHER                  0      0 101304
WESTERN UNION CO COM           COMMON STOCK    959802109    4119  205656 SH       DEFINED           104931      0 100725
WESTERN UNION CO COM           COMMON STOCK    959802109    4620  230646 SH       OTHER                146      0 230500
WILLIAMS COS COM               COMMON STOCK    969457100     338   11180 SH       DEFINED             5180      0   6000
WILLIAMS COS COM               COMMON STOCK    969457100     234    7734 SH       OTHER                734      0   7000






                                                                                 
WILLIAMS SONOMA INC COM        COMMON STOCK    969904101     992   27175 SH       OTHER                  0      0  27175
WINDSTREAM CORPORATION COM*    COMMON STOCK    97381W104    2201  169840 SH       DEFINED           162740      0   7100
WINDSTREAM CORPORATION COM*    COMMON STOCK    97381W104     310   23941 SH       OTHER              23941      0      0
WSFS FINL CORP COM             COMMON STOCK    929328102    3284   82816 SH       OTHER                  0      0  82816
YUM! BRANDS INC COM*           COMMON STOCK    988498101   10159  183911 SH       DEFINED           126574      0  57337
YUM! BRANDS INC COM*           COMMON STOCK    988498101     959   17366 SH       OTHER              17366      0      0
ZIMMER HLDGS INC*              COMMON STOCK    98956P102     221    3495 SH       DEFINED             2855      0    640
ZIMMER HLDGS INC*              COMMON STOCK    98956P102      81    1287 SH       OTHER               1287      0      0
3M CO COM*                     COMMON STOCK    88579Y101    3377   35603 SH       DEFINED            30827      0   4776
3M CO COM*                     COMMON STOCK    88579Y101    2186   23049 SH       OTHER              23049      0      0
ACCENTURE PLC CLASS A          COMMON STOCK    G1151C101    3783   62615 SH       DEFINED                0      0  62615
AERCAP HOLDINGS NV             COMMON STOCK    N00985106    2351  180690 SH       OTHER                  0      0 180690
AGNICO EAGLE MINES LTD COM     COMMON STOCK    008474108     211    3350 SH       OTHER               3350      0      0
ALTERRA CAPITAL HOLDINGS LTD   COMMON STOCK    G0229R108    2437  109300 SH       OTHER                  0      0 109300
AMDOCS LIMITED                 COMMON STOCK    G02602103     915   30100 SH       DEFINED                0      0  30100
ASPEN INS HOLDINGS LTD         COMMON STOCK    G05384105    2223   86380 SH       OTHER                  0      0  86380
BAIDU INC SPONS ADR*           COMMON STOCK    056752108   10531   75154 SH       DEFINED            35456      0  39698
BAIDU INC SPONS ADR*           COMMON STOCK    056752108    1256    8964 SH       OTHER               8964      0      0
BARCLAYS PLC SPONSORED ADR*    COMMON STOCK    06738E204    1516   92244 SH       DEFINED            92098      0    146
BARCLAYS PLC SPONSORED ADR*    COMMON STOCK    06738E204    2737  166578 SH       OTHER               2778      0 163800
BARRICK GOLD CORP COM *        COMMON STOCK    067901108    1017   22456 SH       DEFINED            14806      0   7650
BARRICK GOLD CORP COM *        COMMON STOCK    067901108      32     700 SH       OTHER                700      0      0
BCE INC COM*                   COMMON STOCK    05534B760   11372  289425 SH       DEFINED           133610      0 155815
BCE INC COM*                   COMMON STOCK    05534B760     648   16501 SH       OTHER              16301      0    200
BHP BILLITON LTD-SPON ADR*     COMMON STOCK    088606108   20832  220142 SH       DEFINED           107245      0 112897
BHP BILLITON LTD-SPON ADR*     COMMON STOCK    088606108    2012   21266 SH       OTHER              21266      0      0
BOX SHIPS INC                  COMMON STOCK    Y09675102    1935  195882 SH       OTHER                  0      0 195882
BP PLC SPONSORED ADR*          COMMON STOCK    055622104    3803   85874 SH       DEFINED            84863      0   1011
BP PLC SPONSORED ADR*          COMMON STOCK    055622104    4641  104779 SH       OTHER              26479      0  78300
CANADIAN NATIONAL RAILWAY CO C COMMON STOCK    136375102     454    5685 SH       DEFINED             1640      0   4045
CANADIAN NATIONAL RAILWAY CO C COMMON STOCK    136375102     208    2600 SH       OTHER               2600      0      0
CANADIAN NATURAL RESOURCES LTD COMMON STOCK    136385101      38     900 SH       DEFINED                0      0    900






                                                                                 
CANADIAN NATURAL RESOURCES LTD COMMON STOCK    136385101     168    4000 SH       OTHER               4000      0      0
CARNIVAL CORP PAIRED CTF 1 COM COMMON STOCK    143658300    1591   42274 SH       DEFINED            35170      0   7104
CARNIVAL CORP PAIRED CTF 1 COM COMMON STOCK    143658300     658   17479 SH       OTHER              17479      0      0
CENOVUS ENERGY INC COM*        COMMON STOCK    15135U109   11330  300850 SH       DEFINED           131380      0 169470
CENOVUS ENERGY INC COM*        COMMON STOCK    15135U109     424   11270 SH       OTHER              11270      0      0
CHECK POINT SOFTWARE TECHNOLOG COMMON STOCK    M22465104     207    3639 SH       DEFINED               44      0   3595
CHECK POINT SOFTWARE TECHNOLOG COMMON STOCK    M22465104     239    4200 SH       OTHER                  0      0   4200
CHICAGO BRIDGE & IRON CO NV SH COMMON STOCK    167250109      66    1698 SH       DEFINED             1698      0      0
CHICAGO BRIDGE & IRON CO NV SH COMMON STOCK    167250109    2469   63460 SH       OTHER                  0      0  63460
CHINA MOBILE LTD*              COMMON STOCK    16941M109     701   14995 SH       DEFINED            14995      0      0
CHINA MOBILE LTD*              COMMON STOCK    16941M109      47    1005 SH       OTHER               1005      0      0
CORE LABORATORIES N. V. COM    COMMON STOCK    N22717107     187    1675 SH       DEFINED                0      0   1675
CORE LABORATORIES N. V. COM    COMMON STOCK    N22717107    1375   12325 SH       OTHER                  0      0  12325
COVIDIEN PLC                   COMMON STOCK    G2554F113    2865   53818 SH       DEFINED                0      0  53818
COVIDIEN PLC                   COMMON STOCK    G2554F113    3753   70500 SH       OTHER                  0      0  70500
DIAGEO PLC SPONSORED ADR*      COMMON STOCK    25243Q205     342    4179 SH       DEFINED             3244      0    935
DIAGEO PLC SPONSORED ADR*      COMMON STOCK    25243Q205      15     183 SH       OTHER                183      0      0
DIANA SHIPPING INC             COMMON STOCK    Y2066G104    1739  158660 SH       OTHER                  0      0 158660
ECOPETROL SA SPONS ADR*        COMMON STOCK    279158109    8342  189556 SH       DEFINED            81986      0 107570
ECOPETROL SA SPONS ADR*        COMMON STOCK    279158109     327    7427 SH       OTHER               7427      0      0
ELDORADO GOLD CORPORATION      COMMON STOCK    284902103     199   13500 SH       DEFINED            13500      0      0
EMBRAER SA ADR*                COMMON STOCK    29082A107      12     387 SH       DEFINED              387      0      0
EMBRAER SA ADR*                COMMON STOCK    29082A107    2472   80300 SH       OTHER                  0      0  80300
ENI SPA SPONSORED ADR *        COMMON STOCK    26874R108     201    4219 SH       DEFINED             3219      0   1000
ENSCO PLC SPONS ADR*           COMMON STOCK    29358Q109     376    7056 SH       DEFINED             5994      0   1062
ENSCO PLC SPONS ADR*           COMMON STOCK    29358Q109      11     200 SH       OTHER                200      0      0
ERICSSON (LM)TEL CO ADR CL B N COMMON STOCK    294821608   14123  982136 SH       DEFINED           432911      0 549225
ERICSSON (LM)TEL CO ADR CL B N COMMON STOCK    294821608     456   31737 SH       OTHER              31737      0      0
FLEXTRONICS INTERNATIONAL LTD* COMMON STOCK    Y2573F102     180   28028 SH       DEFINED            28028      0      0
FLEXTRONICS INTERNATIONAL LTD* COMMON STOCK    Y2573F102       3     500 SH       OTHER                500      0      0
FOSTER WHEELER AG*             COMMON STOCK    H27178104     778   25606 SH       DEFINED            23911      0   1695






                                                                                 
FOSTER WHEELER AG*             COMMON STOCK    H27178104      89    2940 SH       OTHER               2940      0      0
GOLDCORP INC COM NEW*          COMMON STOCK    380956409    1576   32648 SH       DEFINED            30348      0   2300
GOLDCORP INC COM NEW*          COMMON STOCK    380956409     214    4440 SH       OTHER               4440      0      0
HSBC HOLDINGS PLC SPON ADR NEW COMMON STOCK    404280406    8254  166344 SH       DEFINED            79395      0  86949
HSBC HOLDINGS PLC SPON ADR NEW COMMON STOCK    404280406     453    9133 SH       OTHER               9133      0      0
INGERSOLL-RAND PLC*            COMMON STOCK    G47791101    2216   48793 SH       DEFINED            48094      0    699
INGERSOLL-RAND PLC*            COMMON STOCK    G47791101    2006   44176 SH       OTHER               2076      0  42100
INVESCO LTD*                   COMMON STOCK    G491BT108    8132  347530 SH       DEFINED           210546      0 136984
INVESCO LTD*                   COMMON STOCK    G491BT108    1557   66559 SH       OTHER              66559      0      0
KONINKLIJKE PHILIPS ELECTRS N  COMMON STOCK    500472303    2054   79979 SH       DEFINED                0      0  79979
KONINKLIJKE PHILIPS ELECTRS N  COMMON STOCK    500472303      32    1230 SH       OTHER               1230      0      0
LAZARD LTD CL A COM            COMMON STOCK    G54050102     246    6635 SH       DEFINED                0      0   6635
LAZARD LTD CL A COM            COMMON STOCK    G54050102    2833   76360 SH       OTHER                  0      0  76360
LIONS GATE ENTERTAINMENT CORP  COMMON STOCK    535919203    2020  305102 SH       OTHER                  0      0 305102
LLOYDS BANKING GROUP PLC ADR   COMMON STOCK    539439109      40   12703 SH       DEFINED             1158      0  11545
NICE SYS LTD SPONS ADR         COMMON STOCK    653656108     117    3210 SH       DEFINED                0      0   3210
NICE SYS LTD SPONS ADR         COMMON STOCK    653656108    2244   61728 SH       OTHER                  0      0  61728
NIPPON TELEG & TEL CORP SPONS  COMMON STOCK    654624105    3898  161222 SH       DEFINED           161019      0    203
NIPPON TELEG & TEL CORP SPONS  COMMON STOCK    654624105    7937  328230 SH       OTHER                130      0 328100
NOBLE CORPORATION COM          COMMON STOCK    H5833N103    1519   38550 SH       DEFINED                0      0  38550
NOKIA CORP SPONSORED ADR*      COMMON STOCK    654902204     334   51949 SH       DEFINED            42939      0   9010
NOKIA CORP SPONSORED ADR*      COMMON STOCK    654902204      77   12017 SH       OTHER              12017      0      0
NOVARTIS AG ADR*               COMMON STOCK    66987V109   19928  326105 SH       DEFINED           185205      0 140900
NOVARTIS AG ADR*               COMMON STOCK    66987V109    3497   57226 SH       OTHER              15026      0  42200
NOVO-NORDISK A/S SPON ADR      COMMON STOCK    670100205     209    1671 SH       DEFINED              244      0   1427
PENN WEST ENERGY TRUST COM*    COMMON STOCK    707887105    7902  342366 SH       DEFINED           151961      0 190405
PENN WEST ENERGY TRUST COM*    COMMON STOCK    707887105     223    9677 SH       OTHER               9677      0      0
PETROLEO BRASILEIRO SA PETRO A COMMON STOCK    71654V408    3470  102482 SH       DEFINED            68307      0  34175
PETROLEO BRASILEIRO SA PETRO A COMMON STOCK    71654V408     505   14928 SH       OTHER              14928      0      0
POPULAR INC COM                COMMON STOCK    733174106    2201  797377 SH       OTHER                  0      0 797377
POTASH CORP SASK INC COM*      COMMON STOCK    73755L107   12871  225845 SH       DEFINED           106780      0 119065
POTASH CORP SASK INC COM*      COMMON STOCK    73755L107    6056  106257 SH       OTHER              25890      0  80367






                                                                                 
RENAISSANCE RE HOLDINGS LTD CO COMMON STOCK    G7496G103     788   11271 SH       DEFINED            11105      0    166
RENAISSANCE RE HOLDINGS LTD CO COMMON STOCK    G7496G103    2420   34600 SH       OTHER                  0      0  34600
RIO TINTO PLC SPON ADR*        COMMON STOCK    767204100     191    2636 SH       DEFINED              313      0   2323
RIO TINTO PLC SPON ADR*        COMMON STOCK    767204100      95    1320 SH       OTHER               1320      0      0
ROGERS COMMUNICATIONS INC CL B COMMON STOCK    775109200    6620  167507 SH       DEFINED            85839      0  81668
ROGERS COMMUNICATIONS INC CL B COMMON STOCK    775109200     214    5411 SH       OTHER               5411      0      0
ROYAL DUTCH SHELL PLC ADR CL A COMMON STOCK    780259206    1129   15866 SH       DEFINED            14067      0   1799
ROYAL DUTCH SHELL PLC ADR CL A COMMON STOCK    780259206     554    7790 SH       OTHER               7790      0      0
ROYAL DUTCH SHELL PLC ADR CL B COMMON STOCK    780259107     412    5742 SH       DEFINED               51      0   5691
SANOFI SPONSORED ADR*          COMMON STOCK    80105N105     187    4644 SH       DEFINED             1661      0   2983
SANOFI SPONSORED ADR*          COMMON STOCK    80105N105      26     656 SH       OTHER                656      0      0
SAP AG SPONSORED ADR*          COMMON STOCK    803054204    8068  133021 SH       DEFINED            51615      0  81406
SAP AG SPONSORED ADR*          COMMON STOCK    803054204     394    6494 SH       OTHER               6494      0      0
SCHLUMBERGER LIMITED COM*      COMMON STOCK    806857108   59462  688212 SH       DEFINED           211071 299072 178069
SCHLUMBERGER LIMITED COM*      COMMON STOCK    806857108   11013  127470 SH       OTHER              50020      0  77450
SEADRILL LTD*                  COMMON STOCK    G7945E105   19071  540570 SH       DEFINED           223930      0 316640
SEADRILL LTD*                  COMMON STOCK    G7945E105     990   28062 SH       OTHER              27962      0    100
SIEMENS A G SPONSORED ADR*     COMMON STOCK    826197501     380    2761 SH       DEFINED             2465      0    296
SIEMENS A G SPONSORED ADR*     COMMON STOCK    826197501       8      60 SH       OTHER                 60      0      0
SK TELECOM CO LTD ADR          COMMON STOCK    78440P108     874   46751 SH       DEFINED              201      0  46550
SONY CORP SPONSORED ADR        COMMON STOCK    835699307     210    7942 SH       DEFINED                0      0   7942
STATOIL ASA - SPONSORED ADR*   COMMON STOCK    85771P102    1325   52072 SH       DEFINED            47072      0   5000
STATOIL ASA - SPONSORED ADR*   COMMON STOCK    85771P102      88    3439 SH       OTHER               3339      0    100
SUN LIFE FINANCIAL INC*        COMMON STOCK    866796105   13559  450773 SH       DEFINED           181062      0 269711
SUN LIFE FINANCIAL INC*        COMMON STOCK    866796105     453   15061 SH       OTHER              15061      0      0
SUNCOR ENERGY INC*             COMMON STOCK    867224107   12494  319552 SH       DEFINED           178997      0 140555
SUNCOR ENERGY INC*             COMMON STOCK    867224107    2070   52936 SH       OTHER              52936      0      0
SYNGENTA AG ADR*               COMMON STOCK    87160A100    1200   17763 SH       DEFINED            17763      0      0
SYNGENTA AG ADR*               COMMON STOCK    87160A100      79    1163 SH       OTHER               1163      0      0
TAIWAN SEMICONDUCTOR MFG CO AD COMMON STOCK    874039100     215   17039 SH       DEFINED            17039      0      0
TAIWAN SEMICONDUCTOR MFG CO AD COMMON STOCK    874039100      38    3000 SH       OTHER               3000      0      0






                                                                                 
TALISMAN ENERGY INC COM        COMMON STOCK    87425E103     492   24000 SH       OTHER              24000      0      0
TENARIS S A SPONSORED ADR*     COMMON STOCK    88031M109     306    6702 SH       DEFINED             4902      0   1800
TENARIS S A SPONSORED ADR*     COMMON STOCK    88031M109      55    1200 SH       OTHER               1200      0      0
TEVA PHARMACEUTICAL INDS LTD A COMMON STOCK    881624209   13703  284176 SH       DEFINED           180996      0 103180
TEVA PHARMACEUTICAL INDS LTD A COMMON STOCK    881624209   12262  254301 SH       OTHER               9137      0 245164
TOTAL S.A. SPONSORED ADR*      COMMON STOCK    89151E109   13045  225532 SH       DEFINED            99872      0 125660
TOTAL S.A. SPONSORED ADR*      COMMON STOCK    89151E109     344    5948 SH       OTHER               5948      0      0
TRANSOCEAN LTD*                COMMON STOCK    H8817H100     904   14004 SH       DEFINED            11576      0   2428
TRANSOCEAN LTD*                COMMON STOCK    H8817H100     143    2219 SH       OTHER               2219      0      0
TYCO INTERNATIONAL LTD*        COMMON STOCK    H89128104    1965   39762 SH       DEFINED             1310      0  38452
TYCO INTERNATIONAL LTD*        COMMON STOCK    H89128104      14     289 SH       OTHER                289      0      0
ULTRA PETROLEUM CORP*          COMMON STOCK    903914109    1114   24317 SH       DEFINED            24317      0      0
ULTRA PETROLEUM CORP*          COMMON STOCK    903914109     655   14299 SH       OTHER              14299      0      0
UNILEVER PLC SPONSORED ADR     COMMON STOCK    904767704     383   11825 SH       DEFINED             1323      0  10502
UNILEVER PLC SPONSORED ADR     COMMON STOCK    904767704      16     500 SH       OTHER                500      0      0
UTI WORLDWIDE INC COM          COMMON STOCK    G87210103     960   48775 SH       OTHER                  0      0  48775
VALE SA SP ADR*                COMMON STOCK    91912E105     223    6966 SH       DEFINED             3442      0   3524
VODAFONE GROUP PLC SPON ADR*   COMMON STOCK    92857W209    9869  369334 SH       DEFINED           189288      0 180046
VODAFONE GROUP PLC SPON ADR*   COMMON STOCK    92857W209    1006   37662 SH       OTHER              37662      0      0
XL GROUP PLC                   COMMON STOCK    G98290102    1698   77241 SH       DEFINED            77071      0    170
XL GROUP PLC                   COMMON STOCK    G98290102    3374  153497 SH       OTHER               2247      0 151250
YANDEX NV CL A                 COMMON STOCK    N97284108    1715   48300 SH       OTHER                  0      0  48300
BARCLAYS BK PLC PFD 6.625% SER PREFERRED STOCK 06739F390     260   10800 SH       DEFINED             N.A.   N.A.   N.A.
BLACKROCK INTL GROWTH & INCOME OTHER           092524107     137   13545 SH       DEFINED             N.A.   N.A.   N.A.
EATON VANCE TAX MNG GBL DIV EQ OTHER           27829F108     210   20091 SH       DEFINED             N.A.   N.A.   N.A.
KAYNE ANDERSON MLP INVESTMENT  OTHER           486606106     241    7967 SH       DEFINED             N.A.   N.A.   N.A.
MORGAN STANLEY INDIA INVESTMEN OTHER           61745C105     391   17825 SH       DEFINED             N.A.   N.A.   N.A.
ABERDEEN ASIA-PACIFIC INCOME F OTHER           003009107      73   10000 SH       DEFINED             N.A.   N.A.   N.A.
EATON VANCE SENIOR FLOATING RA OTHER           27828Q105     294   18312 SH       DEFINED             N.A.   N.A.   N.A.
INVESCO VAN KAMPEN SR INCOME T OTHER           46131H107      50   10000 SH       DEFINED             N.A.   N.A.   N.A.
NUVEEN INSD PREM INCOME MUN FD OTHER           6706D8104     138   11315 SH       DEFINED             N.A.   N.A.   N.A.
NUVEEN MUNICIPAL VALUE FUND    OTHER           670928100    1072  115758 SH       DEFINED             N.A.   N.A.   N.A.






                                                                                 
NUVEEN PREMIER INSURED MUNI IN OTHER           670987106     151   10333 SH       DEFINED             N.A.   N.A.   N.A.
NUVEEN PREMIUM INCOME MUNICIPA OTHER           6706K4105     223   18035 SH       DEFINED             N.A.   N.A.   N.A.
BP PRUDHOE BAY ROYALTY TRUST   OTHER           055630107     782    7000 SH       DEFINED             3000   2000   2000
DUNCAN ENERGY PARTNERS LP      OTHER           265026104     260    6000 SH       DEFINED             6000      0      0
EL PASO PIPELINE PARTNERS LP   OTHER           283702108     526   15148 SH       DEFINED            15148      0      0
ENBRIDGE ENERGY PARTNERS L P   OTHER           29250R106     535   17790 SH       DEFINED            15790      0   2000
ENBRIDGE ENERGY PARTNERS L P   OTHER           29250R106      15     500 SH       OTHER                500      0      0
ENERGY TRANSFER EQUITY LP      OTHER           29273V100     295    6572 SH       DEFINED             1872      0   4700
ENERGY TRANSFER EQUITY LP      OTHER           29273V100      45    1000 SH       OTHER               1000      0      0
ENERGY TRANSFER PARTNERS LP*   OTHER           29273R109    2073   42411 SH       DEFINED            42411      0      0
ENERGY TRANSFER PARTNERS LP*   OTHER           29273R109     976   19981 SH       OTHER              19981      0      0
ENTERPRISE PRODUCTS PARTNERS L OTHER           293792107     902   20875 SH       DEFINED            11859      0   9016
ENTERPRISE PRODUCTS PARTNERS L OTHER           293792107      11     248 SH       OTHER                248      0      0
HOLLY ENERGY PARTNERS L P      OTHER           435763107     651   12000 SH       DEFINED            10000      0   2000
HOLLY ENERGY PARTNERS L P      OTHER           435763107      11     200 SH       OTHER                200      0      0
KINDER MORGAN ENERGY PARTNERS  OTHER           494550106    6581   90649 SH       DEFINED            87709      0   2940
KINDER MORGAN ENERGY PARTNERS  OTHER           494550106    1410   19426 SH       OTHER              19426      0      0
KINDER MORGAN MANAGEMENT LLC   OTHER           49455U100     926   14118 SH       DEFINED            14118      0      0
NATURAL RESOURCE PARTNERS L P  OTHER           63900P103     270    8140 SH       DEFINED             7000      0   1140
NUSTAR ENERGY LP UNIT          OTHER           67058H102     418    6463 SH       DEFINED             6463      0      0
NUSTAR ENERGY LP UNIT          OTHER           67058H102      11     165 SH       OTHER                165      0      0
PERMIAN BASIN ROYALTY TRUST    OTHER           714236106     242   11165 SH       DEFINED            11165      0      0
PLAINS ALL AMERICAN PIPELINE L OTHER           726503105    4133   64578 SH       DEFINED            63578      0   1000
PLAINS ALL AMERICAN PIPELINE L OTHER           726503105    1203   18804 SH       OTHER              18804      0      0
SABINE ROYALTY TRUST UNITS BEN OTHER           785688102    1886   29584 SH       DEFINED            29584      0      0
SABINE ROYALTY TRUST UNITS BEN OTHER           785688102      15     231 SH       OTHER                  0      0    231
SAN JUAN BASIN RTY TR UNIT BEN OTHER           798241105     415   17240 SH       DEFINED            11065      0   6175
SAN JUAN BASIN RTY TR UNIT BEN OTHER           798241105      36    1500 SH       OTHER                  0      0   1500