================================================================================

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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  12/31/2011

Check here is Amendment [X]; Amendment Number:  3
   This Amendment (Check only one.):            [X] is a restatement.
                                                [_] adds new holdings entries.

Institutional Investment Manager Filing this Report:

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

Form 13-F File Number:  028-00267

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

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:

 /s/ Mark Czarnecki, President      Buffalo, New York           2/9/2012
-------------------------------  ------------------------  -------------------
          [Signature]                 [City, State]              [Date]

Report Type (Check only one.):

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

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

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

 List of Other Included Managers:

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

 List of Other Managers Reporting for this Manager:

 Form 13F File Number              Name
 028-03742                         Wilmington Trust Company
 028-12629                         Wilmington Trust Investment Management, LLC
 028-06601                         Rodney Square Management Corporation
 028-03740                         Wilmington Trust NA

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                            FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                 3

Form 13-F Information Table Entry Total:       2,128

Form 13-F Information Table Value Total:   2,477,779
                                          (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

No.    Form 13F File Number    Name

1      028-39800               Manufacturers & Traders Trust Company
3      028-10909               MTB Investment Advisors, Inc.
4      028-11878               M&T Trust Company of Delaware, Inc.



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
ABB LTD SPON ADR    COMMON STOCK 000375204       9        456  Shares                 X                 1        456   0        0
ABB LTD SPON ADR    COMMON STOCK 000375204      39       2060  Shares                          X        1       2060   0        0
ACCO BRANDS CORP    COMMON STOCK 00081T108       5        498  Shares                 X                 1        498   0        0
ACCO BRANDS CORP    COMMON STOCK 00081T108       1         99  Shares                          X        1         99   0        0
ACNB CORP           COMMON STOCK 000868109     281      20301  Shares                 X                 1      14374   0     5927
ACNB CORP           COMMON STOCK 000868109       0          1  Shares                 X                 3          1   0        0
AFLAC INC           COMMON STOCK 001055102     376       8688  Shares                 X                 1       8688   0        0
AFLAC INC           COMMON STOCK 001055102     558      12895  Shares                          X        1      12495   0      400
AGL RESOURCES INC   COMMON STOCK 001204106      26        609  Shares                 X                 1        609   0        0
AGL RESOURCES INC   COMMON STOCK 001204106      24        567  Shares                          X        1        567   0        0
AES CORP COM        COMMON STOCK 00130H105      27       2300  Shares                 X                 1       2300   0        0
AK STEEL HOLDING
  CORP COM          COMMON STOCK 001547108       1         66  Shares                 X                 1         66   0        0
AOL INC             COMMON STOCK 00184X105       2        105  Shares                 X                 1        105   0        0
AOL INC             COMMON STOCK 00184X105       1         95  Shares                          X        1         95   0        0
AT&T INC            COMMON STOCK 00206R102   13768     455297  Shares                 X                 1     453067   0     2230
AT&T INC            COMMON STOCK 00206R102    9790     323742  Shares                          X        1     278891   0    44851
AT&T INC            COMMON STOCK 00206R102     361      11961  Shares                 X                 3      11961   0        0
AVI BIOPHARMA INC   COMMON STOCK 002346104       9      12000  Shares                 X                 1      12000   0        0
ABAXIS INC          COMMON STOCK 002567105      28       1000  Shares                 X                 1       1000   0        0
ABBOTT LABSCOMMON   COMMON STOCK 002824100    8840     157211  Shares                 X                 1     155711   0     1500
ABBOTT LABSCOMMON   COMMON STOCK 002824100    4248      75538  Shares                          X        1      72533   0     3005
ABBOTT LABSCOMMON   COMMON STOCK 002824100    1583      28163  Shares                 X                 3      24668   0     3495
ABBOTT LABSCOMMON   COMMON STOCK 002824100      28        500  Shares                          X        4        500   0        0
ABERDEEN ASIA
  PACIFIC INC FD    COMMON STOCK 003009107      19       2533  Shares                 X                 1          0   0        0
ABERDEEN AUSTRALIA
  EQUITY FUND       COMMON STOCK 003011103       5        500  Shares                          X        1          0   0        0
ABERDEEN CHILE
  FUND INC          COMMON STOCK 00301W105       5        300  Shares                 X                 1          0   0        0
ABOVENET INCCOMMON  COMMON STOCK 00374N107      52        800  Shares                 X                 1        800   0        0
ABOVENET INCCOMMON  COMMON STOCK 00374N107    1918      29500  Shares                 X                 3      29500   0        0
ACCRETIVE HEALTH
  ICOMMON           COMMON STOCK 00438V103      48       2100  Shares                 X                 1       2100   0        0
ACCRETIVE HEALTH
  ICOMMON           COMMON STOCK 00438V103    1735      75500  Shares                 X                 3      75500   0        0
ACME PACKET INC     COMMON STOCK 004764106     798      25827  Shares                 X                 1      25271   0      556
ACME PACKET INC     COMMON STOCK 004764106      33       1060  Shares                          X        1       1060   0        0
ACTIVISION
  BLIZZARD INC      COMMON STOCK 00507V109     135      10918  Shares                 X                 1      10918   0        0
ACTIVISION
  BLIZZARD INC      COMMON STOCK 00507V109     105       8498  Shares                          X        1       8498   0        0
ADOBE SYS INC COM   COMMON STOCK 00724F101      40       1400  Shares                 X                 1       1400   0        0
ADOBE SYS INC COM   COMMON STOCK 00724F101      19        665  Shares                          X        1        665   0        0
ADTRAN INCCOMMON    COMMON STOCK 00738A106     353      11696  Shares                 X                 1      11696   0        0
ADTRAN INCCOMMON    COMMON STOCK 00738A106    5002     165845  Shares                 X                 3     165845   0        0
ADVANCE AUTO PARTS  COMMON STOCK 00751Y106      21        300  Shares                 X                 1        300   0        0
ADVANCED
  SEMICONDUCTOR E
  ADR               COMMON STOCK 00756M404      10       2290  Shares                 X                 1       2290   0        0
ADV MICRO
  DEVICESCOMMON     COMMON STOCK 007903107     793     146876  Shares                 X                 1     146876   0        0
ADV MICRO
  DEVICESCOMMON     COMMON STOCK 007903107       3        500  Shares                          X        1        500   0        0
ADV MICRO
  DEVICESCOMMON     COMMON STOCK 007903107    2147     397609  Shares                 X                 3     397609   0        0
AEGON NV ORD AMER
  REG SHS           COMMON STOCK 007924103       9       2349  Shares                          X        1       2349   0        0
AES TRUST III PFD
  CONV 6.75% 10/29  COMMON STOCK 00808N202      20        400  Shares                 X                 1          0   0        0
AES TRUST III PFD
  CONV 6.75% 10/29  COMMON STOCK 00808N202      16        325  Shares                          X        1          0   0        0
AETNA INC NEW COM   COMMON STOCK 00817Y108     438      10377  Shares                 X                 1      10377   0        0
AFFILIATED
  MANAGERS GROUP    COMMON STOCK 008252108      14        145  Shares                          X        1        145   0        0
AGILENT
  TECHNOLOGIES INC
  COM               COMMON STOCK 00846U101       2         43  Shares                 X                 1         43   0        0
AGILENT
  TECHNOLOGIES INC
  COM               COMMON STOCK 00846U101      30        853  Shares                          X        1        243   0      610
AGILENT
  TECHNOLOGIES INC
  COM               COMMON STOCK 00846U101       8        229  Shares                 X                 3        229   0        0


                                    1 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
AGRIUM INC          COMMON STOCK 008916108      10        150  Shares                 X                 1        150   0       0
AIR METHODS
  CORPCOMMON        COMMON STOCK 009128307      40        475  Shares                 X                 1        475   0       0
AIR METHODS
  CORPCOMMON        COMMON STOCK 009128307    1478      17500  Shares                 X                 3      17500   0       0
AIR PRODUCTS &
  CHEMICALS INC     COMMON STOCK 009158106    1740      20421  Shares                 X                 1      20171   0     250
AIR PRODUCTS &
  CHEMICALS INC     COMMON STOCK 009158106    1327      15580  Shares                          X        1      14791   0     789
AIR PRODUCTS &
  CHEMICALS INC     COMMON STOCK 009158106      30        350  Shares                 X                 3        350   0       0
ALASKA AIR GROUP
  INCCOMMON         COMMON STOCK 011659109      45        600  Shares                 X                 1        600   0       0
ALASKA AIR GROUP
  INCCOMMON         COMMON STOCK 011659109    1652      22000  Shares                 X                 3      22000   0       0
ALBEMARLE CORP COM  COMMON STOCK 012653101    2808      54508  Shares                 X                 1      53706   0     802
ALBEMARLE CORP COM  COMMON STOCK 012653101    1275      24760  Shares                          X        1      24760   0       0
ALBEMARLE CORP COM  COMMON STOCK 012653101      31        606  Shares                 X                 3        606   0       0
ALCOA INC COM       COMMON STOCK 013817101     293      33849  Shares                 X                 1      33549   0     300
ALCOA INC COM       COMMON STOCK 013817101     183      21106  Shares                          X        1      20346   0     760
ALCATEL-LUCENT--
  SPON ADR          COMMON STOCK 013904305       1        554  Shares                 X                 1        554   0       0
ALCATEL-LUCENT--
  SPON ADR          COMMON STOCK 013904305       0        253  Shares                          X        1        253   0       0
ALEX & BALDWIN INC  COMMON STOCK 014482103    1541      37755  Shares                 X                 1      37217   0     538
ALEX & BALDWIN INC  COMMON STOCK 014482103     152       3730  Shares                          X        1       3730   0       0
ALEX & BALDWIN INC  COMMON STOCK 014482103      17        408  Shares                 X                 3        408   0       0
ALERE INCCOMMON     COMMON STOCK 01449J105     147       6382  Shares                 X                 1       6382   0       0
ALERE INCCOMMON     COMMON STOCK 01449J105    1713      74170  Shares                 X                 3      74170   0       0
ALEXION
  PHARMACEUTICALS
  INC COM           COMMON STOCK 015351109    2270      31742  Shares                 X                 1      31210   0     532
ALEXION
  PHARMACEUTICALS
  INC COM           COMMON STOCK 015351109     182       2540  Shares                          X        1       2390   0     150
ALLEGHENY TECH
  CONV 4.250%
  6/01/14 *         COMMON STOCK 01741RAD4       3       2000  Shares                 X                 1          0   0       0
ALLERGAN INCCOMMON  COMMON STOCK 018490102    2989      34070  Shares                 X                 1      33576   0     494
ALLERGAN INCCOMMON  COMMON STOCK 018490102     224       2558  Shares                          X        1       2558   0       0
ALLERGAN INCCOMMON  COMMON STOCK 018490102     542       6180  Shares                 X                 3       6180   0       0
ALLETE INC          COMMON STOCK 018522300      55       1300  Shares                          X        1       1300   0       0
ALLIANT
  TECHSYSTEMS INC   COMMON STOCK 018804104      23        405  Shares                          X        1        405   0       0
ALLIANCEBERNSTEIN
  INCOME FUND       COMMON STOCK 01881E101       6        802  Shares                 X                 1          0   0       0
ALLSCRIPTS
  HLTHCARECOMMON
  STOCK             COMMON STOCK 01988P108     364      19209  Shares                 X                 1      19209   0       0
ALLSCRIPTS
  HLTHCARECOMMON
  STOCK             COMMON STOCK 01988P108      65       3450  Shares                          X        1       3450   0       0
ALLSCRIPTS
  HLTHCARECOMMON
  STOCK             COMMON STOCK 01988P108    3063     161770  Shares                 X                 3     161770   0       0
ALLSTATE CORP       COMMON STOCK 020002101     273       9959  Shares                 X                 1       9959   0       0
ALLSTATE CORP       COMMON STOCK 020002101     153       5574  Shares                          X        1       5574   0       0
ALON USA ENERGY INC COMMON STOCK 020520102      13       1500  Shares                 X                 1       1500   0       0
ALPHA NATURAL
  RESCOMMON         COMMON STOCK 02076X102     654      32013  Shares                 X                 1      32013   0       0
ALPHA NATURAL
  RESCOMMON         COMMON STOCK 02076X102    1099      53791  Shares                 X                 3      53791   0       0
ALPINE GLOBAL
  PREMIER PPTYS     COMMON STOCK 02083A103   15961    3011507  Shares                 X                 1          0   0       0
ALPINE GLOBAL
  PREMIER PPTYS     COMMON STOCK 02083A103    2280     430248  Shares                          X        1          0   0       0
ALPINE GLOBAL
  PREMIER PPTYS     COMMON STOCK 02083A103    2408     454339  Shares                 X                 3          0   0       0
ALPINE GLOBAL
  PREMIER PPTYS     COMMON STOCK 02083A103       9       1687  Shares                 X                 4          0   0       0
ALPINE TOTAL
  DYNAMIC DVD FD    COMMON STOCK 021060108      30       6844  Shares                 X                 1          0   0       0
ALPINE TOTAL
  DYNAMIC DVD FD    COMMON STOCK 021060108       4       1000  Shares                          X        1          0   0       0
ALTERA CORPCOMMON   COMMON STOCK 021441100     464      12506  Shares                 X                 1      12506   0       0
ALTERA CORPCOMMON   COMMON STOCK 021441100    4501     121310  Shares                 X                 3     121310   0       0
ALTRIA GROUP INC    COMMON STOCK 02209S103    9671     326184  Shares                 X                 1     322793   0    3391
ALTRIA GROUP INC    COMMON STOCK 02209S103    3776     127355  Shares                          X        1     120007   0    7348
ALTRIA GROUP INC    COMMON STOCK 02209S103    1095      36926  Shares                 X                 3      36926   0       0
AMAZON COM
  INCCOMMON         COMMON STOCK 023135106    6293      36352  Shares                 X                 1      36078   0     274
AMAZON COM
  INCCOMMON         COMMON STOCK 023135106     364       2102  Shares                          X        1       1289   0     813
AMAZON COM
  INCCOMMON         COMMON STOCK 023135106    3079      17783  Shares                 X                 3      16752   0    1031
AMAZON COM
  INCCOMMON         COMMON STOCK 023135106      22        125  Shares                          X        4        125   0       0


                                    2 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   ------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                    
AMERICA MOVIL SA -
  SPONS ADR SER L   COMMON STOCK 02364W105      53      2350   Shares                 X                 1      2350   0       0
AMERICA MOVIL SA -
  SPONS ADR SER L   COMMON STOCK 02364W105     273     12100   Shares                          X        1      6600   0    5500
AMERICA MOVIL SA -
  SPON ADR SER A    COMMON STOCK 02364W204       0         1   Shares                 X                 3         1   0       0
AMERICAN CAMPUS
  CMNTCOMMON        COMMON STOCK 024835100      45      1075   Shares                 X                 1         0   0       0
AMERICAN CAMPUS
  CMNTCOMMON        COMMON STOCK 024835100    1636     39000   Shares                 X                 3     39000   0       0
AMERICAN CAPITAL
  AGENCY CORP       COMMON STOCK 02503X105       7       250   Shares                 X                 1         0   0       0
AMERICAN CAPITAL
  AGENCY CORP       COMMON STOCK 02503X105       8       300   Shares                          X        1         0   0       0
AMERICAN ELECTRIC
  POWER CO INC      COMMON STOCK 025537101     184      4465   Shares                 X                 1      4465   0       0
AMERICAN ELECTRIC
  POWER CO INC      COMMON STOCK 025537101     109      2634   Shares                          X        1      1804   0     830
AMERICAN EAGLE
  OUTFITTER INC     COMMON STOCK 02553E106      18      1190   Shares                 X                 1      1190   0       0
AMERICAN ELECTRIC
  TECHNOLOGIES INC  COMMON STOCK 025576109       1       100   Shares                 X                 1       100   0       0
AMERICAN EXPRESS
  COCOMMON          COMMON STOCK 025816109    1226     25985   Shares                 X                 1     25385   0     600
AMERICAN EXPRESS
  COCOMMON          COMMON STOCK 025816109     511     10823   Shares                          X        1      8545   0    2278
AMERICAN EXPRESS
  COCOMMON          COMMON STOCK 025816109    1068     22639   Shares                 X                 3     22639   0       0
AMERICAN FINANCIAL
  GROUP INC         COMMON STOCK 025932104      22       600   Shares                          X        1         0   0     600
AMERICAN INTL CW21
  1/19/21           COMMON STOCK 026874156       1       108   Shares                 X                 1       108   0       0
AMERICAN INTL CW21
  1/19/21           COMMON STOCK 026874156       0        32   Shares                          X        1        32   0       0
AMERICAN
  INTERNATIONAL
  GROUP             COMMON STOCK 026874784       5       209   Shares                 X                 1       209   0       0
AMERICAN
  INTERNATIONAL
  GROUP             COMMON STOCK 026874784       4       157   Shares                          X        1        57   0     100
AMERICAN TOWER
  CORP CL A         COMMON STOCK 029912201      18       299   Shares                 X                 1       299   0       0
AMERICAN WATER
  WORKS CO INC      COMMON STOCK 030420103      22       701   Shares                 X                 1       701   0       0
AMERICAN WATER
  WORKS CO INC      COMMON STOCK 030420103      89      2800   Shares                          X        1      2800   0       0
AMERISOURCE BERGEN
  CORP COM          COMMON STOCK 03073E105      56      1504   Shares                 X                 1      1504   0       0
AMERIGROUP
  CORPCOMMON        COMMON STOCK 03073T102      32       550   Shares                 X                 1       550   0       0
AMERIGROUP
  CORPCOMMON        COMMON STOCK 03073T102    1152     19500   Shares                 X                 3     19500   0       0
AMERIPRISE
  FINANCIAL INC     COMMON STOCK 03076C106      75      1507   Shares                 X                 1      1387   0     120
AMERIPRISE
  FINANCIAL INC     COMMON STOCK 03076C106      71      1431   Shares                          X        1      1236   0     195
AMERIS BANCORP      COMMON STOCK 03076K108       1       123   Shares                 X                 1       123   0       0
AMERIGAS PARTNERS
  LP                COMMON STOCK 030975106      14       300   Shares                          X        1       300   0       0
AMGEN INC COM       COMMON STOCK 031162100    3656     56945   Shares                 X                 1     56945   0       0
AMGEN INC COM       COMMON STOCK 031162100    1457     22698   Shares                          X        1     18348   0    4350
AMGEN INC COM       COMMON STOCK 031162100      26       400   Shares                          X        4       400   0       0
AMPAL- AMERICAN
  ISRAEL CORP A     COMMON STOCK 032015109       8     25359   Shares                 X                 1     25359   0       0
AMPHENOL CORP NEW
  CL A              COMMON STOCK 032095101      12       267   Shares                 X                 1       267   0       0
AMYRIS INC          COMMON STOCK 03236M101       0        16   Shares                 X                 1        16   0       0
ANADARKO PETROLEUM
  CORP              COMMON STOCK 032511107    2487     32577   Shares                 X                 1     32577   0       0
ANADARKO PETROLEUM
  CORP              COMMON STOCK 032511107     320      4198   Shares                          X        1      2941   0    1257
ANADARKO PETROLEUM
  CORP              COMMON STOCK 032511107     830     10882   Shares                 X                 3      9218   0    1664
ANALOG DEVICES INC  COMMON STOCK 032654105       4       108   Shares                 X                 1       108   0       0
ANALOG DEVICES INC  COMMON STOCK 032654105      13       360   Shares                          X        1       360   0       0
ANAREN INC          COMMON STOCK 032744104      60      3613   Shares                 X                 1      3613   0       0
ANNALY CAPITAL
  MANAGEMENT INC
  (REIT)            COMMON STOCK 035710409      82      5130   Shares                 X                 1         0   0       0
ANNALY CAPITAL
  MANAGEMENT INC
  (REIT)            COMMON STOCK 035710409       5       300   Shares                          X        1         0   0       0
ANSYS INCCOMMON     COMMON STOCK 03662Q105     384      6707   Shares                 X                 1      6707   0       0
ANSYS INCCOMMON     COMMON STOCK 03662Q105    4306     75170   Shares                 X                 3     75170   0       0
AON CORP            COMMON STOCK 037389103     215      4600   Shares                 X                 1      4600   0       0
APACHE CORP COM     COMMON STOCK 037411105    3422     37783   Shares                 X                 1     37561   0     222
APACHE CORP COM     COMMON STOCK 037411105     998     11014   Shares                          X        1      9996   0    1018
APACHE CORP COM     COMMON STOCK 037411105      19       205   Shares                 X                 3       205   0       0
APACHE CORP COM     COMMON STOCK 037411105      36       400   Shares                          X        4       400   0       0
APACHE CORP CONV
  PFD 6%8/13 SER    COMMON STOCK 037411808       5        99   Shares                 X                 1         0   0       0
APACHE CORP CONV
  PFD 6%8/13 SER    COMMON STOCK 037411808       8       150   Shares                          X        1         0   0       0


                                    3 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
APOLLO GROUP INC
  CL A              COMMON STOCK 037604105      31        575  Shares                 X                 1        575   0       0
APOLLO INVESTMENT
  CORPORATION       COMMON STOCK 03761U106      19       3000  Shares                 X                 1          0   0       0
APOLLO INVESTMENT
  CORPORATION       COMMON STOCK 03761U106       5        800  Shares                          X        1          0   0       0
APPLE INCCOMMON     COMMON STOCK 037833100   29128      71921  Shares                 X                 1      71170   0     751
APPLE INCCOMMON     COMMON STOCK 037833100    4623      11416  Shares                          X        1      10485   0     931
APPLE INCCOMMON     COMMON STOCK 037833100    9914      24477  Shares                 X                 3      23780   0     697
APPLE INCCOMMON     COMMON STOCK 037833100     527       1300  Shares                          X        4       1300   0       0
APPLIED MATERIALS
  INC COM           COMMON STOCK 038222105      48       4501  Shares                 X                 1       3501   0    1000
APPLIED MATERIALS
  INC COM           COMMON STOCK 038222105      41       3800  Shares                          X        1       3400   0     400
AQUA AMERICA INC    COMMON STOCK 03836W103      37       1683  Shares                 X                 1       1683   0       0
AQUA AMERICA INC    COMMON STOCK 03836W103      26       1200  Shares                          X        1       1000   0     200
AQUA AMERICA INC    COMMON STOCK 03836W103      22        988  Shares                 X                 3        988   0       0
ARCH COAL INC       COMMON STOCK 039380100      38       2594  Shares                 X                 1       2594   0       0
ARCELORMITTAL-NY
  REGISTERED        COMMON STOCK 03938L104       5        300  Shares                 X                 1        300   0       0
ARCHER DANIELS
  MIDLAND CO COM    COMMON STOCK 039483102     165       5783  Shares                 X                 1       5783   0       0
ARCHER DANIELS
  MIDLAND CO COM    COMMON STOCK 039483102     343      12000  Shares                          X        1       6500   0    5500
ARM HOLDINGS PLC    COMMON STOCK 042068106    1281      46292  Shares                 X                 1      45502   0     790
ARM HOLDINGS PLC    COMMON STOCK 042068106     138       4998  Shares                          X        1       4998   0       0
ARMOUR RESIDENTIAL
  REIT INC          COMMON STOCK 042315101      71      10000  Shares                 X                 1          0   0       0
ARRIS GROUP         COMMON STOCK 04269Q100     213      19720  Shares                          X        1      19720   0       0
ARROW FINL CORP     COMMON STOCK 042744102      36       1543  Shares                 X                 3       1543   0       0
ARTESIAN RESOURCES
  CORPORATION CL A  COMMON STOCK 043113208      17        885  Shares                 X                 1        885   0       0
ARUBA
  NETWORKSCOMMON    COMMON STOCK 043176106     901      48673  Shares                 X                 1      48673   0       0
ARUBA
  NETWORKSCOMMON    COMMON STOCK 043176106    3903     210732  Shares                 X                 3     210732   0       0
ASHLAND INC         COMMON STOCK 044209104      57       1000  Shares                 X                 1       1000   0       0
ASHLAND INC         COMMON STOCK 044209104      27        474  Shares                          X        1        474   0       0
ASPEN TECHNOLOGY
  INCCOMMON         COMMON STOCK 045327103      31       1775  Shares                 X                 1       1775   0       0
ASPEN TECHNOLOGY
  INCCOMMON         COMMON STOCK 045327103    1105      63700  Shares                 X                 3      63700   0       0
ASSURANT INC        COMMON STOCK 04621X108       6        145  Shares                 X                 1        145   0       0
ASTRAZENECA GROUP
  PLC SPONSORED ADR COMMON STOCK 046353108      99       2137  Shares                 X                 1       2137   0       0
ASTRAZENECA GROUP
  PLC SPONSORED ADR COMMON STOCK 046353108      61       1324  Shares                          X        1       1324   0       0
ATLANTIC PWR
  CORPCOM NEW       COMMON STOCK 04878Q863      32       2255  Shares                 X                 1       2255   0       0
ATLANTIC PWR
  CORPCOM NEW       COMMON STOCK 04878Q863    1168      81700  Shares                 X                 3      81700   0       0
ATLAS PIPELINE
  PARTNERS LP       COMMON STOCK 049392103       2         60  Shares                          X        1         60   0       0
AUTODESK INCCOMMON  COMMON STOCK 052769106     318      10469  Shares                 X                 1      10469   0       0
AUTODESK INCCOMMON  COMMON STOCK 052769106      30       1000  Shares                          X        1       1000   0       0
AUTODESK INCCOMMON  COMMON STOCK 052769106    3306     109020  Shares                 X                 3     109020   0       0
AUTOMATIC DATA
  PROCESSING INC    COMMON STOCK 053015103    1687      31233  Shares                 X                 1      30433   0     800
AUTOMATIC DATA
  PROCESSING INC    COMMON STOCK 053015103    2116      39169  Shares                          X        1      36419   0    2750
AUTOZONE INC COM    COMMON STOCK 053332102      75        232  Shares                 X                 1        232   0       0
AUTOZONE INC COM    COMMON STOCK 053332102      65        200  Shares                          X        1        200   0       0
AUXILIUM
  PHARMACEUTICOMMON COMMON STOCK 05334D107     131       6573  Shares                 X                 1       6573   0       0
AUXILIUM
  PHARMACEUTICOMMON COMMON STOCK 05334D107    1501      75300  Shares                 X                 3      75300   0       0
AVALONBAY
  COMMUNITIES INC   COMMON STOCK 053484101      34        257  Shares                 X                 1          0   0       0
AVERY DENNISON
  CORP COM          COMMON STOCK 053611109       5        180  Shares                 X                 1        180   0       0
AVIS BUDGET GROUP
  INC               COMMON STOCK 053774105       4        358  Shares                 X                 1        358   0       0
AVON PRODUCTS INC   COMMON STOCK 054303102     138       7894  Shares                 X                 1       7894   0       0
AVON PRODUCTS INC   COMMON STOCK 054303102     164       9406  Shares                          X        1       9406   0       0
BB&T CORP COM       COMMON STOCK 054937107     390      15485  Shares                 X                 1      14085   0    1400
BB&T CORP COM       COMMON STOCK 054937107     413      16410  Shares                          X        1      16410   0       0
BCE INC             COMMON STOCK 05534B760     135       3230  Shares                 X                 1       3230   0       0
BCE INC             COMMON STOCK 05534B760      20        468  Shares                          X        1        468   0       0


                                    4 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES            PUT   INVESTMENT AUTHORITY
                                                         OR     SHARES   ---- ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
BOK FINANCIAL
  CORPORATION       COMMON STOCK 05561Q201       1         11  Shares                 X                 1         11   0       0
BP PLC SPONSORED
  ADR               COMMON STOCK 055622104     720      16854  Shares                 X                 1      16854   0       0
BP PLC SPONSORED
  ADR               COMMON STOCK 055622104     772      18065  Shares                          X        1      17465   0     600
BMC SOFTWARE INC
  COM               COMMON STOCK 055921100      14        416  Shares                 X                 1        416   0       0
BABCOCK & WILCOX
  COCOM USD0.01     COMMON STOCK 05615F102     319      13207  Shares                 X                 1      13207   0       0
BABCOCK & WILCOX
  COCOM USD0.01     COMMON STOCK 05615F102       7        275  Shares                          X        1        275   0       0
BABCOCK & WILCOX
  COCOM USD0.01     COMMON STOCK 05615F102    3412     141330  Shares                 X                 3     141330   0       0
BAIDU INCADR(10
  ORD CL A)         COMMON STOCK 056752108     620       5325  Shares                 X                 1       5325   0       0
BAIDU INCADR(10
  ORD CL A)         COMMON STOCK 056752108     841       7225  Shares                 X                 3       7225   0       0
BAKER HUGHES
  INCCOMMON         COMMON STOCK 057224107     808      16609  Shares                 X                 1      16609   0       0
BAKER HUGHES
  INCCOMMON         COMMON STOCK 057224107      32        650  Shares                          X        1        650   0       0
BAKER HUGHES
  INCCOMMON         COMMON STOCK 057224107    1151      23659  Shares                 X                 3      23659   0       0
BALL CORPORATION    COMMON STOCK 058498106    1514      42400  Shares                 X                 1      42400   0       0
BANCO BRADESCO--
  SPONS ADR         COMMON STOCK 059460303      10        604  Shares                 X                 1        604   0       0
BANCO BILBAO
  VIZCAYA
  ARGENTARIA ADR    COMMON STOCK 05946K101       5        602  Shares                 X                 1        602   0       0
BANCO SANTANDER
  SA--SPONS ADR     COMMON STOCK 05964H105      43       5729  Shares                 X                 1       5729   0       0
BANCO SANTANDER
  SA--SPONS ADR     COMMON STOCK 05964H105      13       1701  Shares                          X        1       1700   0       1
BANCOLOMBIA SA
  SPONS ADR         COMMON STOCK 05968L102      13        210  Shares                 X                 1        210   0       0
BANK OF AMERICA
  CORPCOMMON        COMMON STOCK 060505104    2279     409806  Shares                 X                 1     404445   0    5361
BANK OF AMERICA
  CORPCOMMON        COMMON STOCK 060505104     784     141020  Shares                          X        1     133857   0    7163
BANK OF AMERICA
  CORPCOMMON        COMMON STOCK 060505104    1183     212672  Shares                 X                 3     202745   0    9927
BANK AMER PFD CONV
  7.25% SER L       COMMON STOCK 060505682      39         50  Shares                          X        1          0   0       0
BANK OF HAWAII CORP COMMON STOCK 062540109       2         35  Shares                 X                 1         35   0       0
BANK OF THE
  OZARKSCOMMON      COMMON STOCK 063904106      29        975  Shares                 X                 1        975   0       0
BANK OF THE
  OZARKSCOMMON      COMMON STOCK 063904106    1052      35500  Shares                 X                 3      35500   0       0
BANK NEW YORK
  MELLON CORP       COMMON STOCK 064058100    1555      78120  Shares                 X                 1      78120   0       0
BANK NEW YORK
  MELLON CORP       COMMON STOCK 064058100     226      11375  Shares                          X        1      10563   0     812
BANK NEW YORK
  MELLON CORP       COMMON STOCK 064058100      30       1500  Shares                 X                 3       1500   0       0
BARD C R INC COM    COMMON STOCK 067383109      43        500  Shares                 X                 1        500   0       0
BARD C R INC COM    COMMON STOCK 067383109     368       4300  Shares                          X        1       4300   0       0
BARD C R INC COM    COMMON STOCK 067383109     123       1441  Shares                 X                 3       1441   0       0
BARCLAYS PLC--
  SPONS ADR         COMMON STOCK 06738E204       4        338  Shares                 X                 1        338   0       0
BARCLAYS PLC--
  SPONS ADR         COMMON STOCK 06738E204       8        755  Shares                          X        1        755   0       0
BARRICK GOLD CORP   COMMON STOCK 067901108      18        394  Shares                 X                 1        394   0       0
BARRICK GOLD CORP   COMMON STOCK 067901108     146       3220  Shares                          X        1       3220   0       0
BASIC ENERGY
  SVCSCOMMON        COMMON STOCK 06985P100      43       2200  Shares                 X                 1       2200   0       0
BASIC ENERGY
  SVCSCOMMON        COMMON STOCK 06985P100    1566      79500  Shares                 X                 3      79500   0       0
BAXTER INTL
  INCCOMMON         COMMON STOCK 071813109     822      16607  Shares                 X                 1      16607   0       0
BAXTER INTL
  INCCOMMON         COMMON STOCK 071813109     289       5850  Shares                          X        1       5850   0       0
BAXTER INTL
  INCCOMMON         COMMON STOCK 071813109     709      14339  Shares                 X                 3      14339   0       0
BEAM INC            COMMON STOCK 073730103     599      11689  Shares                 X                 1      11689   0       0
BEAM INC            COMMON STOCK 073730103     190       3702  Shares                          X        1       3595   0     107
BECTON DICKINSON &
  CO COM            COMMON STOCK 075887109    1163      15568  Shares                 X                 1      15568   0       0
BECTON DICKINSON &
  CO COM            COMMON STOCK 075887109     357       4779  Shares                          X        1       4779   0       0
BED BATH & BEYOND
  INC COM           COMMON STOCK 075896100     119       2054  Shares                 X                 1       2054   0       0
BENIHANA INC        COMMON STOCK 082047101       1        101  Shares                 X                 3        101   0       0
BERKSHIRE HATHAWAY
  INC CLASS A       COMMON STOCK 084670108     344          3  Shares                          X        1          3   0       0
BERKSHIRE HATHAWAY
  INC DEL CL B      COMMON STOCK 084670702    4418      57898  Shares                 X                 1      56895   0    1003
BERKSHIRE HATHAWAY
  INC DEL CL B      COMMON STOCK 084670702    1107      14514  Shares                          X        1      11926   0    2588
BERRY PETROLEUM
  COCLASS A         COMMON STOCK 085789105      33        775  Shares                 X                 1        775   0       0
BERRY PETROLEUM
  COCLASS A         COMMON STOCK 085789105    1227      29200  Shares                 X                 3      29200   0       0
BEST BUY COMPANY
  INC               COMMON STOCK 086516101     237      10139  Shares                 X                 1      10139   0       0


                                    5 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
BEST BUY COMPANY
  INC               COMMON STOCK 086516101      89       3797  Shares                          X        1       3765   0       32
BHP BILLITON LTD
  SPONSORED ADR     COMMON STOCK 088606108     407       5763  Shares                 X                 1       5763   0        0
BHP BILLITON LTD
  SPONSORED ADR     COMMON STOCK 088606108     415       5875  Shares                          X        1       4403   0     1472
BIOMARIN
  PHARMACEUTICAL
  INC               COMMON STOCK 09061G101       7        200  Shares                 X                 1        200   0        0
BIOGEN IDEC INC     COMMON STOCK 09062X103    1930      17536  Shares                 X                 1      17348   0      188
BIOGEN IDEC INC     COMMON STOCK 09062X103     237       2153  Shares                          X        1       2043   0      110
BLACK HILLS CORP    COMMON STOCK 092113109      54       1600  Shares                 X                 1       1600   0        0
BLACKROCK INC       COMMON STOCK 09247X101    2077      11651  Shares                 X                 1      11651   0        0
BLACKROCK INC       COMMON STOCK 09247X101     283       1585  Shares                          X        1       1585   0        0
BLACKROCK ENERGY &
  RESOURCES TRUST   COMMON STOCK 09250U101      10        400  Shares                          X        1          0   0        0
BLACKROCK HEALTH
  SCIENCES TRUST    COMMON STOCK 09250W107     126       5000  Shares                          X        1          0   0        0
BLACKROCK INTL
  GROWTH & INCOME
  TR                COMMON STOCK 092524107      21       2900  Shares                 X                 1          0   0        0
BLACKROCK KELSO
  CAPITAL CORP      COMMON STOCK 092533108       2        250  Shares                 X                 1        250   0        0
BLACKROCK KELSO
  CAPITAL CORP      COMMON STOCK 092533108       3        420  Shares                          X        1        420   0        0
BLACKSTONE GROUP
  LP (THE)          COMMON STOCK 09253U108     625      44600  Shares                 X                 1      44600   0        0
BLACKSTONE GROUP
  LP (THE)          COMMON STOCK 09253U108      20       1460  Shares                          X        1       1460   0        0
BLACKSTONE GROUP
  LP (THE)          COMMON STOCK 09253U108      95       6790  Shares                 X                 3       6790   0        0
BLACKROCK REAL
  ASSET EQUITY
  TRUST             COMMON STOCK 09254B109      21       2000  Shares                 X                 1          0   0        0
BLACKROCK MUNIYLD
  QUALITY FUND II   COMMON STOCK 09254G108      94       6850  Shares                          X        1          0   0        0
BLACKROCK
  MUNIHLDGS NJ
  QUALITY FUND      COMMON STOCK 09254X101      48       3050  Shares                          X        1          0   0        0
BLACKROCK
  MUNIHLDGS NY
  QUALITY FUND      COMMON STOCK 09255C106      46       3050  Shares                          X        1          0   0        0
BLACKROCK CORP HI
  YLD FD V          COMMON STOCK 09255N102     222      18980  Shares                 X                 1          0   0        0
BLACKROCK CORP HI
  YLD FD VI         COMMON STOCK 09255P107     185      16260  Shares                 X                 1          0   0        0
BLACKROCK DEFINED
  OPPORTUNITY       COMMON STOCK 09255Q105      13       1056  Shares                 X                 1          0   0        0
BLACKSTONE/GSO      COMMON STOCK 09256U105      14        750  Shares                 X                 1          0   0        0
BLACKSTONE
  RESOURCES &
  COMMODITIES       COMMON STOCK 09257A108      10        750  Shares                 X                 1          0   0        0
BLOCK H & R INC     COMMON STOCK 093671105     108       6600  Shares                          X        1       6600   0        0
BLONDER TONGUE
  LABS INC COM      COMMON STOCK 093698108     244     200001  Shares                 X                 3     200001   0        0
BODY CENT CORPCOM
  USD0.001          COMMON STOCK 09689U102      29       1150  Shares                 X                 1       1150   0        0
BODY CENT CORPCOM
  USD0.001          COMMON STOCK 09689U102    1023      41000  Shares                 X                 3      41000   0        0
BOEING COCOMMON     COMMON STOCK 097023105    6066      82694  Shares                 X                 1      82344   0      350
BOEING COCOMMON     COMMON STOCK 097023105    1231      16776  Shares                          X        1      14914   0     1862
BOEING COCOMMON     COMMON STOCK 097023105    2796      38120  Shares                 X                 3      38120   0        0
BON-TON STORES
  INCORPORATED      COMMON STOCK 09776J101       5       1500  Shares                 X                 1       1500   0        0
BORG WARNER
  INCCOMMON         COMMON STOCK 099724106    1045      16390  Shares                 X                 1      16390   0        0
BORG WARNER
  INCCOMMON         COMMON STOCK 099724106    5207      81697  Shares                 X                 3      81697   0        0
BOSTON BEER
  INCORPORATED
  CLASS A           COMMON STOCK 100557107      33        300  Shares                 X                 1        300   0        0
BOSTON BEER
  INCORPORATED
  CLASS A           COMMON STOCK 100557107     890       8200  Shares                 X                 3       8200   0        0
BOSTON PROPERTIES
  INC (REIT)        COMMON STOCK 101121101      27        275  Shares                 X                 1          0   0        0
BOSTON PROPERTIES
  INC (REIT)        COMMON STOCK 101121101      60        600  Shares                          X        1          0   0        0
BRANDYWINE REALTY
  TRUST (REIT)      COMMON STOCK 105368203      14       1500  Shares                 X                 1          0   0        0
BRASIL TELECOM
  SA--ADR           COMMON STOCK 10553M101       2         94  Shares                          X        1         94   0        0
BRASIL TELECOM
  SA--ADR           COMMON STOCK 10553M200       0         54  Shares                          X        1         54   0        0
BRAVO BRIO REST
  GPCOM NPV         COMMON STOCK 10567B109      24       1400  Shares                 X                 1       1400   0        0
BRAVO BRIO REST
  GPCOM NPV         COMMON STOCK 10567B109     866      50500  Shares                 X                 3      50500   0        0
BRIGGS & STRATTON
  CORP              COMMON STOCK 109043109      53       3401  Shares                 X                 3       3401   0        0
BRINKER INTL INC
  COM               COMMON STOCK 109641100      42       1562  Shares                 X                 1       1562   0        0
BRINKER INTL INC
  COM               COMMON STOCK 109641100      38       1425  Shares                          X        1       1425   0        0
BRISTOL-MYERS
  SQUIBB CO         COMMON STOCK 110122108   10587     300425  Shares                 X                 1     299401   0     1024
BRISTOL-MYERS
  SQUIBB CO         COMMON STOCK 110122108    7246     205608  Shares                          X        1     186208   0    19400
BRISTOL-MYERS
  SQUIBB CO         COMMON STOCK 110122108     191       5411  Shares                 X                 3       5411   0        0
BRISTOL-MYERS
  SQUIBB CO         COMMON STOCK 110122108      18        500  Shares                          X        4        500   0        0


                                    6 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
BRITISH AMERICAN
  TOBACCO-SP ADR    COMMON STOCK 110448107       3         28  Shares                 X                 1         28   0       0
BROADCOM CORP CL A  COMMON STOCK 111320107     211       7200  Shares                 X                 1       7200   0       0
BROADSOFT           COMMON STOCK 11133B409     312      10333  Shares          X                               10333   0       0
BROADRIDGE
  FINANCIAL
  SOLUTIONS INC     COMMON STOCK 11133T103       3        150  Shares                          X        1        150   0       0
BROCADE
  COMMUNICATIONS
  SYSTEM            COMMON STOCK 111621306       3        500  Shares                 X                 1        500   0       0
BROWN-FORMAN CORP
  CL B              COMMON STOCK 115637209     927      11508  Shares                 X                 1      11340   0     168
BROWN-FORMAN CORP
  CL B              COMMON STOCK 115637209     122       1517  Shares                          X        1       1517   0       0
BROWN-FORMAN CORP
  CL B              COMMON STOCK 115637209      10        125  Shares                 X                 3        125   0       0
BUCKEYE PARTNERS
  LP UNIT LTD
  PARTNER           COMMON STOCK 118230101       3         50  Shares                          X        1         50   0       0
CBS
  CORPORATIONCLASS
  B                 COMMON STOCK 124857202    5663     208654  Shares                 X                 1     207974   0     680
CBS
  CORPORATIONCLASS
  B                 COMMON STOCK 124857202     205       7536  Shares                          X        1       4054   0    3482
CBS
  CORPORATIONCLASS
  B                 COMMON STOCK 124857202    9429     347393  Shares                 X                 3     337722   0    9671
CBRE CLARION GL R/
  E INCOME FD       COMMON STOCK 12504G100    8340    1219334  Shares                 X                 1          0   0       0
CBRE CLARION GL R/
  E INCOME FD       COMMON STOCK 12504G100    1820     266135  Shares                          X        1          0   0       0
CBRE CLARION GL R/
  E INCOME FD       COMMON STOCK 12504G100    1028     150236  Shares                 X                 3          0   0       0
CBRE CLARION GL R/
  E INCOME FD       COMMON STOCK 12504G100       6        884  Shares                 X                 4          0   0       0
CBRE GROUP
  INCCLASS A USD
  0.01              COMMON STOCK 12504L109    2218     145700  Shares                 X                 1     145700   0       0
CBRE GROUP
  INCCLASS A USD
  0.01              COMMON STOCK 12504L109      61       4002  Shares                          X        1       4002   0       0
CBRE GROUP
  INCCLASS A USD
  0.01              COMMON STOCK 12504L109    4977     327008  Shares                 X                 3     320939   0    6069
CH ENERGY GROUP
  INC COM           COMMON STOCK 12541M102      12        200  Shares                 X                 1        200   0       0
CH ENERGY GROUP
  INC COM           COMMON STOCK 12541M102     111       1900  Shares                          X        1       1900   0       0
C H ROBINSON
  WLDWIDECOMMON     COMMON STOCK 12541W209     947      13570  Shares                 X                 1      13570   0       0
C H ROBINSON
  WLDWIDECOMMON     COMMON STOCK 12541W209    4393      62954  Shares                 X                 3      62954   0       0
CIGNA CORP          COMMON STOCK 125509109     131       3125  Shares                          X        1       3125   0       0
CIGNA CORP          COMMON STOCK 125509109       3         68  Shares                 X                 3         68   0       0
CME GROUP INC       COMMON STOCK 12572Q105      27        112  Shares                 X                 1        112   0       0
CME GROUP INC       COMMON STOCK 12572Q105       2         10  Shares                          X        1         10   0       0
CNOOC LTD -ADR      COMMON STOCK 126132109      19        108  Shares                 X                 1        108   0       0
CPFL ENERGIA SA--
  ADR               COMMON STOCK 126153105      42       1500  Shares                 X                 1       1500   0       0
CSX CORP            COMMON STOCK 126408103    2531     120159  Shares                 X                 1     120159   0       0
CSX CORP            COMMON STOCK 126408103    1438      68287  Shares                          X        1      67687   0     600
CVR ENERGY INCCOM   COMMON STOCK 12662P108      30       1625  Shares                 X                 1       1625   0       0
CVR ENERGY INCCOM   COMMON STOCK 12662P108    1105      59000  Shares                 X                 3      59000   0       0
CVS/CAREMARK CORP   COMMON STOCK 126650100    2385      58483  Shares                 X                 1      58483   0       0
CVS/CAREMARK CORP   COMMON STOCK 126650100     942      23110  Shares                          X        1      22526   0     584
CVS/CAREMARK CORP   COMMON STOCK 126650100      33        800  Shares                          X        4        800   0       0
CA INC              COMMON STOCK 12673P105     108       5350  Shares                 X                 1       5350   0       0
CABOT OIL & GAS
  CORPCOMMON        COMMON STOCK 127097103     220       2898  Shares                 X                 1       2898   0       0
CABOT OIL & GAS
  CORPCOMMON        COMMON STOCK 127097103    2519      33180  Shares                 X                 3      33180   0       0
CALAMOS GLOBAL
  DYNAMIC INCOME    COMMON STOCK 12811L107       7        900  Shares                 X                 1          0   0       0
CALAMOS STRATEGIC
  TOT RET FD        COMMON STOCK 128125101      42       5000  Shares                          X        1          0   0       0
CALLAWAY GOLF CO
  COM               COMMON STOCK 131193104       0         23  Shares                 X                 1         23   0       0
CAMDEN PROPERTY
  TRUST (REIT)      COMMON STOCK 133131102      62       1000  Shares                 X                 1          0   0       0
CAMECO CORPORATION  COMMON STOCK 13321L108       4        200  Shares                 X                 1        200   0       0
CAMERON INTLCOMMON  COMMON STOCK 13342B105    2914      59243  Shares                 X                 1      58601   0     642
CAMERON INTLCOMMON  COMMON STOCK 13342B105      86       1752  Shares                          X        1       1752   0       0
CAMERON INTLCOMMON  COMMON STOCK 13342B105    4969     101027  Shares                 X                 3     101027   0       0
CAMERON INTLCOMMON  COMMON STOCK 13342B105      25        500  Shares                          X        4        500   0       0
CAMPBELL SOUP CO
  COM               COMMON STOCK 134429109      43       1300  Shares                 X                 1       1300   0       0
CAMPBELL SOUP CO
  COM               COMMON STOCK 134429109     113       3400  Shares                          X        1       3400   0       0
CANADIAN NATIONAL
  RAILWAY COMPANY   COMMON STOCK 136375102      16        201  Shares                 X                 1        201   0       0
CANADIAN NATURAL
  RESOURCES LTD     COMMON STOCK 136385101      24        643  Shares                 X                 1        643   0       0


                                    7 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
CANADIAN NATURAL
  RESOURCES LTD     COMMON STOCK 136385101      12        322  Shares                          X        1        322   0       0
CANADIAN PACIFIC
  RAILWAY LTD       COMMON STOCK 13645T100       0          1  Shares                 X                 3          1   0       0
CANON INC SPONS ADR COMMON STOCK 138006309      24        555  Shares                          X        1        555   0       0
CAPITAL ONE
  FINANCIAL CORP    COMMON STOCK 14040H105     385       9100  Shares                 X                 1       9100   0       0
CAPITAL ONE
  FINANCIAL CORP    COMMON STOCK 14040H105     417       9850  Shares                          X        1       9350   0     500
CAPITALSOURCE INC   COMMON STOCK 14055X102       8       1250  Shares                 X                 1       1250   0       0
CAPSTEAD MORTGAGE
  CV PFD $1.26 SER
  B                 COMMON STOCK 14067E308      35       2400  Shares                 X                 1          0   0       0
CARBO CERAMICS INC
  COMMON            COMMON STOCK 140781105      49        400  Shares                 X                 1        400   0       0
CARBO CERAMICS INC
  COMMON            COMMON STOCK 140781105    1764      14300  Shares                 X                 3      14300   0       0
CARDINAL HEALTH INC COMMON STOCK 14149Y108     147       3608  Shares                 X                 1       3608   0       0
CARDINAL HEALTH INC COMMON STOCK 14149Y108      96       2362  Shares                          X        1       2362   0       0
CARDINAL HEALTH INC COMMON STOCK 14149Y108      15        380  Shares                 X                 3        380   0       0
CARDTRONICS INCCOM
  PAR USD .0001     COMMON STOCK 14161H108      19        700  Shares                 X                 1        700   0       0
CARDTRONICS INCCOM
  PAR USD .0001     COMMON STOCK 14161H108     687      25400  Shares                 X                 3      25400   0       0
CAREFUSION CORP     COMMON STOCK 14170T101       3        125  Shares                 X                 1        125   0       0
CAREFUSION CORP     COMMON STOCK 14170T101       8        298  Shares                          X        1        298   0       0
CARLISLE COMPANIES
  INC               COMMON STOCK 142339100      89       2000  Shares                          X        1       2000   0       0
CARMAX INC          COMMON STOCK 143130102    1567      51420  Shares                 X                 1      50554   0     866
CARMAX INC          COMMON STOCK 143130102      60       1956  Shares                          X        1       1956   0       0
CARNIVAL
  CORPORATION       COMMON STOCK 143658300     617      18899  Shares                 X                 1      18899   0       0
CARNIVAL
  CORPORATION       COMMON STOCK 143658300     206       6325  Shares                          X        1       5325   0    1000
CARPENTER
  TECHNOLOGY CORP
  COM               COMMON STOCK 144285103      40        776  Shares                          X        1        776   0       0
CARRIZO OIL & GAS
  INCORPORATED      COMMON STOCK 144577103      26        975  Shares                 X                 1        975   0       0
CARRIZO OIL & GAS
  INCORPORATED      COMMON STOCK 144577103     935      35500  Shares                 X                 3      35500   0       0
CASH AMER INTL
  INCCOMMON         COMMON STOCK 14754D100      30        650  Shares                 X                 1        650   0       0
CASH AMER INTL
  INCCOMMON         COMMON STOCK 14754D100    1096      23500  Shares                 X                 3      23500   0       0
CATALYST HEALTH
  SOLUCOMMON        COMMON STOCK 14888B103      70       1350  Shares                 X                 1       1350   0       0
CATALYST HEALTH
  SOLUCOMMON        COMMON STOCK 14888B103    1768      34000  Shares                 X                 3      34000   0       0
CATERPILLAR
  INCCOMMON         COMMON STOCK 149123101   12761     140852  Shares                 X                 1     139099   0    1753
CATERPILLAR
  INCCOMMON         COMMON STOCK 149123101    2262      24971  Shares                          X        1      21766   0    3205
CATERPILLAR
  INCCOMMON         COMMON STOCK 149123101    3853      42529  Shares                 X                 3      39884   0    2645
CATERPILLAR
  INCCOMMON         COMMON STOCK 149123101      77        850  Shares                          X        4        850   0       0
CAVIUM INCCOMMON
  STOCK             COMMON STOCK 14964U108      32       1125  Shares                 X                 1       1125   0       0
CAVIUM INCCOMMON
  STOCK             COMMON STOCK 14964U108    1194      42000  Shares                 X                 3      42000   0       0
CEDAR FAIR LTD PTR  COMMON STOCK 150185106      16        750  Shares                 X                 1        750   0       0
CELGENE CORPCOMMON  COMMON STOCK 151020104    1822      26949  Shares                 X                 1      26609   0     340
CELGENE CORPCOMMON  COMMON STOCK 151020104     206       3050  Shares                          X        1       2150   0     900
CELGENE CORPCOMMON  COMMON STOCK 151020104    1099      16263  Shares                 X                 3      16263   0       0
CENOVUS ENERGY INC  COMMON STOCK 15135U109      20        600  Shares                 X                 1        600   0       0
CENOVUS ENERGY INC  COMMON STOCK 15135U109      10        300  Shares                          X        1        300   0       0
CENTERPOINT ENERGY
  INC               COMMON STOCK 15189T107      15        750  Shares                 X                 1        750   0       0
CENTRAIS ELETRICAS
  BRAS-SP ADR CM    COMMON STOCK 15234Q207      15       1540  Shares                          X        1       1540   0       0
CENTURYLINK INC     COMMON STOCK 156700106     175       4693  Shares                 X                 1       4693   0       0
CENTURYLINK INC     COMMON STOCK 156700106      19        507  Shares                          X        1        507   0       0
CEPHEIDCOMMON       COMMON STOCK 15670R107      33        950  Shares                 X                 1        950   0       0
CEPHEIDCOMMON       COMMON STOCK 15670R107    1187      34500  Shares                 X                 3      34500   0       0
CERNER CORPCOMMON   COMMON STOCK 156782104    4425      72238  Shares                 X                 1      71908   0     330
CERNER CORPCOMMON   COMMON STOCK 156782104     839      13700  Shares                          X        1      11740   0    1960
CERNER CORPCOMMON   COMMON STOCK 156782104    2792      45571  Shares                 X                 3      43680   0    1891
CHART INDS
  INCCOMMON         COMMON STOCK 16115Q308      49        900  Shares                 X                 1        900   0       0
CHART INDS
  INCCOMMON         COMMON STOCK 16115Q308    1757      32500  Shares                 X                 3      32500   0       0
CHEMED CORPORATION  COMMON STOCK 16359R103       5        100  Shares                 X                 1        100   0       0


                                    8 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
CHESAPEAKE ENERGY
  CORP COM          COMMON STOCK 165167107     215       9643  Shares                 X                 1       9643   0        0
CHEVRON CORP        COMMON STOCK 166764100   26394     248061  Shares                 X                 1     245084   0     2977
CHEVRON CORP        COMMON STOCK 166764100   19297     181361  Shares                          X        1     171037   0    10324
CHEVRON CORP        COMMON STOCK 166764100      48        450  Shares                 X                 3        450   0        0
CHEVRON CORP        COMMON STOCK 166764100     148       1390  Shares                          X        4       1390   0        0
CHICAGO BRIDGE &
  IRON CO N V COM   COMMON STOCK 167250109       1         25  Shares                          X        1         25   0        0
CHIMERA INVESTMENT
  CORP              COMMON STOCK 16934Q109      31      12350  Shares                 X                 1          0   0        0
CHIMERA INVESTMENT
  CORP              COMMON STOCK 16934Q109      18       7100  Shares                          X        1          0   0        0
CHINA MOBILE LTD
  SPON ADR          COMMON STOCK 16941M109      13        266  Shares                 X                 1        266   0        0
CHINA MOBILE LTD
  SPON ADR          COMMON STOCK 16941M109      33        675  Shares                          X        1        675   0        0
CHINA UNICOM-
  (HONG KONG) ADR   COMMON STOCK 16945R104      51       2420  Shares                 X                 1       2420   0        0
CHIPOTLE MEXICAN
  GRILL-CL A        COMMON STOCK 169656105    1654       4896  Shares                 X                 1       4808   0       88
CHIPOTLE MEXICAN
  GRILL-CL A        COMMON STOCK 169656105     124        366  Shares                          X        1        366   0        0
CHUBB CORP          COMMON STOCK 171232101     480       6935  Shares                 X                 1       6935   0        0
CHUBB CORP          COMMON STOCK 171232101      48        700  Shares                          X        1        700   0        0
CHURCH & DWIGHT
  INCCOMMON         COMMON STOCK 171340102     297       6488  Shares                 X                 1       6488   0        0
CHURCH & DWIGHT
  INCCOMMON         COMMON STOCK 171340102    3410      74530  Shares                 X                 3      74530   0        0
CIMAREX ENERGY CO   COMMON STOCK 171798101      12        200  Shares                          X        1        200   0        0
CINCINNATI FINL
  CORP COM          COMMON STOCK 172062101      54       1761  Shares                 X                 1       1761   0        0
CINCINNATI FINL
  CORP COM          COMMON STOCK 172062101      28        922  Shares                          X        1        922   0        0
CINEMARK
  HOLDINGSCOM PAR
  USD .0001         COMMON STOCK 17243V102      31       1675  Shares                 X                 1       1675   0        0
CINEMARK
  HOLDINGSCOM PAR
  USD .0001         COMMON STOCK 17243V102    1119      60500  Shares                 X                 3      60500   0        0
CISCO SYSTEMS
  INCCOMMON         COMMON STOCK 17275R102   11960     661502  Shares                 X                 1     654039   0     7463
CISCO SYSTEMS
  INCCOMMON         COMMON STOCK 17275R102    3208     177441  Shares                          X        1     161974   0    15467
CISCO SYSTEMS
  INCCOMMON         COMMON STOCK 17275R102    3571     197575  Shares                 X                 3     187389   0    10186
CITIGROUP INC PFD
  CONV 7.5%         COMMON STOCK 172967416       3         41  Shares                 X                 1          0   0        0
CITIGROUP INC       COMMON STOCK 172967424     155       5877  Shares                 X                 1       5877   0        0
CITIGROUP INC       COMMON STOCK 172967424      82       3099  Shares                          X        1       2453   0      646
CITRIX SYS
  INCCOMMON         COMMON STOCK 177376100    2086      34352  Shares                 X                 1      33848   0      504
CITRIX SYS
  INCCOMMON         COMMON STOCK 177376100     136       2245  Shares                          X        1       2245   0        0
CITRIX SYS
  INCCOMMON         COMMON STOCK 177376100    3481      57320  Shares                 X                 3      57320   0        0
GUGGENHEIM S&P
  GLOBAL DIVIDEND   COMMON STOCK 18383M860       3        200  Shares                          X        1          0   0        0
GUGGENHEIM S&P
  GLOBAL WATER      COMMON STOCK 18383Q507       2        100  Shares                          X        1          0   0        0
CLEAN HARBORS INC   COMMON STOCK 184496107      59        925  Shares                 X                 1        925   0        0
CLEAN HARBORS INC   COMMON STOCK 184496107    2167      34000  Shares                 X                 3      34000   0        0
CLIFFS NATURAL
  RESCOMMON         COMMON STOCK 18683K101    3704      59414  Shares                 X                 1      59414   0        0
CLIFFS NATURAL
  RESCOMMON         COMMON STOCK 18683K101     144       2315  Shares                          X        1       1290   0     1025
CLIFFS NATURAL
  RESCOMMON         COMMON STOCK 18683K101    2269      36392  Shares                 X                 3      34799   0     1593
CLOROX COMPANY      COMMON STOCK 189054109     563       8458  Shares                 X                 1       8458   0        0
CLOROX COMPANY      COMMON STOCK 189054109     385       5785  Shares                          X        1       3785   0     2000
CLOUGH GLOBAL
  OPPORTUNITIES     COMMON STOCK 18914E106     121      11413  Shares                 X                 1          0   0        0
COACH INCCOMMON     COMMON STOCK 189754104    1039      17016  Shares                 X                 1      15516   0     1500
COACH INCCOMMON     COMMON STOCK 189754104     289       4737  Shares                          X        1       4737   0        0
COACH INCCOMMON     COMMON STOCK 189754104    3943      64600  Shares                 X                 3      64600   0        0
COCA COLA BTLNG
  CONSCOMMON        COMMON STOCK 191098102      23        386  Shares                 X                 1        386   0        0
COCA COLA BTLNG
  CONSCOMMON        COMMON STOCK 191098102     536       9150  Shares                 X                 3       9150   0        0
COCA-COLA COCOMMON  COMMON STOCK 191216100   19685     281337  Shares                 X                 1     278222   0     3115
COCA-COLA COCOMMON  COMMON STOCK 191216100    7189     102751  Shares                          X        1      97958   0     4793
COCA-COLA COCOMMON  COMMON STOCK 191216100    5945      84954  Shares                 X                 3      81674   0     3280
COCA-COLA
  ENTERPRISES INC   COMMON STOCK 19122T109      26       1000  Shares                 X                 1       1000   0        0
CODORUS VALLEY
  BANCORP INC       COMMON STOCK 192025104     182      21953  Shares                 X                 1      21953   0        0
CODORUS VALLEY
  BANCORP INC       COMMON STOCK 192025104      78       9398  Shares                          X        1       9398   0        0


                                    9 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
COGENT COMM GROUP
  INCOMMON          COMMON STOCK 19239V302      45       2650  Shares                 X                 1       2650   0       0
COGENT COMM GROUP
  INCOMMON          COMMON STOCK 19239V302    1633      96700  Shares                 X                 3      96700   0       0
COGNIZANT TECH SOL
  CORP              COMMON STOCK 192446102    2696      41921  Shares                 X                 1      41199   0     722
COGNIZANT TECH SOL
  CORP              COMMON STOCK 192446102     427       6642  Shares                          X        1       6642   0       0
COHEN & STEERS
  REIT & PFD INC FD COMMON STOCK 19247X100      28       2000  Shares                 X                 1          0   0       0
COHEN & STEERS
  REIT & PFD INC FD COMMON STOCK 19247X100      23       1600  Shares                          X        1          0   0       0
COHEN & STEERS
  INFRASTRUCTURE FD COMMON STOCK 19248A109     182      11500  Shares                 X                 1          0   0       0
COHU INCORPORATED   COMMON STOCK 192576106      14       1200  Shares                 X                 1       1200   0       0
COINSTAR INCCOMMON  COMMON STOCK 19259P300      35        775  Shares                 X                 1        775   0       0
COINSTAR INCCOMMON  COMMON STOCK 19259P300    1278      28000  Shares                 X                 3      28000   0       0
COLFAX CORPORATION  COMMON STOCK 194014106      40       1400  Shares                 X                 1       1400   0       0
COLGATE PALMOLIVE
  CO COM            COMMON STOCK 194162103    5748      62212  Shares                 X                 1      62212   0       0
COLGATE PALMOLIVE
  CO COM            COMMON STOCK 194162103    4014      43445  Shares                          X        1      39395   0    4050
COLGATE PALMOLIVE
  CO COM            COMMON STOCK 194162103     508       5496  Shares                 X                 3       5496   0       0
COLLECTORS
  UNIVERSE INC      COMMON STOCK 19421R200       2        150  Shares                 X                 1        150   0       0
COMCAST CORP NEW A  COMMON STOCK 20030N101    2133      89975  Shares                 X                 1      89415   0     560
COMCAST CORP NEW A  COMMON STOCK 20030N101     753      31766  Shares                          X        1      27620   0    4146
COMCAST CORP NEW A  COMMON STOCK 20030N101     574      24205  Shares                 X                 3      24205   0       0
COMCAST CORP-
  SPECIAL CL A      COMMON STOCK 20030N200      45       1895  Shares                 X                 1       1895   0       0
COMCAST CORP-
  SPECIAL CL A      COMMON STOCK 20030N200      89       3784  Shares                          X        1       3784   0       0
COMMERCIAL NATL
  FINANCIAL CORP    COMMON STOCK 202217105      19        820  Shares                 X                 1        820   0       0
COMMERCIAL VEH
  GRPCOMMON         COMMON STOCK 202608105      35       3919  Shares                 X                 1       3919   0       0
COMMERCIAL VEH
  GRPCOMMON         COMMON STOCK 202608105    1279     141500  Shares                 X                 3     141500   0       0
COMMONWEALTH REIT   COMMON STOCK 203233101       7        400  Shares                          X        1          0   0       0
COMMUNITY BANK
  SYSTEM INC        COMMON STOCK 203607106      72       2600  Shares                 X                 1        100   0    2500
COMMUNITY HEALTH
  SYSTEMS INC       COMMON STOCK 203668108       4        217  Shares                 X                 1        217   0       0
COMPANHIA DE
  BEBIDAS DAS
  AMERICAS          COMMON STOCK 20441W203      43       1182  Shares                 X                 1          0   0       0
COMPUTER SCIENCES
  CORP COM          COMMON STOCK 205363104       4        172  Shares                 X                 1        172   0       0
COMPUTER TASK GROUP COMMON STOCK 205477102     827      58750  Shares                 X                 1      58750   0       0
COMVERSE
  TECHNOLOGY INC
  COM               COMMON STOCK 205862402       1        200  Shares                 X                 1        200   0       0
CONAGRA FOODS INC   COMMON STOCK 205887102      36       1346  Shares                          X        1       1346   0       0
CONAGRA FOODS INC   COMMON STOCK 205887102      18        680  Shares                 X                 3        680   0       0
CON-WAY INC         COMMON STOCK 205944101      15        500  Shares                 X                 1        500   0       0
CONCHO RESOURCES
  INC               COMMON STOCK 20605P101      36        386  Shares                 X                 1        386   0       0
CONOCOPHILLIPS      COMMON STOCK 20825C104   10112     138769  Shares                 X                 1     136964   0    1805
CONOCOPHILLIPS      COMMON STOCK 20825C104    4491      61630  Shares                          X        1      57310   0    4320
CONOCOPHILLIPS      COMMON STOCK 20825C104     264       3619  Shares                 X                 3       3619   0       0
CONSOL ENERGY INC   COMMON STOCK 20854P109     163       4450  Shares                 X                 1       4450   0       0
CONSOL ENERGY INC   COMMON STOCK 20854P109      31        850  Shares                          X        1          0   0     850
CONSOLIDATED
  EDISON INC        COMMON STOCK 209115104     223       3597  Shares                 X                 1       3597   0       0
CONSOLIDATED
  EDISON INC        COMMON STOCK 209115104      58        940  Shares                          X        1        640   0     300
CONSOLIDATED
  EDISON INC        COMMON STOCK 209115104       6        101  Shares                 X                 3        101   0       0
CONSTELLATION
  BRANDS INC CL A   COMMON STOCK 21036P108       6        270  Shares                          X        1        270   0       0
CONSTELLATION
  ENERGY GROUP INC
  COM               COMMON STOCK 210371100    1608      40532  Shares                 X                 1      40532   0       0
CONSTELLATION
  ENERGY GROUP INC
  COM               COMMON STOCK 210371100    1572      39633  Shares                          X        1      38633   0    1000
COOPER COMPANIES
  INCCOMMON         COMMON STOCK 216648402      32        450  Shares                 X                 1        450   0       0
COOPER COMPANIES
  INCCOMMON         COMMON STOCK 216648402    1128      16000  Shares                 X                 3      16000   0       0
CORN PRODS INTL
  INC COM           COMMON STOCK 219023108      41        785  Shares                          X        1        785   0       0
CORNING INC         COMMON STOCK 219350105     916      70589  Shares                 X                 1      70089   0     500
CORNING INC         COMMON STOCK 219350105     331      25529  Shares                          X        1      21129   0    4400
CORNING INC         COMMON STOCK 219350105      47       3601  Shares                 X                 3       3601   0       0
COSTCO WHSL
  CORPCOMMON        COMMON STOCK 22160K105    1144      13733  Shares                 X                 1      13733   0       0


                                   10 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
COSTCO WHSL
  CORPCOMMON        COMMON STOCK 22160K105     198       2376  Shares                          X        1       2376   0       0
COSTCO WHSL
  CORPCOMMON        COMMON STOCK 22160K105    1113      13361  Shares                 X                 3      13361   0       0
COSTCO WHSL
  CORPCOMMON        COMMON STOCK 22160K105     104       1250  Shares                          X        4       1250   0       0
COVANCE INC COM     COMMON STOCK 222816100      14        317  Shares                 X                 1        317   0       0
COVANCE INC COM     COMMON STOCK 222816100      46       1000  Shares                          X        1       1000   0       0
CRANE CO            COMMON STOCK 224399105     327       7000  Shares                 X                 1       7000   0       0
CREDIT SUISSE
  GROUP SPONSORED
  ADR               COMMON STOCK 225401108      17        728  Shares                 X                 1        728   0       0
CREDIT SUISSE
  GROUP SPONSORED
  ADR               COMMON STOCK 225401108      16        675  Shares                          X        1        675   0       0
CREE RESEARCH INC
  COM               COMMON STOCK 225447101      11        482  Shares                 X                 1        482   0       0
CREE RESEARCH INC
  COM               COMMON STOCK 225447101      17        750  Shares                          X        1          0   0     750
CROWN CASTLE INTL
  CORP COM          COMMON STOCK 228227104       4         82  Shares                 X                 1         82   0       0
CROWN HOLDINGS
  INCCOMMON         COMMON STOCK 228368106     340      10120  Shares                 X                 1      10120   0       0
CROWN HOLDINGS
  INCCOMMON         COMMON STOCK 228368106    3517     104740  Shares                 X                 3     104740   0       0
CUMMINS INCCOMMON   COMMON STOCK 231021106    4953      56276  Shares                 X                 1      56051   0     225
CUMMINS INCCOMMON   COMMON STOCK 231021106     241       2738  Shares                          X        1       1853   0     885
CUMMINS INCCOMMON   COMMON STOCK 231021106    5793      65817  Shares                 X                 3      63326   0    2491
CURTISS WRIGHT CORP COMMON STOCK 231561101      20        552  Shares                 X                 1        552   0       0
CUTERA INC          COMMON STOCK 232109108       3        400  Shares                 X                 1        400   0       0
CYTEC INDUSTRIES
  INC COM           COMMON STOCK 232820100       6        132  Shares                 X                 1        132   0       0
DNB FINANCIAL
  CORPORATION       COMMON STOCK 233237106      20       1878  Shares                 X                 1       1878   0       0
DNP SELECT INCOME
  FUND INC          COMMON STOCK 23325P104      11       1000  Shares                          X        1          0   0       0
D R HORTON
  INCCOMMON         COMMON STOCK 23331A109    1851     146749  Shares                 X                 1     146299   0     450
D R HORTON
  INCCOMMON         COMMON STOCK 23331A109     251      19871  Shares                          X        1      14586   0    5285
D R HORTON
  INCCOMMON         COMMON STOCK 23331A109    1948     154453  Shares                 X                 3     154453   0       0
DTE ENERGY CO       COMMON STOCK 233331107     155       2850  Shares                 X                 1       2850   0       0
DTE ENERGY CO       COMMON STOCK 233331107      55       1001  Shares                          X        1       1001   0       0
DSW INCCLASS A      COMMON STOCK 23334L102      23        525  Shares                 X                 1        525   0       0
DSW INCCLASS A      COMMON STOCK 23334L102     840      19000  Shares                 X                 3      19000   0       0
DWS MUNICIPAL
  INCOME TRUST      COMMON STOCK 23338M106      41       3000  Shares                 X                 1          0   0       0
DWS DREMAN VALUE
  INC FD            COMMON STOCK 23339M204       3        250  Shares                 X                 1          0   0       0
DANAHER CORPCOMMON  COMMON STOCK 235851102    2979      63324  Shares                 X                 1      63324   0       0
DANAHER CORPCOMMON  COMMON STOCK 235851102     214       4555  Shares                          X        1       3415   0    1140
DANAHER CORPCOMMON  COMMON STOCK 235851102    2237      47553  Shares                 X                 3      44676   0    2877
DARDEN RESTAURANTS
  INC COM           COMMON STOCK 237194105     665      14589  Shares                 X                 1      14589   0       0
DARDEN RESTAURANTS
  INC COM           COMMON STOCK 237194105     195       4275  Shares                          X        1       4275   0       0
DAVITA INC WITH
  ATTACHED RIGHTS   COMMON STOCK 23918K108      11        148  Shares                 X                 1        148   0       0
DAVITA INC WITH
  ATTACHED RIGHTS   COMMON STOCK 23918K108       8        100  Shares                          X        1          0   0     100
DEAN FOODS CO
  NEWCOMMON         COMMON STOCK 242370104      27       2450  Shares                 X                 1       2450   0       0
DEAN FOODS CO
  NEWCOMMON         COMMON STOCK 242370104     997      89000  Shares                 X                 3      89000   0       0
DEERE & CO          COMMON STOCK 244199105    2434      31472  Shares                 X                 1      30872   0     600
DEERE & CO          COMMON STOCK 244199105     542       7008  Shares                          X        1       5522   0    1486
DELL INC            COMMON STOCK 24702R101    1277      87294  Shares                 X                 1      86130   0    1164
DELL INC            COMMON STOCK 24702R101     152      10395  Shares                          X        1       8595   0    1800
DELTA AIR LINES INC COMMON STOCK 247361702       0         18  Shares                 X                 1         18   0       0
DENTSPLY
  INTERNATIONAL
  INC COM           COMMON STOCK 249030107     995      28449  Shares                 X                 1      28249   0     200
DENTSPLY
  INTERNATIONAL
  INC COM           COMMON STOCK 249030107     161       4600  Shares                          X        1       4600   0       0
DESCARTES SYS
  GROUPCOMMON       COMMON STOCK 249906108      26       3700  Shares                 X                 1       3700   0       0
DESCARTES SYS
  GROUPCOMMON       COMMON STOCK 249906108     753     105200  Shares                 X                 3     105200   0       0
DESARROLLADORA
  HOMEX ADR         COMMON STOCK 25030W100       1         74  Shares                 X                 1         74   0       0
DEVON ENERGY CORP   COMMON STOCK 25179M103     116       1879  Shares                 X                 1       1879   0       0
DEVON ENERGY CORP   COMMON STOCK 25179M103     114       1836  Shares                          X        1       1836   0       0
DEXCOM INCCOMMON    COMMON STOCK 252131107      35       3725  Shares                 X                 1       3725   0       0


                                   11 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
DEXCOM INCCOMMON    COMMON STOCK 252131107    1248     134000  Shares                 X                 3     134000   0       0
DIAGEO PLC
  SPONSORED ADR     COMMON STOCK 25243Q205     290       3313  Shares                 X                 1       3313   0       0
DIAGEO PLC
  SPONSORED ADR     COMMON STOCK 25243Q205      55        625  Shares                          X        1        625   0       0
DIAGEO PLC
  SPONSORED ADR     COMMON STOCK 25243Q205      44        500  Shares                 X                 3        500   0       0
DIAMOND OFFSHORE
  DRILLING COM      COMMON STOCK 25271C102      35        635  Shares                 X                 1        635   0       0
DIEBOLD INC         COMMON STOCK 253651103       3         90  Shares                 X                 1         90   0       0
DIGIMARC CORP       COMMON STOCK 25381B101      19        800  Shares                 X                 1        800   0       0
DINE EQUITY
  INCCOMMON         COMMON STOCK 254423106     263       6242  Shares                 X                 1       6242   0       0
DINE EQUITY
  INCCOMMON         COMMON STOCK 254423106    3017      71490  Shares                 X                 3      71490   0       0
WALT DISNEY
  COCOMMON          COMMON STOCK 254687106    6358     169543  Shares                 X                 1     169243   0     300
WALT DISNEY
  COCOMMON          COMMON STOCK 254687106    1864      49697  Shares                          X        1      44447   0    5250
WALT DISNEY
  COCOMMON          COMMON STOCK 254687106    2339      62365  Shares                 X                 3      59573   0    2792
DISCOVER FINANCIAL
  SERVICES          COMMON STOCK 254709108       8        321  Shares                          X        1        165   0     156
DISCOVERY
  COMMUNICATIONS
  INC               COMMON STOCK 25470F104      10        234  Shares                 X                 1        234   0       0
DISCOVERY
  COMMUNICATIONS
  INC               COMMON STOCK 25470F104      29        696  Shares                          X        1        696   0       0
DISCOVERY
  COMMUNICATIONS
  INC - C           COMMON STOCK 25470F302       9        234  Shares                 X                 1        234   0       0
DISCOVERY
  COMMUNICATIONS
  INC - C           COMMON STOCK 25470F302      47       1239  Shares                          X        1       1239   0       0
THE DIRECTV GROUP
  HLDGS CL A        COMMON STOCK 25490A101     179       4186  Shares                 X                 1       4186   0       0
THE DIRECTV GROUP
  HLDGS CL A        COMMON STOCK 25490A101     259       6046  Shares                          X        1       6046   0       0
DOLBY LABORATORIES
  INC CL A          COMMON STOCK 25659T107      23        750  Shares                 X                 1        750   0       0
DOLLAR TREE INC     COMMON STOCK 256746108    1442      17346  Shares                 X                 1      17040   0     306
DOLLAR TREE INC     COMMON STOCK 256746108      56        672  Shares                          X        1        672   0       0
DOMINION RESOURCES
  INC               COMMON STOCK 25746U109    4728      89075  Shares                 X                 1      88225   0     850
DOMINION RESOURCES
  INC               COMMON STOCK 25746U109    3115      58694  Shares                          X        1      49594   0    9100
DOMINION RESOURCES
  INC               COMMON STOCK 25746U109      22        420  Shares                 X                 3        420   0       0
DOMINION RESOURCES
  INC               COMMON STOCK 25746U109     106       2000  Shares                          X        4       2000   0       0
DOMINO'S PIZZA INC  COMMON STOCK 25754A201      10        300  Shares                 X                 1        300   0       0
DONALDSON INC COM   COMMON STOCK 257651109      20        300  Shares                 X                 1        300   0       0
DONALDSON INC COM   COMMON STOCK 257651109      20        300  Shares                          X        1        300   0       0
DOVER CORP          COMMON STOCK 260003108     637      10971  Shares                 X                 1      10971   0       0
DOVER CORP          COMMON STOCK 260003108      37        644  Shares                          X        1        644   0       0
DOW CHEMICAL
  COMPANYCOMMON     COMMON STOCK 260543103    3434     119415  Shares                 X                 1     119415   0       0
DOW CHEMICAL
  COMPANYCOMMON     COMMON STOCK 260543103    1430      49716  Shares                          X        1      49716   0       0
DOW CHEMICAL
  COMPANYCOMMON     COMMON STOCK 260543103    1219      42370  Shares                 X                 3      42370   0       0
DREYFUS MUNICIPAL
  INCOME FUND       COMMON STOCK 26201R102      71       7200  Shares                          X        1          0   0       0
DREYFUS STRATEGIC
  MUN BD FD         COMMON STOCK 26202F107     240      27602  Shares                 X                 1          0   0       0
DREYFUS STRATEGIC
  MUN BD FD         COMMON STOCK 26202F107      61       7000  Shares                          X        1          0   0       0
DUPONT EI DE
  NEMOURS & CO COM  COMMON STOCK 263534109    8839     193071  Shares                 X                 1     192556   0     515
DUPONT EI DE
  NEMOURS & CO COM  COMMON STOCK 263534109    5782     126305  Shares                          X        1     119780   0    6525
DUPONT EI DE
  NEMOURS & CO COM  COMMON STOCK 263534109    4525      98843  Shares                 X                 3      94481   0    4362
DUKE REALTY CORP    COMMON STOCK 264411505       1        100  Shares                 X                 1          0   0       0
DUKE ENERGY CORP    COMMON STOCK 26441C105    3133     142426  Shares                 X                 1     140968   0    1458
DUKE ENERGY CORP    COMMON STOCK 26441C105     730      33168  Shares                          X        1      30008   0    3160
DUKE ENERGY CORP    COMMON STOCK 26441C105      74       3364  Shares                 X                 3       3364   0       0
DUN & BRADSTREET
  CORP              COMMON STOCK 26483E100      20        266  Shares                 X                 1        266   0       0
DUN & BRADSTREET
  CORP              COMMON STOCK 26483E100      32        433  Shares                          X        1        433   0       0
E-COMMERCE CHINA
  DANGDANG INC      COMMON STOCK 26833A105      42       9657  Shares                 X                 1       9657   0       0
E-COMMERCE CHINA
  DANGDANG INC      COMMON STOCK 26833A105       2        521  Shares                 X                 3        521   0       0
EMC CORP MASSCOMMON COMMON STOCK 268648102    9648     447897  Shares                 X                 1     444323   0    3574
EMC CORP MASSCOMMON COMMON STOCK 268648102    1122      52094  Shares                          X        1      51644   0     450
EMC CORP MASSCOMMON COMMON STOCK 268648102    1606      74551  Shares                 X                 3      66891   0    7660
ENI SPA-SPONS ADR   COMMON STOCK 26874R108      16        380  Shares                          X        1        380   0       0


                                   12 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
EOG RESOURCES INC
  COM               COMMON STOCK 26875P101     740       7516  Shares                 X                 1       7516   0        0
EOG RESOURCES INC
  COM               COMMON STOCK 26875P101     131       1331  Shares                          X        1       1331   0        0
EQT CORPORATION     COMMON STOCK 26884L109      54        990  Shares                 X                 1        990   0        0
EQT CORPORATION     COMMON STOCK 26884L109      87       1580  Shares                          X        1       1580   0        0
EV ENERGY
  PARTNERSLP UNITS  COMMON STOCK 26926V107      57        868  Shares                 X                 1        868   0        0
EV ENERGY
  PARTNERSLP UNITS  COMMON STOCK 26926V107    2082      31600  Shares                 X                 3      31600   0        0
EASTERN INSURANCE
  HOLDINGS          COMMON STOCK 276534104       7        500  Shares                 X                 1        500   0        0
EASTMAN CHEMICAL
  COMPANY COM       COMMON STOCK 277432100      39       1000  Shares                          X        1          0   0     1000
EASTMAN CHEMICAL
  COMPANY COM       COMMON STOCK 277432100       1         15  Shares                 X                 3         15   0        0
EASTMAN KODAK CO
  COM               COMMON STOCK 277461109       0        433  Shares                 X                 3        433   0        0
EATON CORP COM      COMMON STOCK 278058102     406       9336  Shares                 X                 1       9336   0        0
EATON CORP COM      COMMON STOCK 278058102      26        600  Shares                          X        1        600   0        0
EATON VANCE CORP    COMMON STOCK 278265103    1599      67629  Shares                 X                 1      66477   0     1152
EATON VANCE CORP    COMMON STOCK 278265103      67       2848  Shares                          X        1       2848   0        0
EATON VANCE CORP    COMMON STOCK 278265103      20        854  Shares                 X                 3        854   0        0
EATON VANCE
  MUNICIPAL INCOME
  TRUST             COMMON STOCK 27826U108      64       5000  Shares                          X        1          0   0        0
EATON VANCE
  FLOATING- RATE
  INC TR            COMMON STOCK 278279104       6        450  Shares                 X                 1          0   0        0
EATON VANCE
  MUNICIPAL BOND
  FD II             COMMON STOCK 27827K109      33       2400  Shares                 X                 1          0   0        0
EATON VANCE NY
  MUNI BD FD        COMMON STOCK 27827Y109      21       1500  Shares                          X        1          0   0        0
EATON VANCE
  TAX-MANAGED DIV
  EQ                COMMON STOCK 27828N102       8        950  Shares                 X                 1          0   0        0
EATON VANCE SR
  FLOATING RATE FD  COMMON STOCK 27828Q105     521      36200  Shares                 X                 1          0   0        0
EATON VANCE SR
  FLOATING RATE FD  COMMON STOCK 27828Q105      55       3802  Shares                          X        1          0   0        0
EATON VANCE TAX
  MAN GLBL BR       COMMON STOCK 27829C105      10       1000  Shares                 X                 1          0   0        0
EATON VANCE
  TAX-MANAGED
  GLOBAL            COMMON STOCK 27829F108      18       2150  Shares                 X                 1          0   0        0
EBAY INC COM        COMMON STOCK 278642103     207       6826  Shares                 X                 1       6826   0        0
EBAY INC COM        COMMON STOCK 278642103       8        275  Shares                          X        1        275   0        0
ECOLAB INC COM      COMMON STOCK 278865100    1072      18536  Shares                 X                 1      18536   0        0
ECOLAB INC COM      COMMON STOCK 278865100     116       2000  Shares                          X        1       2000   0        0
EDISON
  INTERNATIONAL COM COMMON STOCK 281020107      41        992  Shares                 X                 1        992   0        0
EDISON
  INTERNATIONAL COM COMMON STOCK 281020107      60       1450  Shares                          X        1       1450   0        0
EDUCATION RLTY
  TRCOMMON          COMMON STOCK 28140H104      32       3125  Shares                 X                 1          0   0        0
EDUCATION RLTY
  TRCOMMON          COMMON STOCK 28140H104    1163     113700  Shares                 X                 3     113700   0        0
EDWARDS
  LIFESCIENCES
  CORP COM          COMMON STOCK 28176E108      78       1100  Shares                 X                 1       1100   0        0
EL PASO CORP COM    COMMON STOCK 28336L109      28       1045  Shares                 X                 1       1045   0        0
ELDORADO GOLD
  CORPORATION       COMMON STOCK 284902103      10        750  Shares                 X                 1        750   0        0
ELECTRONICS ARTS
  COM               COMMON STOCK 285512109      43       2065  Shares                 X                 1       2065   0        0
ELECTRONICS ARTS
  COM               COMMON STOCK 285512109      29       1425  Shares                          X        1        225   0     1200
EMERSON ELECTRIC CO COMMON STOCK 291011104    4899     105151  Shares                 X                 1     104351   0      800
EMERSON ELECTRIC CO COMMON STOCK 291011104    4230      90782  Shares                          X        1      78782   0    12000
EMERSON ELECTRIC CO COMMON STOCK 291011104     325       6969  Shares                 X                 3       6969   0        0
ENCANA CORP         COMMON STOCK 292505104      11        600  Shares                 X                 1        600   0        0
ENCANA CORP         COMMON STOCK 292505104      28       1500  Shares                          X        1       1500   0        0
ENCORE CAP GROUP
  INCCOMMON         COMMON STOCK 292554102      45       2125  Shares                 X                 1       2125   0        0
ENCORE CAP GROUP
  INCCOMMON         COMMON STOCK 292554102    1626      76500  Shares                 X                 3      76500   0        0
ENERGY TRANSFER
  PARTNERS LP       COMMON STOCK 29273R109      23        500  Shares                          X        1        500   0        0
ENERPLUS CORP       COMMON STOCK 292766102      50       1955  Shares                          X        1       1955   0        0
ENSCO PLC           COMMON STOCK 29358Q109      14        305  Shares                 X                 1        305   0        0
ENSCO PLC           COMMON STOCK 29358Q109      52       1100  Shares                          X        1        300   0      800
ENTERGY CORP COM
  NEW               COMMON STOCK 29364G103     150       2059  Shares                 X                 1       2059   0        0
ENTERGY CORP COM
  NEW               COMMON STOCK 29364G103     114       1560  Shares                          X        1       1560   0        0
ENTERPRISE
  PRODUCTS
  PARTNERS LP       COMMON STOCK 293792107     235       5062  Shares                 X                 1       5062   0        0
ENTERPRISE
  PRODUCTS
  PARTNERS LP       COMMON STOCK 293792107      19        404  Shares                          X        1        404   0        0


                                   13 of 41



                                    SEC USE



                       COLUMN 2 COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                      SHARES                  INVESTMENT AUTHORITY
                                                        OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                       TITLE OF             VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER          CLASS    CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------         -------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
EQUIFAX INC COM        COMMON
                       STOCK    294429105      46       1200  Shares                          X        1       1200   0        0
EQUINIX INC            COMMON
                       STOCK    29444U502       2         17  Shares                 X                 1         17   0        0
EQUITY ONE             COMMON
  INCORPORATED         STOCK    294752100       7        400  Shares                 X                 1          0   0        0
EQUITY RESIDENTIAL     COMMON
  (REIT)               STOCK    29476L107       3         50  Shares                 X                 1          0   0        0
EQUITY RESIDENTIAL     COMMON
  (REIT)               STOCK    29476L107     236       4146  Shares                          X        1          0   0        0
TELEFONAKTIEBOLAGET    COMMON
  LM ERICSSON ADR      STOCK    294821608      31       3068  Shares                 X                 1       3068   0        0
TELEFONAKTIEBOLAGET    COMMON
  LM ERICSSON ADR      STOCK    294821608      21       2115  Shares                          X        1       2115   0        0
ERIE INDEMNITY CO CL A COMMON
                       STOCK    29530P102     204       2606  Shares                 X                 1       2606   0        0
DELHAIZE GROUP         COMMON
  SPONSORED ADR        STOCK    29759W101       6        100  Shares                 X                 1        100   0        0
EVANS BANCORP INC      COMMON
                       STOCK    29911Q208       0          1  Shares                 X                 3          1   0        0
EVERCORE               COMMON
  PARTNERSCLASS A      STOCK    29977A105      27       1025  Shares                 X                 1       1025   0        0
EVERCORE               COMMON
  PARTNERSCLASS A      STOCK    29977A105     998      37500  Shares                 X                 3      37500   0        0
EXELON CORP            COMMON
                       STOCK    30161N101    2094      48290  Shares                 X                 1      48290   0        0
EXELON CORP            COMMON
                       STOCK    30161N101    1045      24086  Shares                          X        1      23236   0      850
EXELIS INC             COMMON
                       STOCK    30162A108       5        500  Shares                 X                 1        500   0        0
EXELIS INC             COMMON
                       STOCK    30162A108      24       2620  Shares                          X        1       2620   0        0
EXPEDITORS INTL        COMMON
  WASHCOMMON           STOCK    302130109    1684      41119  Shares                 X                 1      40595   0      524
EXPEDITORS INTL        COMMON
  WASHCOMMON           STOCK    302130109     106       2578  Shares                          X        1       2378   0      200
EXPEDITORS INTL        COMMON
  WASHCOMMON           STOCK    302130109    2542      62060  Shares                 X                 3      62060   0        0
EXPRESS SCRIPTS        COMMON
  INCCOMMON            STOCK    302182100   11021     246613  Shares                 X                 1     244543   0     2070
EXPRESS SCRIPTS        COMMON
  INCCOMMON            STOCK    302182100    3066      68612  Shares                          X        1      65207   0     3405
EXPRESS SCRIPTS        COMMON
  INCCOMMON            STOCK    302182100    5415     121146  Shares                 X                 3     118373   0     2773
EXPRESS INCCOMMON      COMMON
                       STOCK    30219E103      31       1550  Shares                 X                 1       1550   0        0
EXPRESS INCCOMMON      COMMON
                       STOCK    30219E103    1127      56500  Shares                 X                 3      56500   0        0
EXXON MOBIL CORPCOMMON COMMON
                       STOCK    30231G102   60542     714279  Shares                 X                 1     707110   0     7169
EXXON MOBIL CORPCOMMON COMMON
                       STOCK    30231G102   53702     633582  Shares                          X        1     558198   0    75384
EXXON MOBIL CORPCOMMON COMMON
                       STOCK    30231G102    8618     101674  Shares                 X                 3      97608   0     4066
EXXON MOBIL CORPCOMMON COMMON
                       STOCK    30231G102     259       3050  Shares                          X        4       3050   0        0
FLIR SYS INCCOMMON     COMMON
                       STOCK    302445101     264      10521  Shares                 X                 1      10521   0        0
FLIR SYS INCCOMMON     COMMON
                       STOCK    302445101      12        485  Shares                          X        1        485   0        0
FLIR SYS INCCOMMON     COMMON
                       STOCK    302445101    3024     120600  Shares                 X                 3     120600   0        0
FMC TECHNOLOGIES       COMMON
  INCCOMMON            STOCK    30249U101     349       6688  Shares                 X                 1       6688   0        0
FMC TECHNOLOGIES       COMMON
  INCCOMMON            STOCK    30249U101    2529      48420  Shares                 X                 3      48420   0        0
FNB CORP PA            COMMON
                       STOCK    302520101      73       6463  Shares                 X                 1       6463   0        0
FNB CORP PA            COMMON
                       STOCK    302520101      55       4907  Shares                          X        1          0   0     4907
FACTSET RESEARCH       COMMON
  SYSTEMS INC          STOCK    303075105      44        500  Shares                          X        1        500   0        0
FAMILY DOLLAR STORES   COMMON
                       STOCK    307000109      71       1240  Shares                 X                 1       1240   0        0
FAMILY DOLLAR STORES   COMMON
                       STOCK    307000109       4         75  Shares                          X        1         75   0        0
FASTENAL COCOMMON      COMMON
                       STOCK    311900104     326       7484  Shares                 X                 1       7484   0        0
FASTENAL COCOMMON      COMMON
                       STOCK    311900104      87       2000  Shares                          X        1       2000   0        0
FASTENAL COCOMMON      COMMON
                       STOCK    311900104    3330      76370  Shares                 X                 3      76370   0        0
FEDERAL REALTY INV TR  COMMON
  (REIT)               STOCK    313747206      91       1000  Shares                          X        1          0   0        0
FEDEX CORP COM         COMMON
                       STOCK    31428X106    1801      21562  Shares                 X                 1      20656   0      906
FEDEX CORP COM         COMMON
                       STOCK    31428X106     198       2367  Shares                          X        1       2367   0        0
FEDEX CORP COM         COMMON
                       STOCK    31428X106      13        158  Shares                 X                 3        158   0        0
F5 NETWORKS INCCOMMON  COMMON
                       STOCK    315616102     681       6415  Shares                 X                 1       6415   0        0
F5 NETWORKS INCCOMMON  COMMON
                       STOCK    315616102     167       1575  Shares                          X        1       1575   0        0
F5 NETWORKS INCCOMMON  COMMON
                       STOCK    315616102    2669      25160  Shares                 X                 3      25160   0        0
FIDELITY NATL          COMMON
  INFORMATION SERVICES STOCK    31620M106      43       1620  Shares                 X                 1       1620   0        0
FIFTH THIRD BANCORP    COMMON
  COM                  STOCK    316773100     144      11332  Shares                 X                 1      11332   0        0
FINANCIAL
  INSTITUTIONS         COMMON
  INCORPORATED         STOCK    317585404       0          1  Shares                 X                 3          1   0        0
FINISAR CORPCOMMON     COMMON
                       STOCK    31787A507     723      43152  Shares                 X                 1      43152   0        0


                                   14 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
FINISAR CORPCOMMON  COMMON STOCK 31787A507    2190     130801  Shares                 X                 3     130801     0      0
FINISH LINE
  INCCLASS A        COMMON STOCK 317923100      22       1125  Shares                 X                 1       1125     0      0
FINISH LINE
  INCCLASS A        COMMON STOCK 317923100     781      40500  Shares                 X                 3      40500     0      0
FIRST CASH FINL
  SVCSCOMMON        COMMON STOCK 31942D107      39       1125  Shares                 X                 1       1125     0      0
FIRST CASH FINL
  SVCSCOMMON        COMMON STOCK 31942D107    1439      41000  Shares                 X                 3      41000     0      0
FIRST NIAGARA
  FINANCIAL GROUP   COMMON STOCK 33582V108      33       3792  Shares                 X                 1       3792     0      0
FIRST NIAGARA
  FINANCIAL GROUP   COMMON STOCK 33582V108       2        225  Shares                          X        1        225     0      0
FIRST NIAGARA
  FINANCIAL GROUP   COMMON STOCK 33582V108     464      53803  Shares                 X                 3      53803     0      0
FIRST SOLAR INC     COMMON STOCK 336433107      90       2675  Shares                 X                 1       2675     0      0
FIRST SOLAR INC     COMMON STOCK 336433107       2         50  Shares                          X        1         50     0      0
FIRST TRUST
  ENHANCED EQUITY
  INCOME            COMMON STOCK 337318109      24       2200  Shares                          X        1          0     0      0
FIRST TRUST ISE--
  REVERE NATURAL
  GAS               COMMON STOCK 33734J102     111       6100  Shares                 X                 1          0     0      0
FIRST UNITED CORP
  COM               COMMON STOCK 33741H107       8       2416  Shares                 X                 3       2416     0      0
FISERV INC          COMMON STOCK 337738108      15        250  Shares                          X        1         50     0    200
FIRSTENERGY CORP    COMMON STOCK 337932107     174       3935  Shares                 X                 1       3935     0      0
FIRSTENERGY CORP    COMMON STOCK 337932107     159       3599  Shares                          X        1       3399     0    200
FLEXIBLE SOLUTIONS
  INTERNATIONAL     COMMON STOCK 33938T104       1        250  Shares                 X                 1        250     0      0
FLUOR CORP          COMMON STOCK 343412102      24        481  Shares                 X                 1        481     0      0
FLUOR CORP          COMMON STOCK 343412102     151       3000  Shares                          X        1       3000     0      0
FLOWERS FOODS INC
  COM               COMMON STOCK 343498101      14        750  Shares                 X                 1        750     0      0
FLOWSERVE CORP COM  COMMON STOCK 34354P105       4         40  Shares                 X                 1         40     0      0
FOMENTO ECONOMICO
  MEXICANA ADR      COMMON STOCK 344419106       2         28  Shares                 X                 1         28     0      0
FOOT LOCKER
  INCCOMMON         COMMON STOCK 344849104      38       1602  Shares                 X                 1       1602     0      0
FOOT LOCKER
  INCCOMMON         COMMON STOCK 344849104     954      40000  Shares                 X                 3      40000     0      0
FORD MOTOR COCOMMON COMMON STOCK 345370860    4273     397090  Shares                 X                 1     395490     0   1600
FORD MOTOR COCOMMON COMMON STOCK 345370860     264      24535  Shares                          X        1      16940     0   7595
FORD MOTOR COCOMMON COMMON STOCK 345370860    2873     266970  Shares                 X                 3     249513     0  17457
FORD MOTOR COCOMMON COMMON STOCK 345370860      48       4500  Shares                          X        4       4500     0      0
FOREST LABS INC COM COMMON STOCK 345838106      79       2595  Shares                 X                 1       2595     0      0
FOREST LABS INC COM COMMON STOCK 345838106      52       1710  Shares                          X        1       1710     0      0
FORESTAR GROUP INC  COMMON STOCK 346233109       1         42  Shares                 X                 1         42     0      0
FORTUNE HOME
  BRANDS HOME &
  SEC INC           COMMON STOCK 34964C106     167       9814  Shares                 X                 1       9814     0      0
FORTUNE HOME
  BRANDS HOME &
  SEC INC           COMMON STOCK 34964C106      58       3402  Shares                          X        1       3295     0    107
FOSSIL INC          COMMON STOCK 349882100      10        124  Shares                 X                 1        124     0      0
FRANCE TELECOM
  SA-SPONS ADR      COMMON STOCK 35177Q105      11        720  Shares                 X                 1        720     0      0
FRANKLIN RESOURCES
  INC               COMMON STOCK 354613101      35        360  Shares                 X                 1        360     0      0
FREEPORT- MCMORAN
  C&GCOMMON         COMMON STOCK 35671D857    4759     129353  Shares                 X                 1     128198     0   1155
FREEPORT- MCMORAN
  C&GCOMMON         COMMON STOCK 35671D857     533      14490  Shares                          X        1      10515     0   3975
FREEPORT- MCMORAN
  C&GCOMMON         COMMON STOCK 35671D857    2911      79106  Shares                 X                 3      75891     0   3215
FREEPORT- MCMORAN
  C&GCOMMON         COMMON STOCK 35671D857      31        850  Shares                          X        4        850     0      0
FRESENIUS MEDICAL
  CARE AG-ADR       COMMON STOCK 358029106      33        479  Shares                          X        1        479     0      0
FRESH
  MARKET(THE)COM
  USD0.01           COMMON STOCK 35804H106      27        675  Shares                 X                 1        675     0      0
FRESH
  MARKET(THE)COM
  USD0.01           COMMON STOCK 35804H106     798      20000  Shares                 X                 3      20000     0      0
FRONTIER
  COMMUNICATIONS
  CORP              COMMON STOCK 35906A108     132      25574  Shares                 X                 1      23496     0   2078
FRONTIER
  COMMUNICATIONS
  CORP              COMMON STOCK 35906A108      59      11499  Shares                          X        1      10767     0    732
FULL HOUSE RESORTS
  INC               COMMON STOCK 359678109       1        500  Shares                 X                 1        500     0      0
FULTON FINANCIAL
  CORP              COMMON STOCK 360271100    1074     109443  Shares                 X                 1     109443     0      0
FULTON FINANCIAL
  CORP              COMMON STOCK 360271100     292      29743  Shares                          X        1      27601  1800    342
FULTON FINANCIAL
  CORP              COMMON STOCK 360271100    3947     402361  Shares                 X                 3     402361     0      0
FULTON FINANCIAL
  CORP              COMMON STOCK 360271100    3844     392282  Shares          X                              392282     0      0
GATX CORPCOMMON     COMMON STOCK 361448103      50       1150  Shares                 X                 1       1150     0      0
GATX CORPCOMMON     COMMON STOCK 361448103    1834      42000  Shares                 X                 3      42000     0      0


                                   15 of 41



                                    SEC USE



                    COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7       COLUMN 8
                                                     SHARES                  INVESTMENT AUTHORITY
                                                       OR     SHARES   PUT  ----------------------            VOTING AUTHORITY
                    TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   --------------------
NAME OF ISSUER       CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------    ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ -----
                                                                                    
GABELLI GLOBAL
  UTIL & INCOME   COMMON STOCK 36242L105      10        460  Shares                 X                 1           0   0        0
GALLAGHER ARTHUR
  J. & CO         COMMON STOCK 363576109      33       1000  Shares                 X                 1        1000   0        0
GAMESTOP CORP
  HLDGCLASS A     COMMON STOCK 36467W109     263      10911  Shares                 X                 1       10911   0        0
GAMESTOP CORP
  HLDGCLASS A     COMMON STOCK 36467W109    3019     125120  Shares                 X                 3      125120   0        0
GANNETT CO INC    COMMON STOCK 364730101      27       2000  Shares                          X        1        2000   0        0
GAP INC COM       COMMON STOCK 364760108      38       2069  Shares                 X                 1        2069   0        0
GAP INC COM       COMMON STOCK 364760108      46       2500  Shares                          X        1        2500   0        0
GENERAL DYNAMICS
  CORP COM        COMMON STOCK 369550108    1757      26456  Shares                 X                 1       26456   0        0
GENERAL DYNAMICS
  CORP COM        COMMON STOCK 369550108     621       9355  Shares                          X        1        9355   0        0
GENERAL DYNAMICS
  CORP COM        COMMON STOCK 369550108       0          1  Shares                 X                 3           1   0        0
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103   22751    1270307  Shares                 X                 1     1254132   0    16175
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103   22266    1243217  Shares                          X        1     1198099   0    45118
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103    2055     114739  Shares                 X                 3      105964   0     8775
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103      36       2000  Shares                          X        4        2000   0        0
GENERAL MILLS INC COMMON STOCK 370334104    3631      89857  Shares                 X                 1       89857   0        0
GENERAL MILLS INC COMMON STOCK 370334104    1687      41758  Shares                          X        1       40858   0      900
GENERAL MILLS INC COMMON STOCK 370334104      40       1000  Shares                 X                 3        1000   0        0
GENERAL MOTORS CO COMMON STOCK 37045V100       9        425  Shares                 X                 1         425   0        0
GENERAL MOTORS CO COMMON STOCK 37045V100       8        406  Shares                          X        1         406   0        0
GM CO WARRANTS
  7/10/16         COMMON STOCK 37045V118       5        387  Shares                 X                 1         387   0        0
GM CO WARRANTS
  7/10/16         COMMON STOCK 37045V118       4        370  Shares                          X        1         370   0        0
GM CO WARRANTS
  7/10/19         COMMON STOCK 37045V126       3        387  Shares                 X                 1         387   0        0
GM CO WARRANTS
  7/10/19         COMMON STOCK 37045V126       3        370  Shares                          X        1         370   0        0
GENERAL MOTORS CO COMMON STOCK 37045V209       6        168  Shares                 X                 1           0   0        0
GENESCO INCCOMMON COMMON STOCK 371532102      23        375  Shares                 X                 1         375   0        0
GENESCO INCCOMMON COMMON STOCK 371532102     864      14000  Shares                 X                 3       14000   0        0
GENUINE PARTS INC COMMON STOCK 372460105     102       1662  Shares                 X                 1        1662   0        0
GENUINE PARTS INC COMMON STOCK 372460105      77       1250  Shares                          X        1        1250   0        0
GILEAD SCIENCES
  INC COM         COMMON STOCK 375558103    1574      38463  Shares                 X                 1       38463   0        0
GILEAD SCIENCES
  INC COM         COMMON STOCK 375558103     494      12061  Shares                          X        1       11272   0      789
GLATFELTER        COMMON STOCK 377316104     229      16225  Shares                 X                 1       16225   0        0
GLAXOSMITHKLINE
  PLC ADR         COMMON STOCK 37733W105     755      16545  Shares                 X                 1       16545   0        0
GLAXOSMITHKLINE
  PLC ADR         COMMON STOCK 37733W105    1161      25435  Shares                          X        1       18935   0     6500
GLAXOSMITHKLINE
  PLC ADR         COMMON STOCK 37733W105      18        401  Shares                 X                 3         401   0        0
GLOBAL PAYMENTS
  INCCOMMON       COMMON STOCK 37940X102     303       6390  Shares                 X                 1        6390   0        0
GLOBAL PAYMENTS
  INCCOMMON       COMMON STOCK 37940X102    4397      92815  Shares                 X                 3       92815   0        0
GOLDCORP INC      COMMON STOCK 380956409       2         50  Shares                 X                 1          50   0        0
GOLDMAN SACHS
  GROUPCOMMON     COMMON STOCK 38141G104    4537      50172  Shares                 X                 1       49272   0      900
GOLDMAN SACHS
  GROUPCOMMON     COMMON STOCK 38141G104     369       4077  Shares                          X        1        3563   0      514
GOLDMAN SACHS
  GROUPCOMMON     COMMON STOCK 38141G104    1442      15940  Shares                 X                 3       14699   0     1241
GOODRICH CORP     COMMON STOCK 382388106      15        119  Shares                 X                 1         119   0        0
GOOGLE INCCLASS A COMMON STOCK 38259P508    9373      14511  Shares                 X                 1       14439   0       72
GOOGLE INCCLASS A COMMON STOCK 38259P508     849       1314  Shares                          X        1        1026   0      288
GOOGLE INCCLASS A COMMON STOCK 38259P508    2614       4046  Shares                 X                 3        3903   0      143
GORDMANS
  STORESCOMMON    COMMON STOCK 38269P100      22       1740  Shares                 X                 1        1740   0        0
GORDMANS
  STORESCOMMON    COMMON STOCK 38269P100     801      63755  Shares                 X                 3       63755   0        0
GOVERNMENT
  PROPERTIES
  INCOME TRUST    COMMON STOCK 38376A103      23       1000  Shares                 X                 1           0   0        0
GOVERNMENT
  PROPERTIES
  INCOME TRUST    COMMON STOCK 38376A103      61       2700  Shares                          X        1           0   0        0
GRACE W R & CO
  DELCOMMON       COMMON STOCK 38388F108     198       4310  Shares                 X                 1        4310   0        0
GRACE W R & CO
  DELCOMMON       COMMON STOCK 38388F108    2230      48570  Shares                 X                 3       48570   0        0
GRACO INCCOMMON   COMMON STOCK 384109104     249       6097  Shares                 X                 1        6097   0        0
GRACO INCCOMMON   COMMON STOCK 384109104       2         50  Shares                          X        1          50   0        0


                                   16 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
GRACO INCCOMMON     COMMON STOCK 384109104    2738      66960  Shares                 X                 3      66960   0       0
W W GRAINGER INC
  COM               COMMON STOCK 384802104     899       4800  Shares                 X                 1       4800   0       0
W W GRAINGER INC
  COM               COMMON STOCK 384802104     468       2500  Shares                          X        1       2500   0       0
GREAT PANTHER
  SILVER LTD        COMMON STOCK 39115V101      39      20000  Shares                 X                 1      20000   0       0
GREAT PLAINS
  ENERGY INC        COMMON STOCK 391164100      17        770  Shares                 X                 1        770   0       0
GREATBATCH INC      COMMON STOCK 39153L106      35       1564  Shares                 X                 3       1564   0       0
GREATER CHINA FUND
  INC               COMMON STOCK 39167B102       3        300  Shares                 X                 1          0   0       0
GREEN DOT CORPCOM
  CL A USD0.001     COMMON STOCK 39304D102     160       5137  Shares                 X                 1       5137   0       0
GREEN DOT CORPCOM
  CL A USD0.001     COMMON STOCK 39304D102    1832      58660  Shares                 X                 3      58660   0       0
GREEN MOUNTAIN
  COFFEE ROASTERS
  INC               COMMON STOCK 393122106      34        756  Shares                 X                 1        756   0       0
GREENBRIER COS
  INCCOMMON         COMMON STOCK 393657101      39       1600  Shares                 X                 1       1600   0       0
GREENBRIER COS
  INCCOMMON         COMMON STOCK 393657101    1396      57500  Shares                 X                 3      57500   0       0
GRUPO TELEVISA SA
  SPONS ADR         COMMON STOCK 40049J206       1         34  Shares                 X                 1         34   0       0
GRUPO TELEVISA SA
  SPONS ADR         COMMON STOCK 40049J206       6        297  Shares                          X        1        297   0       0
GUESS? INC          COMMON STOCK 401617105       9        290  Shares                 X                 1        290   0       0
HCP INCORPORATED
  REITS             COMMON STOCK 40414L109      63       1526  Shares                 X                 1          0   0       0
HCP INCORPORATED
  REITS             COMMON STOCK 40414L109       8        186  Shares                          X        1          0   0       0
HMS HOLDINGS
  CORPCOMMON        COMMON STOCK 40425J101      31        975  Shares                 X                 1        975   0       0
HMS HOLDINGS
  CORPCOMMON        COMMON STOCK 40425J101    1119      35000  Shares                 X                 3      35000   0       0
HSBC HOLDINGS PLC
  SPON ADR          COMMON STOCK 404280406      41       1081  Shares                 X                 1       1081   0       0
HSBC HOLDINGS PLC
  SPON ADR          COMMON STOCK 404280406      12        323  Shares                          X        1        323   0       0
HALLIBURTONCOMMON   COMMON STOCK 406216101     652      18907  Shares                 X                 1      18907   0       0
HALLIBURTONCOMMON   COMMON STOCK 406216101     110       3200  Shares                          X        1       3200   0       0
HALLIBURTONCOMMON   COMMON STOCK 406216101    1402      40638  Shares                 X                 3      40638   0       0
JOHN HANCOCK PFD
  INC FD II         COMMON STOCK 41013X106      22       1050  Shares                 X                 1          0   0       0
HANESBRANDS INC     COMMON STOCK 410345102      11        500  Shares                          X        1        100   0     400
HANSEN NATURAL
  CORPORATION       COMMON STOCK 411310105      33        360  Shares                 X                 1        360   0       0
HARLEY-DAVIDSON INC COMMON STOCK 412822108     263       6761  Shares                 X                 1       6761   0       0
HARLEY-DAVIDSON INC COMMON STOCK 412822108     132       3400  Shares                          X        1        200   0    3200
HARRIS CORP         COMMON STOCK 413875105      11        301  Shares                 X                 1        301   0       0
HARRIS CORP         COMMON STOCK 413875105     212       5875  Shares                          X        1       5875   0       0
HARRIS CORP         COMMON STOCK 413875105      19        537  Shares                 X                 3        537   0       0
HARSCO CORP         COMMON STOCK 415864107    2462     119611  Shares                 X                 1     119611   0       0
HARSCO CORP         COMMON STOCK 415864107    1506      73181  Shares                          X        1      73181   0       0
HARTFORD FINANCIAL
  SVCS GRP INC      COMMON STOCK 416515104      51       3136  Shares                 X                 1       3136   0       0
HARTFORD FINANCIAL
  SVCS GRP INC      COMMON STOCK 416515104      41       2520  Shares                          X        1       1630   0     890
HARTFORD FINANCIAL
  SVCS GRP          COMMON STOCK 416515708      10        518  Shares                 X                 1          0   0       0
HATTERAS FINANCIAL
  CORP              COMMON STOCK 41902R103    1122      42559  Shares                 X                 1          0   0       0
HATTERAS FINANCIAL
  CORP              COMMON STOCK 41902R103      77       2908  Shares                          X        1          0   0       0
HATTERAS FINANCIAL
  CORP              COMMON STOCK 41902R103      13        508  Shares                 X                 3          0   0       0
HAWAIIAN ELEC IND
  INC               COMMON STOCK 419870100      19        714  Shares                 X                 1        714   0       0
HEALTHCARE SVCS
  GRPCOMMON         COMMON STOCK 421906108      24       1375  Shares                 X                 1       1375   0       0
HEALTHCARE SVCS
  GRPCOMMON         COMMON STOCK 421906108     885      50000  Shares                 X                 3      50000   0       0
HEALTH
  MANAGEMENT-CLASS
  A                 COMMON STOCK 421933102       0         50  Shares                          X        1         50   0       0
HEADWATERS
  INCORPORATED      COMMON STOCK 42210P102      17       7500  Shares                 X                 1       7500   0       0
HEALTH CARE REIT
  INC               COMMON STOCK 42217K106      40        730  Shares                 X                 1          0   0       0
HEALTH CARE REIT
  INC               COMMON STOCK 42217K106       9        168  Shares                          X        1          0   0       0
HEALTH NET INC COM  COMMON STOCK 42222G108      11        357  Shares                 X                 1        357   0       0
HEARTLAND PAYMT
  SYSCOMMON         COMMON STOCK 42235N108      46       1900  Shares                 X                 1       1900   0       0
HEARTLAND PAYMT
  SYSCOMMON         COMMON STOCK 42235N108    1681      69000  Shares                 X                 3      69000   0       0
HEICO CORPCOMMON    COMMON STOCK 422806109      27        470  Shares                 X                 1        470   0       0
HEICO CORPCOMMON    COMMON STOCK 422806109     965      16500  Shares                 X                 3      16500   0       0


                                   17 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
HEICO CORP
  NEWCLASS A        COMMON STOCK 422806208     211       5369  Shares                 X                 1       5369   0       0
HEICO CORP
  NEWCLASS A        COMMON STOCK 422806208    2413      61310  Shares                 X                 3      61310   0       0
HEINZ H J CO COM    COMMON STOCK 423074103    1237      22897  Shares                 X                 1      22897   0       0
HEINZ H J CO COM    COMMON STOCK 423074103     505       9345  Shares                          X        1       9345   0       0
HENRY JACK &
  ASSOCCOMMON       COMMON STOCK 426281101      42       1250  Shares                 X                 1       1250   0       0
HENRY JACK &
  ASSOCCOMMON       COMMON STOCK 426281101    1512      45000  Shares                 X                 3      45000   0       0
HERCULES
  TECHNOLOGY GROWTH COMMON STOCK 427096508       8        812  Shares                 X                 1        812   0       0
HERITAGE
  CRYSTALCOMMON     COMMON STOCK 42726M106      10        604  Shares                 X                 1        604   0       0
HERITAGE
  CRYSTALCOMMON     COMMON STOCK 42726M106     341      20600  Shares                 X                 3      20600   0       0
THE HERSHEY COMPANY COMMON STOCK 427866108    3011      48738  Shares                 X                 1      47718   0    1020
THE HERSHEY COMPANY COMMON STOCK 427866108    1728      27971  Shares                          X        1      25071   0    2900
THE HERSHEY COMPANY COMMON STOCK 427866108      42        677  Shares                 X                 3        677   0       0
HESS CORPORATION    COMMON STOCK 42809H107     114       2000  Shares                          X        1       2000   0       0
HEWLETT- PACKARD CO COMMON STOCK 428236103    1869      72549  Shares                 X                 1      72549   0       0
HEWLETT- PACKARD CO COMMON STOCK 428236103     887      34426  Shares                          X        1      31126   0    3300
HEWLETT- PACKARD CO COMMON STOCK 428236103     122       4734  Shares                 X                 3       4734   0       0
HITACHI LTD SPONS
  ADR               COMMON STOCK 433578507       3         62  Shares                 X                 1         62   0       0
HITACHI LTD SPONS
  ADR               COMMON STOCK 433578507       9        180  Shares                          X        1        180   0       0
HOLLYFRONTIER CORP  COMMON STOCK 436106108      20        864  Shares                 X                 1        864   0       0
HOLOGIC INC COM     COMMON STOCK 436440101     116       6600  Shares                          X        1       3200   0    3400
HOME DEPOT INC COM  COMMON STOCK 437076102    5509     131038  Shares                 X                 1     129938   0    1100
HOME DEPOT INC COM  COMMON STOCK 437076102    3901      92793  Shares                          X        1      88653   0    4140
HOME DEPOT INC COM  COMMON STOCK 437076102     196       4661  Shares                 X                 3       4661   0       0
HOME PROPERTIES
  INC (REIT)        COMMON STOCK 437306103     144       2500  Shares                          X        1          0   0       0
HONDA MTR LTD
  AMERN SHS         COMMON STOCK 438128308       9        304  Shares                 X                 1        304   0       0
HONDA MTR LTD
  AMERN SHS         COMMON STOCK 438128308      21        675  Shares                          X        1        675   0       0
HONEYWELL INTL INC
  COM               COMMON STOCK 438516106     908      16708  Shares                 X                 1      16708   0       0
HONEYWELL INTL INC
  COM               COMMON STOCK 438516106    1695      31184  Shares                          X        1      31184   0       0
HONEYWELL INTL INC
  COM               COMMON STOCK 438516106      11        200  Shares                          X        4        200   0       0
HOSPIRA INC         COMMON STOCK 441060100      63       2065  Shares                 X                 1       2065   0       0
HOSPIRA INC         COMMON STOCK 441060100      39       1294  Shares                          X        1       1294   0       0
HUDSON
  TECHNOLOGIES INC  COMMON STOCK 444144109       1        500  Shares                 X                 1        500   0       0
HUGOTON ROYALTY
  TRUST             COMMON STOCK 444717102       3        150  Shares                          X        1          0   0     150
HUMAN GENOME
  SCIENCES INC      COMMON STOCK 444903108       0         18  Shares                 X                 1         18   0       0
HUMAN GENOME
  SCIENCES INC      COMMON STOCK 444903108       2        300  Shares                          X        1        300   0       0
J B HUNT TRANSPORT
  SERVICES INC      COMMON STOCK 445658107       4         95  Shares                 X                 1         95   0       0
HUNTINGTON INGALLS
  INDUSTRIES WI     COMMON STOCK 446413106       3         99  Shares                 X                 1         99   0       0
HUNTINGTON INGALLS
  INDUSTRIES WI     COMMON STOCK 446413106      10        307  Shares                          X        1        307   0       0
ICU MED INCCOMMON   COMMON STOCK 44930G107      23        500  Shares                 X                 1        500   0       0
ICU MED INCCOMMON   COMMON STOCK 44930G107     810      18000  Shares                 X                 3      18000   0       0
IPG PHOTONICS
  CORPCOMMON        COMMON STOCK 44980X109     249       7344  Shares                 X                 1       7344   0       0
IPG PHOTONICS
  CORPCOMMON        COMMON STOCK 44980X109    2878      84960  Shares                 X                 3      84960   0       0
ITT EDUCATIONAL
  SVCSCOMMON        COMMON STOCK 45068B109     162       2850  Shares                 X                 1       2850   0       0
ITT EDUCATIONAL
  SVCSCOMMON        COMMON STOCK 45068B109    1797      31580  Shares                 X                 3      31580   0       0
ITT CORP-W/I        COMMON STOCK 450911201       5        250  Shares                 X                 1        250   0       0
ITT CORP-W/I        COMMON STOCK 450911201      25       1310  Shares                          X        1       1310   0       0
IAMGOLD CORP        COMMON STOCK 450913108       2        100  Shares                          X        1        100   0       0
ICON PLC SPONSORED
  ADR               COMMON STOCK 45103T107       8        484  Shares                 X                 1        484   0       0
ICICI BANK LIMITED
  SPONSORED ADR     COMMON STOCK 45104G104       4        170  Shares                 X                 1        170   0       0
IDEXX CORP          COMMON STOCK 45168D104       9        118  Shares                 X                 1        118   0       0
ILLINOIS TOOL WKS
  INC COM           COMMON STOCK 452308109     379       8106  Shares                 X                 1       8106   0       0
ILLINOIS TOOL WKS
  INC COM           COMMON STOCK 452308109     360       7700  Shares                          X        1       7700   0       0


                                   18 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
ILLUMINA INC        COMMON STOCK 452327109      46       1510  Shares                 X                 1       1510   0        0
ILLUMINA INC        COMMON STOCK 452327109      22        736  Shares                          X        1        736   0        0
IMMUNOGEN INC       COMMON STOCK 45253H101       1        100  Shares                          X        1          0   0      100
IMPERIAL OIL LTD    COMMON STOCK 453038408     111       2500  Shares                          X        1       2500   0        0
INDIA FUND          COMMON STOCK 454089103      74       3868  Shares                 X                 1          0   0        0
INERGY LP           COMMON STOCK 456615103      59       2410  Shares                 X                 1       2410   0        0
INFOSYS LIMITED     COMMON STOCK 456788108      10        200  Shares                 X                 1        200   0        0
ING GROEP NV
  SPONSORED ADR     COMMON STOCK 456837103      10       1450  Shares                          X        1       1450   0        0
INSULET CORPCOMMON  COMMON STOCK 45784P101      34       1825  Shares                 X                 1       1825   0        0
INSULET CORPCOMMON  COMMON STOCK 45784P101    1252      66500  Shares                 X                 3      66500   0        0
INTEL CORP COM      COMMON STOCK 458140100   13297     548342  Shares                 X                 1     543832   0     4510
INTEL CORP COM      COMMON STOCK 458140100    6083     250854  Shares                          X        1     223064   0    27790
INTEL CORP COM      COMMON STOCK 458140100    1146      47273  Shares                 X                 3      42568   0     4705
INTEL CORP COM      COMMON STOCK 458140100      73       3000  Shares                          X        4       3000   0        0
INTEGRYS ENERGY
  GROUP INC         COMMON STOCK 45822P105      19        350  Shares                          X        1        350   0        0
INTERCONTINENTAL
  EXCHCOMMON        COMMON STOCK 45865V100     837       6947  Shares                 X                 1       6947   0        0
INTERCONTINENTAL
  EXCHCOMMON        COMMON STOCK 45865V100    4436      36805  Shares                 X                 3      36805   0        0
INTERDIGITALCOMMON  COMMON STOCK 45867G101      54       1250  Shares                 X                 1       1250   0        0
INTERDIGITALCOMMON  COMMON STOCK 45867G101    1264      29000  Shares                 X                 3      29000   0        0
INTERMEC INC        COMMON STOCK 458786100       2        320  Shares                 X                 1        320   0        0
INTL BUSINESS
  MCHNCOMMON        COMMON STOCK 459200101   42282     229945  Shares                 X                 1     227937   0     2008
INTL BUSINESS
  MCHNCOMMON        COMMON STOCK 459200101   18191      98931  Shares                          X        1      90785   0     8146
INTL BUSINESS
  MCHNCOMMON        COMMON STOCK 459200101   62008     337221  Shares                 X                 3     335690   0     1531
INTL BUSINESS
  MCHNCOMMON        COMMON STOCK 459200101     115        625  Shares                          X        4        625   0        0
INTL FLAVORS &
  FRAGRANCES INC
  COM               COMMON STOCK 459506101      37        700  Shares                 X                 1        700   0        0
INTERNATIONAL
  PAPER CO COM      COMMON STOCK 460146103     179       6043  Shares                 X                 1       6043   0        0
INTERNATIONAL
  PAPER CO COM      COMMON STOCK 460146103     121       4073  Shares                          X        1       2137   0     1936
INTERNATIONAL
  SPEEDWAY CORP CL
  A                 COMMON STOCK 460335201       1         50  Shares                 X                 1         50   0        0
INTUIT INC COM      COMMON STOCK 461202103      46        875  Shares                 X                 1        875   0        0
INTUITIVE SURGIC
  INCCOMMON         COMMON STOCK 46120E602    6572      14195  Shares                 X                 1      14075   0      120
INTUITIVE SURGIC
  INCCOMMON         COMMON STOCK 46120E602     313        675  Shares                          X        1        675   0        0
INTUITIVE SURGIC
  INCCOMMON         COMMON STOCK 46120E602    3885       8391  Shares                 X                 3       8090   0      301
INTUITIVE SURGIC
  INCCOMMON         COMMON STOCK 46120E602     289        625  Shares                          X        4        625   0        0
INVESCO VAN KAMPEN
  TR INVT MUNI      COMMON STOCK 46131M106       9        600  Shares                 X                 1          0   0        0
INVESCO VAN KAMPEN
  TR INVT MUNI      COMMON STOCK 46131M106      88       5851  Shares                          X        1          0   0        0
INVESCO VAN KAMPEN
  MUNI OPP TR       COMMON STOCK 46132C107     107       7385  Shares                          X        1          0   0        0
INVESCO VAN KAMPEN
  ADVANTAGE         COMMON STOCK 46132E103       7        600  Shares                 X                 1          0   0        0
INVESCO VAN KAMPEN
  PA VALUE          COMMON STOCK 46132K109     196      13799  Shares                 X                 1          0   0        0
INVESCO VAN KAMPEN
  PA VALUE          COMMON STOCK 46132K109     196      13763  Shares                          X        1          0   0        0
INVESCO VAN KAMPEN
  BOND FUND         COMMON STOCK 46132L107      17        818  Shares                 X                 1          0   0        0
INVESCO INSURED
  MUNI INC TR       COMMON STOCK 46132P108      45       2814  Shares                          X        1          0   0        0
INVESCO VAN KAMPEN
  QUALITY MUNI      COMMON STOCK 46133G107      19       1413  Shares                          X        1          0   0        0
INVESCO QUALITY
  MUNI INVT TR      COMMON STOCK 46133H105      24       1708  Shares                          X        1          0   0        0
INVESCO HIGH YIELD
  INVESTMENTS FUND  COMMON STOCK 46133K108       2        300  Shares                 X                 1          0   0        0
IRON MTN INC PA COM COMMON STOCK 462846106       2         67  Shares                 X                 1         67   0        0
IRON MTN INC PA COM COMMON STOCK 462846106      10        329  Shares                          X        1        329   0        0
ISHARES GOLD TRUST  COMMON STOCK 464285105    1161      76256  Shares                 X                 1          0   0        0
ISHARES GOLD TRUST  COMMON STOCK 464285105       1         50  Shares                          X        1          0   0        0
ISHARES MSCI
  AUSTRALIA INDEX
  FUND              COMMON STOCK 464286103       4        200  Shares                 X                 1          0   0        0
ISHARES MSCI
  CANADA INDEX FD   COMMON STOCK 464286509      30       1142  Shares                 X                 1          0   0        0
ISHARES MSCI
  ISRAEL CAPPED
  IND FD            COMMON STOCK 464286632      16        393  Shares                 X                 1          0   0        0
ISHARES MSCI
  SINGAPORE INDEX
  FD                COMMON STOCK 464286673       3        272  Shares                 X                 1        272   0        0


                                   19 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   ------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                    
ISHARES MSCI
  SWITZERLAND INDEX COMMON STOCK 464286749       4        155  Shares                 X                 1         0   0      0
ISHARES MSCI
  SWEDEN INDEX FD   COMMON STOCK 464286756       3        128  Shares                 X                 1         0   0      0
ISHARES MSCI SOUTH
  KOREA INDEX FUND  COMMON STOCK 464286772      11        218  Shares                 X                 1       218   0      0
ISHARES MSCI JAPAN
  INDEX FD          COMMON STOCK 464286848      23       2500  Shares                 X                 1         0   0      0
ISHARES MSCI JAPAN
  INDEX FD          COMMON STOCK 464286848      30       3300  Shares                          X        1         0   0      0
ISHARES MSCI HONG
  KONG INDEX FD     COMMON STOCK 464286871       3        202  Shares                 X                 1         0   0      0
ISHARES DJ SELECT
  DIVIDEND INDEX FD COMMON STOCK 464287168     106       1970  Shares                 X                 1         0   0      0
ISHARES BARCLAYS
  TIPS BOND FD      COMMON STOCK 464287176      39        333  Shares                 X                 1         0   0      0
ISHARES FTSE CHINA
  25                COMMON STOCK 464287184       9        258  Shares                 X                 1         0   0      0
ISHARES S&P 500
  INDEX FD          COMMON STOCK 464287200    3965      31477  Shares                 X                 1         0   0      0
ISHARES S&P 500
  INDEX FD          COMMON STOCK 464287200    1027       8153  Shares                          X        1         0   0      0
ISHARES BARCLAYS
  AGGREGATE BD FD   COMMON STOCK 464287226     724       6566  Shares                 X                 1         0   0      0
ISHARES BARCLAYS
  AGGREGATE BD FD   COMMON STOCK 464287226      51        459  Shares                          X        1         0   0      0
ISHARES MSCI
  EMERGING MARKETS
  INDEX             COMMON STOCK 464287234     215       5672  Shares                 X                 1         0   0      0
ISHARES MSCI
  EMERGING MARKETS
  INDEX             COMMON STOCK 464287234      59       1550  Shares                          X        1         0   0      0
ISHARES IBOXX $
  INV GR CORP BD FD COMMON STOCK 464287242      85        750  Shares                 X                 1         0   0      0
ISHARES IBOXX $
  INV GR CORP BD FD COMMON STOCK 464287242     304       2675  Shares                 X                 3      2675   0      0
ISHARES S&P GLOBAL
  TECH SEC INDEX FD COMMON STOCK 464287291       9        150  Shares                 X                 1       150   0      0
ISHARES BARCLAYS
  1-3 YR TREAS BD
  FD                COMMON STOCK 464287457      61        724  Shares                          X        1         0   0      0
ISHARES MSCI EAFE
  INDEX FD          COMMON STOCK 464287465    9686     195564  Shares                 X                 1         0   0      0
ISHARES MSCI EAFE
  INDEX FD          COMMON STOCK 464287465    5520     111457  Shares                          X        1         0   0      0
ISHARES MSCI EAFE
  INDEX FD          COMMON STOCK 464287465     967      19516  Shares                 X                 3         0   0      0
ISHARES MSCI EAFE
  INDEX FD          COMMON STOCK 464287465     652      13169  Shares                          X        3         0   0      0
ISHARES MSCI EAFE
  INDEX FD          COMMON STOCK 464287465      46        934  Shares                 X                 4         0   0      0
ISHARES RUSSELL
  MIDCAP INDEX FD   COMMON STOCK 464287499      10        100  Shares                 X                 1         0   0      0
ISHARES S&P MIDCAP
  400 INDEX FD      COMMON STOCK 464287507      63        716  Shares                 X                 1         0   0      0
ISHARES S&P MIDCAP
  400 INDEX FD      COMMON STOCK 464287507     732       8350  Shares                          X        3         0   0      0
ISHARES
  TRRUSSELL1000VAL  COMMON STOCK 464287598    7586     119501  Shares                 X                 1         0   0      0
ISHARES
  TRRUSSELL1000VAL  COMMON STOCK 464287598    1482      23347  Shares                          X        1         0   0      0
ISHARES
  TRRUSSELL1000VAL  COMMON STOCK 464287598    3533      55656  Shares                 X                 3     32561   0      0
ISHARES
  TRRUSSELL1000VAL  COMMON STOCK 464287598      73       1146  Shares                 X                 4         0   0      0
ISHARES S&P MIDCAP
  400 BARRA GRWTH I COMMON STOCK 464287606     702       7106  Shares                 X                 1         0   0      0
ISHARES RUSSELL
  1000 GROWTH
  INDEX FD          COMMON STOCK 464287614    9595     166033  Shares                 X                 1         0   0      0
ISHARES RUSSELL
  1000 GROWTH
  INDEX FD          COMMON STOCK 464287614    1970      34088  Shares                          X        1         0   0      0
ISHARES RUSSELL
  1000 GROWTH
  INDEX FD          COMMON STOCK 464287614     545       9431  Shares                 X                 3      5608   0      0
ISHARES RUSSELL
  1000 GROWTH
  INDEX FD          COMMON STOCK 464287614      98       1696  Shares                 X                 4         0   0      0
ISHARES RUSSELL
  1000 INDEX FD     COMMON STOCK 464287622    3244      46763  Shares                 X                 1         0   0      0
ISHARES RUSSELL
  1000 INDEX FD     COMMON STOCK 464287622     518       7464  Shares                          X        1         0   0      0
ISHARES RUSSELL
  2000 GRWTH FD     COMMON STOCK 464287648      28        328  Shares                 X                 1         0   0      0
ISHARES RUSSELL
  2000 INDEX FD     COMMON STOCK 464287655     188       2550  Shares                 X                 1         0   0      0
ISHARES RUSSELL
  2000 INDEX FD     COMMON STOCK 464287655      19        260  Shares                          X        1         0   0      0
ISHARES DOW JONES
  US UTIL SECT      COMMON STOCK 464287697      17        195  Shares                 X                 1         0   0      0
ISHARES DOW JONES
  US UTIL SECT      COMMON STOCK 464287697      44        500  Shares                 X                 3         0   0      0
ISHARES S&P MIDCAP
  400/BARRA VAL IND COMMON STOCK 464287705     479       6302  Shares                 X                 1         0   0      0
ISHARES DOW JONES
  US FINL SECT      COMMON STOCK 464287788      26        540  Shares                 X                 1         0   0      0
ISHARES DOW JONES
  US FINL SECT      COMMON STOCK 464287788      23        470  Shares                          X        1         0   0      0
ISHARES S&P
  SMALLCAP 600
  INDEX FD          COMMON STOCK 464287804    1317      19287  Shares                 X                 1         0   0      0
ISHARES S&P
  SMALLCAP 600
  INDEX FD          COMMON STOCK 464287804     772      11309  Shares                          X        3         0   0      0
ISHARES DJ US
  BASIC MATERIALS
  SEC FD            COMMON STOCK 464287838       8        125  Shares                 X                 1         0   0      0
ISHARES DJ US
  BASIC MATERIALS
  SEC FD            COMMON STOCK 464287838      48        750  Shares                          X        1         0   0      0
ISHARES S&P EUROPE
  350 INDEX FD      COMMON STOCK 464287861      84       2500  Shares                          X        1         0   0      0
ISHARES S&P NAT
  AMT-FREE MUN      COMMON STOCK 464288414      36        330  Shares                 X                 1         0   0      0


                                   20 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
ISHARES FTSE
  DEVELOPED         COMMON STOCK 464288497       1         40  Shares                          X        1          0   0        0
ISHARES IBOXX HI
  YLD CORP BD FD    COMMON STOCK 464288513      48        537  Shares                          X        1          0   0        0
ISHARES BARCLAYS
  INTER GOVT/CR BD
  FD                COMMON STOCK 464288612    4200      37735  Shares                          X        3          0   0        0
ISHARES S&P US PFD
  STK INDEX FD      COMMON STOCK 464288687     235       6600  Shares                 X                 1          0   0        0
ISHARES S&P US PFD
  STK INDEX FD      COMMON STOCK 464288687      93       2600  Shares                          X        1          0   0        0
ISHARES MSCI USA
  ESG SELECT        COMMON STOCK 464288802      17        316  Shares                 X                 1          0   0        0
ISHARES MSCI EAFE
  GRWTH INDEX FD    COMMON STOCK 464288885      39        750  Shares                 X                 1          0   0        0
ISHARES MSCI EAFE
  GRWTH INDEX FD    COMMON STOCK 464288885     146       2806  Shares                          X        1          0   0        0
ISHARES MSCI NEW
  ZEALAND
  INVESTABLE        COMMON STOCK 464289123       3        126  Shares                 X                 1          0   0        0
ISHARES SILVER
  TRUST             COMMON STOCK 46428Q109      20        750  Shares                 X                 1          0   0        0
ISHARES S&P GSCI
  COMMODITY--I      COMMON STOCK 46428R107      16        500  Shares                 X                 1          0   0        0
ISHARES MSCI
  POLAND INVESTABLE COMMON STOCK 46429B606       2        110  Shares                 X                 1          0   0        0
ISIS
  PHARMACEUTICALS
  COM               COMMON STOCK 464330109       3        350  Shares                 X                 1        350   0        0
ITAU UNIBANCO
  HOLDING SA--
  PREF ADR          COMMON STOCK 465562106       9        508  Shares                 X                 1        508   0        0
JDS UNIPHASE CORP   COMMON STOCK 46612J507      41       3935  Shares                 X                 3       3935   0        0
JPMORGAN CHASE & CO COMMON STOCK 46625H100    9254     278316  Shares                 X                 1     276366   0     1950
JPMORGAN CHASE & CO COMMON STOCK 46625H100    3984     119808  Shares                          X        1     108360   0    11448
JPMORGAN CHASE & CO COMMON STOCK 46625H100    1385      41659  Shares                 X                 3      35973   0     5686
JPMORGAN CHASE & CO COMMON STOCK 46625H100      42       1250  Shares                          X        4       1250   0        0
JACOBS ENGINEERING
  GROUP INC COM     COMMON STOCK 469814107      95       2350  Shares                 X                 1       2350   0        0
JACOBS ENGINEERING
  GROUP INC COM     COMMON STOCK 469814107      31        760  Shares                          X        1        760   0        0
JANUS CAPITAL
  GROUPCOMMON       COMMON STOCK 47102X105     474      75088  Shares                 X                 1      75088   0        0
JANUS CAPITAL
  GROUPCOMMON       COMMON STOCK 47102X105     908     144011  Shares                 X                 3     144011   0        0
JETBLUE AIRWAYS
  CORPORATION       COMMON STOCK 477143101       1        100  Shares                 X                 1        100   0        0
JOHNSON & JOHNSON   COMMON STOCK 478160104   21681     330608  Shares                 X                 1     326222   0     4386
JOHNSON & JOHNSON   COMMON STOCK 478160104   20170     307568  Shares                          X        1     294767   0    12801
JOHNSON & JOHNSON   COMMON STOCK 478160104     953      14533  Shares                 X                 3      14533   0        0
JOHNSON & JOHNSON   COMMON STOCK 478160104     102       1550  Shares                          X        4       1550   0        0
JOHNSON CONTROLS
  INC COM           COMMON STOCK 478366107     488      15603  Shares                 X                 1      15603   0        0
JOHNSON CONTROLS
  INC COM           COMMON STOCK 478366107     274       8765  Shares                          X        1       8765   0        0
JOY GLOBAL
  INCCOMMON         COMMON STOCK 481165108    2051      27360  Shares                 X                 1      26860   0      500
JOY GLOBAL
  INCCOMMON         COMMON STOCK 481165108     153       2035  Shares                          X        1       1710   0      325
JOY GLOBAL
  INCCOMMON         COMMON STOCK 481165108    3975      53030  Shares                 X                 3      53030   0        0
J2 GLOBAL
  INCCOMMON STOCK   COMMON STOCK 48123V102      32       1150  Shares                 X                 1       1150   0        0
J2 GLOBAL
  INCCOMMON STOCK   COMMON STOCK 48123V102    1182      42000  Shares                 X                 3      42000   0        0
JUNIPER NETWORKS
  COMCOMMON         COMMON STOCK 48203R104     663      32480  Shares                 X                 1      32480   0        0
JUNIPER NETWORKS
  COMCOMMON         COMMON STOCK 48203R104      54       2634  Shares                          X        1       2634   0        0
JUNIPER NETWORKS
  COMCOMMON         COMMON STOCK 48203R104     847      41509  Shares                 X                 3      41509   0        0
KT CORPORATION SP
  ADR               COMMON STOCK 48268K101       4        235  Shares                          X        1        235   0        0
KELLOGG CO COM      COMMON STOCK 487836108     867      17150  Shares                 X                 1      17150   0        0
KELLOGG CO COM      COMMON STOCK 487836108     684      13525  Shares                          X        1      13425   0      100
KEY ENERGY
  SVCSCOMMON        COMMON STOCK 492914106      55       3545  Shares                 X                 1       3545   0        0
KEY ENERGY
  SVCSCOMMON        COMMON STOCK 492914106    1980     128000  Shares                 X                 3     128000   0        0
KIMBERLY CLARK CORP COMMON STOCK 494368103    2696      36644  Shares                 X                 1      36644   0        0
KIMBERLY CLARK CORP COMMON STOCK 494368103    2807      38160  Shares                          X        1      35010   0     3150
KIMBERLY CLARK CORP COMMON STOCK 494368103      18        250  Shares                 X                 3        250   0        0
KINDER MORGAN
  ENERGY PARTNERS
  LP                COMMON STOCK 494550106     421       4955  Shares                 X                 1       4955   0        0
KINDER MORGAN
  ENERGY PARTNERS
  LP                COMMON STOCK 494550106      87       1022  Shares                          X        1        847   0      175
KINDER MORGAN
  ENERGY PARTNERS
  LP                COMMON STOCK 494550106     170       2001  Shares                 X                 3       2001   0        0
KINDER MORGAN
  MANAGEMENT LLC    COMMON STOCK 49455U100    1995      25407  Shares                 X                 1      25046   0      361
KINDER MORGAN
  MANAGEMENT LLC    COMMON STOCK 49455U100      97       1237  Shares                          X        1       1237   0        0
KINROSS GOLD
  CORPORATION       COMMON STOCK 496902404       5        419  Shares                 X                 1        419   0        0


                                   21 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
KIRBY CORPORATION
  COMMON            COMMON STOCK 497266106      71       1075  Shares                 X                 1       1075     0     0
KIRBY CORPORATION
  COMMON            COMMON STOCK 497266106    2568      39000  Shares                 X                 3      39000     0     0
KOHLS CORP COM      COMMON STOCK 500255104      82       1658  Shares                 X                 1       1658     0     0
KOHLS CORP COM      COMMON STOCK 500255104     110       2230  Shares                          X        1       2230     0     0
KONINKLIJKE
  PHILIPS ELEC N V
  NY SHR            COMMON STOCK 500472303      12        550  Shares                 X                 1        550     0     0
KOREA ELECTRIC
  POWER CORP SP ADR COMMON STOCK 500631106       7        655  Shares                          X        1        655     0     0
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104    6218     166424  Shares                 X                 1     165924     0   500
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104    3258      87211  Shares                          X        1      84191     0  3020
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104     275       7371  Shares                 X                 3       4150     0  3221
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104      22        600  Shares                          X        4        600     0     0
KROGER CO           COMMON STOCK 501044101     136       5596  Shares                 X                 1       5596     0     0
KROGER CO           COMMON STOCK 501044101      12        500  Shares                          X        1          0     0   500
KUBOTA CORP- SPONS
  ADR               COMMON STOCK 501173207       9        210  Shares                 X                 1        210     0     0
LKQ CORPCOMMON      COMMON STOCK 501889208     386      12820  Shares                 X                 1      12820     0     0
LKQ CORPCOMMON      COMMON STOCK 501889208    4428     147210  Shares                 X                 3     147210     0     0
LSI CORPORATION     COMMON STOCK 502161102       1        114  Shares                 X                 1        114     0     0
LSI CORPORATION     COMMON STOCK 502161102       2        264  Shares                          X        1        264     0     0
LABORATORY CRP OF
  AMER HLDGS COM
  NEW               COMMON STOCK 50540R409      21        240  Shares                 X                 1        240     0     0
LAM RESEARCH
  CORPCOMMON        COMMON STOCK 512807108     198       5355  Shares                 X                 1       5355     0     0
LAM RESEARCH
  CORPCOMMON        COMMON STOCK 512807108    2365      63890  Shares                 X                 3      63890     0     0
LAS VEGAS SANDS
  CORPCOMMON        COMMON STOCK 517834107     491      11484  Shares                 X                 1      11484     0     0
LAS VEGAS SANDS
  CORPCOMMON        COMMON STOCK 517834107    1605      37533  Shares                 X                 3      37533     0     0
ESTEE LAUDER
  COCLASS A         COMMON STOCK 518439104    2103      18723  Shares                 X                 1      18723     0     0
ESTEE LAUDER
  COCLASS A         COMMON STOCK 518439104     140       1250  Shares                          X        1       1250     0     0
ESTEE LAUDER
  COCLASS A         COMMON STOCK 518439104    3306      29427  Shares                 X                 3      29427     0     0
LEGGETT & PLATT INC COMMON STOCK 524660107     184       8000  Shares                 X                 1       8000     0     0
LEGG MASON INC      COMMON STOCK 524901105      23        945  Shares                 X                 1        945     0     0
LEGG MASON INC      COMMON STOCK 524901105       4        175  Shares                          X        1        175     0     0
LENNOX INTL INC COM COMMON STOCK 526107107     204       6044  Shares                 X                 3       6044     0     0
LEXINGTON REALTY
  TRUST             COMMON STOCK 529043101      15       2000  Shares                 X                 1          0     0     0
LIBERTY MEDIA
  CORP-- LIBERTY A  COMMON STOCK 530322106      32        415  Shares                 X                 1        415     0     0
LIBERTY MEDIA
  CORP-- LIBERTY A  COMMON STOCK 530322106      81       1037  Shares                          X        1       1037     0     0
LIBERTY MEDIA CORP  COMMON STOCK 530322205      42        543  Shares                          X        1        543     0     0
LIBERTY GLOBAL
  INC-- CL A        COMMON STOCK 530555101       9        213  Shares                 X                 1        213     0     0
LIBERTY GLOBAL
  INC-- CL A        COMMON STOCK 530555101      36        877  Shares                          X        1        877     0     0
LIBERTY GLOBAL
  INC-CL B          COMMON STOCK 530555200      22        543  Shares                          X        1        543     0     0
LIBERTY GLOBAL INC
  CL C              COMMON STOCK 530555309       9        216  Shares                 X                 1        216     0     0
LIBERTY GLOBAL INC
  CL C              COMMON STOCK 530555309      56       1420  Shares                          X        1       1420     0     0
LIBERTY
  INTERACTIVE
  CORP--A           COMMON STOCK 53071M104       8        500  Shares                 X                 1        500     0     0
LIBERTY
  INTERACTIVE
  CORP--A           COMMON STOCK 53071M104      64       3967  Shares                          X        1       3967     0     0
LIBERTY
  INTERACTIVE
  CORPORATION       COMMON STOCK 53071M203      44       2714  Shares                          X        1       2714     0     0
LIFE TECHNOLOGIES
  COMMON            COMMON STOCK 53217V109     171       4388  Shares                 X                 1       4388     0     0
LIFE TECHNOLOGIES
  COMMON            COMMON STOCK 53217V109    1708      43910  Shares                 X                 3      43910     0     0
LIFEPOINT HOSPS
  INC COM           COMMON STOCK 53219L109      10        273  Shares                 X                 1        273     0     0
LIHUA
  INTERNATIONAL INC COMMON STOCK 532352101      10       2000  Shares                          X        1       2000     0     0
LILLY ELI & CO      COMMON STOCK 532457108    4615     111040  Shares                 X                 1     110840     0   200
LILLY ELI & CO      COMMON STOCK 532457108    3524      84800  Shares                          X        1      81867  1600  1333
LILLY ELI & CO      COMMON STOCK 532457108    1062      25550  Shares                 X                 3      21229     0  4321
LIMITED BRANDS
  INCCOMMON         COMMON STOCK 532716107    2082      51595  Shares                 X                 1      51145     0   450
LIMITED BRANDS
  INCCOMMON         COMMON STOCK 532716107     141       3487  Shares                          X        1       1317     0  2170
LIMITED BRANDS
  INCCOMMON         COMMON STOCK 532716107    6722     166548  Shares                 X                 3     166548     0     0
LINCOLN NATIONAL
  CORP              COMMON STOCK 534187109      21       1100  Shares                 X                 1       1100     0     0


                                   22 of 41



                                    SEC USE



                    COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7       COLUMN 8
                                                     SHARES                  INVESTMENT AUTHORITY
                                                       OR     SHARES   PUT  ----------------------            VOTING AUTHORITY
                    TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   ---------------------
NAME OF ISSUER       CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------    ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
LINEAR
  TECHNOLOGY
  CORP COM        COMMON STOCK 535678106       17       550  Shares                 X                 1         550   0         0
LINEAR
  TECHNOLOGY
  CORP COM        COMMON STOCK 535678106        3       110  Shares                          X        1           0   0       110
LINKEDIN CORP A   COMMON STOCK 53578A108       13       200  Shares                 X                 1         200   0         0
LINN ENERGY LLC   COMMON STOCK 536020100      161      4250  Shares                 X                 1        4250   0         0
LINN ENERGY LLC   COMMON STOCK 536020100       35       922  Shares                          X        1         822   0       100
LLOYDS BANKING
  GROUP PLC       COMMON STOCK 539439109        2      1446  Shares                 X                 1        1446   0         0
LOCKHEED MARTIN
  CORPORATION COM COMMON STOCK 539830109     3082     38091  Shares                 X                 1       38091   0         0
LOCKHEED MARTIN
  CORPORATION COM COMMON STOCK 539830109      803      9925  Shares                          X        1        9925   0         0
LOCKHEED MARTIN
  CORPORATION COM COMMON STOCK 539830109       40       500  Shares                          X        4         500   0         0
LOEWS CORP        COMMON STOCK 540424108      170      4520  Shares                 X                 1        4520   0         0
LOEWS CORP        COMMON STOCK 540424108       15       405  Shares                          X        1         405   0         0
LORILLARD INC     COMMON STOCK 544147101       84       734  Shares                 X                 1         734   0         0
LORILLARD INC     COMMON STOCK 544147101        6        54  Shares                          X        1          54   0         0
LOWES COMPANIES
  INC             COMMON STOCK 548661107     2559    100842  Shares                 X                 1      100316   0       526
LOWES COMPANIES
  INC             COMMON STOCK 548661107      230      9079  Shares                          X        1        7979   0      1100
LOWES COMPANIES
  INC             COMMON STOCK 548661107       10       402  Shares                 X                 3         402   0         0
LUFKIN INDS
  INCCOMMON       COMMON STOCK 549764108      205      3041  Shares                 X                 1        3041   0         0
LUFKIN INDS
  INCCOMMON       COMMON STOCK 549764108     2349     34900  Shares                 X                 3       34900   0         0
LULULEMON
  ATHLETICA
  COMMON          COMMON STOCK 550021109     2105     45120  Shares                 X                 1       44684   0       436
LULULEMON
  ATHLETICA
  COMMON          COMMON STOCK 550021109       75      1611  Shares                          X        1        1611   0         0
LULULEMON
  ATHLETICA
  COMMON          COMMON STOCK 550021109     5985    128233  Shares                 X                 3      128233   0         0
LUXOTTICA GROUP
  SPA-SPON ADR    COMMON STOCK 55068R202       10       350  Shares                 X                 1         350   0         0
M & T BANK CORP   COMMON STOCK 55261F104   109636   1436150  Shares                 X                 1     1406237   0     29913
M & T BANK CORP   COMMON STOCK 55261F104    10111    132445  Shares                          X        1        8603   0    123842
M & T BANK CORP   COMMON STOCK 55261F104     3716     48676  Shares                 X                 3       48676   0         0
M & T BANK CORP   COMMON STOCK 55261F104       11       150  Shares                          X        4         150   0         0
MGM RESORTS
  INTERNATIONAL   COMMON STOCK 552953101        1       100  Shares                          X        1         100   0         0
MKS INSTRUMENT
  INCCOMMON       COMMON STOCK 55306N104      147      5268  Shares                 X                 1        5268   0         0
MKS INSTRUMENT
  INCCOMMON       COMMON STOCK 55306N104     1682     60460  Shares                 X                 3       60460   0         0
MACY'S INC        COMMON STOCK 55616P104       73      2261  Shares                 X                 1        2261   0         0
MADDEN STEVEN
  LTDCOMMON       COMMON STOCK 556269108       25       725  Shares                 X                 1         725   0         0
MADDEN STEVEN
  LTDCOMMON       COMMON STOCK 556269108      904     26200  Shares                 X                 3       26200   0         0
MAGELLAN
  MIDSTREAM
  PARTNERS L.P.   COMMON STOCK 559080106      121      1750  Shares                 X                 1        1750   0         0
MAGELLAN
  MIDSTREAM
  PARTNERS L.P.   COMMON STOCK 559080106       42       612  Shares                          X        1         612   0         0
MAGNA
  INTERNATIONAL   COMMON STOCK 559222401       13       400  Shares                          X        1         400   0         0
MAKO SURGICAL
  CORPCOMMON
  USD0.001        COMMON STOCK 560879108       34      1350  Shares                 X                 1        1350   0         0
MAKO SURGICAL
  CORPCOMMON
  USD0.001        COMMON STOCK 560879108     1235     49000  Shares                 X                 3       49000   0         0
MANITOWOC
  INCCOMMON       COMMON STOCK 563571108      594     64600  Shares                 X                 1       64600   0         0
MANITOWOC
  INCCOMMON       COMMON STOCK 563571108     1901    206973  Shares                 X                 3      206973   0         0
MANPOWER INC WIS  COMMON STOCK 56418H100       54      1500  Shares                 X                 1        1500   0         0
MANULIFE
  FINANCIAL CORP  COMMON STOCK 56501R106      346     32590  Shares                 X                 1       32590   0         0
MANULIFE
  FINANCIAL CORP  COMMON STOCK 56501R106       19      1832  Shares                          X        1        1832   0         0
MAP
  PHARMACEUTICALS
  INC COM         COMMON STOCK 56509R108      156     11836  Shares                 X                 1       11836   0         0
MAP
  PHARMACEUTICALS
  INC COM         COMMON STOCK 56509R108     2827    214670  Shares                 X                 3      214670   0         0
MARATHON OIL CORP COMMON STOCK 565849106      289      9866  Shares                 X                 1        9866   0         0
MARATHON OIL CORP COMMON STOCK 565849106       31      1076  Shares                          X        1        1076   0         0
MARATHON
  PETROLEUM CORP  COMMON STOCK 56585A102      150      4517  Shares                 X                 1        4517   0         0
MARATHON
  PETROLEUM CORP  COMMON STOCK 56585A102       43      1287  Shares                          X        1        1287   0         0
MARKEL CORP COM   COMMON STOCK 570535104        2         4  Shares                 X                 1           4   0         0
MARKET VECTORS
  GOLD MINERS     COMMON STOCK 57060U100        8       150  Shares                          X        1           0   0         0
MARKWEST ENERGY
  PARTUNIT LTD
  PARTN           COMMON STOCK 570759100       48       875  Shares                 X                 1         875   0         0
MARKWEST ENERGY
  PARTUNIT LTD
  PARTN           COMMON STOCK 570759100       11       200  Shares                          X        1         200   0         0


                                   23 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
MARKWEST ENERGY
  PARTUNIT LTD
  PARTN             COMMON STOCK 570759100    1734      31500  Shares                 X                 3      31500   0        0
MARRIOTT VACATIONS
  WORLD W/I         COMMON STOCK 57164Y107       1         50  Shares                 X                 1         50   0        0
MARSH & MCLENNAN
  COS INC COM       COMMON STOCK 571748102      57       1800  Shares                          X        1       1800   0        0
MARRIOTT INTL INC
  CL A              COMMON STOCK 571903202      20        700  Shares                 X                 1        700   0        0
MASCO CORP          COMMON STOCK 574599106      13       1217  Shares                 X                 1       1217   0        0
MASCO CORP          COMMON STOCK 574599106      15       1450  Shares                          X        1       1450   0        0
MASTERCARD
  INCCOMMON CLASS A COMMON STOCK 57636Q104    1151       3086  Shares                 X                 1       3086   0        0
MASTERCARD
  INCCOMMON CLASS A COMMON STOCK 57636Q104      45        120  Shares                          X        1        120   0        0
MASTERCARD
  INCCOMMON CLASS A COMMON STOCK 57636Q104    1345       3607  Shares                 X                 3       3607   0        0
MATTEL INC          COMMON STOCK 577081102      22        796  Shares                 X                 1        796   0        0
MAXIM INTEGRATED
  PRODS INC COM     COMMON STOCK 57772K101       5        200  Shares                          X        1        200   0        0
MCCORMICK & CO-NON
  VTG SHS           COMMON STOCK 579780206    2438      48350  Shares                 X                 1      48350   0        0
MCCORMICK & CO-NON
  VTG SHS           COMMON STOCK 579780206     267       5292  Shares                          X        1       5292   0        0
MCDERMOTT INTL INC  COMMON STOCK 580037109      52       4548  Shares                 X                 1       4548   0        0
MCDERMOTT INTL INC  COMMON STOCK 580037109       6        550  Shares                          X        1        550   0        0
MCDONALD'S
  CORPORATION       COMMON STOCK 580135101   10743     107073  Shares                 X                 1     106998   0       75
MCDONALD'S
  CORPORATION       COMMON STOCK 580135101    4633      46180  Shares                          X        1      44115   0     2065
MCDONALD'S
  CORPORATION       COMMON STOCK 580135101     336       3352  Shares                 X                 3       2083   0     1269
MCDONALD'S
  CORPORATION       COMMON STOCK 580135101     181       1800  Shares                          X        4       1800   0        0
MC GRAW HILL
  COMPANIES INC     COMMON STOCK 580645109     267       5930  Shares                 X                 1       5930   0        0
MC GRAW HILL
  COMPANIES INC     COMMON STOCK 580645109     805      17895  Shares                          X        1      14895   0     3000
MCKESSON
  CORPORATION COM   COMMON STOCK 58155Q103      31        400  Shares                          X        1        400   0        0
MCMORAN
  EXPLORATION CO    COMMON STOCK 582411104       1         80  Shares                 X                 1         80   0        0
MCMORAN
  EXPLORATION CO    COMMON STOCK 582411104     146      10000  Shares                          X        1      10000   0        0
MEAD JOHNSON
  NUTRITION CO      COMMON STOCK 582839106      71       1034  Shares                 X                 1       1034   0        0
MEADWESTVACO CORP   COMMON STOCK 583334107    1713      57208  Shares                 X                 1      56296   0      912
MEADWESTVACO CORP   COMMON STOCK 583334107     112       3727  Shares                          X        1       3727   0        0
MEADWESTVACO CORP   COMMON STOCK 583334107      20        676  Shares                 X                 3        676   0        0
MEDCO HEALTH
  SOLUTIONS INC     COMMON STOCK 58405U102     968      17313  Shares                 X                 1      17313   0        0
MEDCO HEALTH
  SOLUTIONS INC     COMMON STOCK 58405U102    1660      29693  Shares                          X        1      24981   0     4712
MEDIA GEN INC CL A  COMMON STOCK 584404107       5       1340  Shares                 X                 3       1340   0        0
MEDIDATA SOLUTIONS
  INC               COMMON STOCK 58471A105       4        200  Shares                 X                 1        200   0        0
MEDIVATION
  INCCOMMON         COMMON STOCK 58501N101      35        750  Shares                 X                 1        750   0        0
MEDIVATION
  INCCOMMON         COMMON STOCK 58501N101    1245      27000  Shares                 X                 3      27000   0        0
MEDTRONIC INCCOMMON COMMON STOCK 585055106    1283      33541  Shares                 X                 1      33341   0      200
MEDTRONIC INCCOMMON COMMON STOCK 585055106     744      19450  Shares                          X        1      16200   0     3250
MEDTRONIC INCCOMMON COMMON STOCK 585055106    1674      43774  Shares                 X                 3      43774   0        0
MERCK & CO INC      COMMON STOCK 58933Y105   11298     299693  Shares                 X                 1     297768   0     1925
MERCK & CO INC      COMMON STOCK 58933Y105    6315     167512  Shares                          X        1     153906   0    13606
MERCK & CO INC      COMMON STOCK 58933Y105    1118      29647  Shares                 X                 3      29647   0        0
MERITOR INC         COMMON STOCK 59001K100       0          6  Shares                          X        1          6   0        0
METLIFE INCCOMMON   COMMON STOCK 59156R108    4044     129687  Shares                 X                 1     129437   0      250
METLIFE INCCOMMON   COMMON STOCK 59156R108     462      14823  Shares                          X        1      11646   0     3177
METLIFE INCCOMMON   COMMON STOCK 59156R108    2300      73770  Shares                 X                 3      67849   0     5921
METRO BANCORP INC   COMMON STOCK 59161R101     235      28015  Shares                 X                 3      28015   0        0
METROPOLITAN
  HEALTH NETWORKS
  INC               COMMON STOCK 592142103       4        500  Shares                 X                 1        500   0        0
MICROSOFT
  CORPCOMMON        COMMON STOCK 594918104   17174     661556  Shares                 X                 1     655323   0     6233
MICROSOFT
  CORPCOMMON        COMMON STOCK 594918104    6322     243510  Shares                          X        1     218210   0    25300
MICROSOFT
  CORPCOMMON        COMMON STOCK 594918104    7144     275199  Shares                 X                 3     265256   0     9943
MICROSOFT
  CORPCOMMON        COMMON STOCK 594918104      65       2500  Shares                          X        4       2500   0        0
MICROCHIP
  TECHNOLOGY INC
  COM               COMMON STOCK 595017104     211       5770  Shares                 X                 1       5770   0        0
MICROCHIP
  TECHNOLOGY INC
  COM               COMMON STOCK 595017104      55       1500  Shares                          X        1       1500   0        0


                                   24 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
MICRON TECHNOLOGY
  INC COM           COMMON STOCK 595112103       3        500  Shares                          X        1        500   0       0
MID PENN BANCORP
  INCORPORATED      COMMON STOCK 59540G107      12       1570  Shares                 X                 1       1570   0       0
MIDDLESEX WATER CO  COMMON STOCK 596680108       7        400  Shares                 X                 1        400   0       0
MINDRAY MEDICAL
  INTL LTD-ADR      COMMON STOCK 602675100      11        416  Shares                 X                 1        416   0       0
MINDSPEED
  TECHNOLOGIES INC  COMMON STOCK 602682205       1        243  Shares                          X        1        243   0       0
MITSUBISHI UFJ
  FINANCIAL GRP-ADR COMMON STOCK 606822104      13       3180  Shares                          X        1       3180   0       0
MIZUHO FINANCIAL
  GROUP INC         COMMON STOCK 60687Y109       4       1415  Shares                          X        1       1415   0       0
MOLSON COORS
  BREWING COMPANY   COMMON STOCK 60871R209       5        116  Shares                 X                 1        116   0       0
MOLSON COORS
  BREWING COMPANY   COMMON STOCK 60871R209      26        600  Shares                          X        1        600   0       0
MONSANTO COMPANY    COMMON STOCK 61166W101    1986      28349  Shares                 X                 1      27939   0     410
MONSANTO COMPANY    COMMON STOCK 61166W101     852      12153  Shares                          X        1      11953   0     200
MOODYS CORP         COMMON STOCK 615369105      18        540  Shares                 X                 1        540   0       0
MOODYS CORP         COMMON STOCK 615369105       6        170  Shares                          X        1        170   0       0
MOOG INC CL A       COMMON STOCK 615394202      13        300  Shares                 X                 1        300   0       0
MOOG INC CL A       COMMON STOCK 615394202    1471      33492  Shares                 X                 3      33492   0       0
MOOG INC CL B       COMMON STOCK 615394301    1306      29693  Shares                 X                 3      29693   0       0
MORGAN STANLEY
  GROUP INC         COMMON STOCK 617446448     618      40845  Shares                 X                 1      40845   0       0
MORGAN STANLEY
  GROUP INC         COMMON STOCK 617446448      85       5595  Shares                          X        1       3300   0    2295
MORGAN STANLEY
  GROUP INC         COMMON STOCK 617446448      83       5468  Shares                 X                 3       2912   0    2556
MORGAN STANLEY
  EMERGING MKTS FD  COMMON STOCK 61744G107       7        504  Shares                 X                 1          0   0       0
MOSAIC COCOMMON     COMMON STOCK 61945C103     823      16327  Shares                 X                 1      16327   0       0
MOSAIC COCOMMON     COMMON STOCK 61945C103      65       1280  Shares                          X        1        780   0     500
MOSAIC COCOMMON     COMMON STOCK 61945C103    2357      46750  Shares                 X                 3      46750   0       0
MOTOROLA SOLUTIONS
  INC               COMMON STOCK 620076307      95       2044  Shares                 X                 1       2044   0       0
MOTOROLA SOLUTIONS
  INC               COMMON STOCK 620076307     173       3747  Shares                          X        1       3747   0       0
MOTOROLA MOBILITY
  HOLDINGS W        COMMON STOCK 620097105      33        854  Shares                 X                 1        854   0       0
MOTOROLA MOBILITY
  HOLDINGS W        COMMON STOCK 620097105      99       2552  Shares                          X        1       2552   0       0
MUELLER WATER
  PRODUCTS INC-A    COMMON STOCK 624758108      87      35500  Shares                 X                 1      35500   0       0
MURPHY OIL CORP     COMMON STOCK 626717102      42        750  Shares                 X                 1        750   0       0
MURPHY OIL CORP     COMMON STOCK 626717102      84       1500  Shares                          X        1       1500   0       0
MYLAN INC           COMMON STOCK 628530107      11        533  Shares                 X                 1        533   0       0
MYRIAD GENETICS INC COMMON STOCK 62855J104       6        300  Shares                 X                 1        300   0       0
MYREXIS
  INCORPORATED      COMMON STOCK 62856H107       0          5  Shares                 X                 1          5   0       0
NBT BANCORP INC.
  COM               COMMON STOCK 628778102     112       5052  Shares                 X                 1       5052   0       0
NBT BANCORP INC.
  COM               COMMON STOCK 628778102    4671     211059  Shares                 X                 3     211059   0       0
NANOMETRICS
  INCCOMMON         COMMON STOCK 630077105      27       1450  Shares                 X                 1       1450   0       0
NANOMETRICS
  INCCOMMON         COMMON STOCK 630077105     985      53500  Shares                 X                 3      53500   0       0
NATL FUEL GAS CO    COMMON STOCK 636180101      94       1700  Shares                          X        1       1700   0       0
NATIONAL GRID
  GROUP PLC-ADR     COMMON STOCK 636274300      80       1646  Shares                 X                 1       1646   0       0
NATIONAL GRID
  GROUP PLC-ADR     COMMON STOCK 636274300      71       1466  Shares                          X        1       1466   0       0
NATIONAL
  INSTRUMENTS CORP
  COM               COMMON STOCK 636518102       9        337  Shares                 X                 1        337   0       0
NATIONAL OILWELL
  VARCOMMON         COMMON STOCK 637071101    7038     103510  Shares                 X                 1     102935   0     575
NATIONAL OILWELL
  VARCOMMON         COMMON STOCK 637071101     521       7667  Shares                          X        1       5009   0    2658
NATIONAL OILWELL
  VARCOMMON         COMMON STOCK 637071101    5912      86937  Shares                 X                 3      83712   0    3225
NATIONAL OILWELL
  VARCOMMON         COMMON STOCK 637071101      34        500  Shares                          X        4        500   0       0
NATIONAL PENN
  BANCSHARES INC    COMMON STOCK 637138108      13       1500  Shares                 X                 1       1500   0       0
NATIONAL PENN
  BANCSHARES INC    COMMON STOCK 637138108       8       1000  Shares                          X        1       1000   0       0
NATIONAL PENN
  BANCSHARES INC    COMMON STOCK 637138108      68       8001  Shares                 X                 3       8001   0       0
NATIONAL RETAIL
  PROPERTIES INC    COMMON STOCK 637417106     113       4300  Shares                 X                 1          0   0       0
NAVISTAR
  INTERNATIONAL
  CORP              COMMON STOCK 63934E108       4        100  Shares                 X                 1        100   0       0
NAVISTAR INTL CORP
  3.000% 10/15/14 * COMMON STOCK 63934EAL2       4       4000  Shares                 X                 1          0   0       0
NETAPP INC          COMMON STOCK 64110D104      19        534  Shares                 X                 1        534   0       0


                                   25 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES
                                                         OR     SHARES   PUT   INVESTMENT AUTHORITY
                                                      -------- --------- ---- ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
NETFLIX.COM INC     COMMON STOCK 64110L106      11        156  Shares                 X                 1        156   0       0
NETSPEND HLDGS
  INCCOM USD0.001   COMMON STOCK 64118V106      51       6350  Shares                 X                 1       6350   0       0
NETSPEND HLDGS
  INCCOM USD0.001   COMMON STOCK 64118V106    1863     229700  Shares                 X                 3     229700   0       0
NEUROCRINE
  BIOSCIENCES INC   COMMON STOCK 64125C109       4        500  Shares                          X        1          0   0     500
NEW JERSEY RES
  CORPCOMMON        COMMON STOCK 646025106      22        450  Shares                 X                 1        450   0       0
NEW JERSEY RES
  CORPCOMMON        COMMON STOCK 646025106     812      16500  Shares                 X                 3      16500   0       0
NEW YORK COMMUNITY
  BANCORP INC       COMMON STOCK 649445103       8        622  Shares                 X                 1        622   0       0
NEWELL RUBBERMAID
  INC COM           COMMON STOCK 651229106      66       4086  Shares                          X        1       4086   0       0
NEWFIELD
  EXPLORATION CO    COMMON STOCK 651290108       6        170  Shares                 X                 1        170   0       0
NEWFIELD
  EXPLORATION CO    COMMON STOCK 651290108       5        125  Shares                          X        1        125   0       0
NEWMARKET
  CORPORATION       COMMON STOCK 651587107    3044      15363  Shares                 X                 1      15133   0     230
NEWMARKET
  CORPORATION       COMMON STOCK 651587107    1792       9046  Shares                          X        1       9046   0       0
NEWMARKET
  CORPORATION       COMMON STOCK 651587107      33        166  Shares                 X                 3        166   0       0
NEWMONT MINING      COMMON STOCK 651639106      26        440  Shares                 X                 1        440   0       0
NEWMONT MINING      COMMON STOCK 651639106      57        950  Shares                          X        1         50   0     900
NEWS CORP INC-A     COMMON STOCK 65248E104      19       1050  Shares                 X                 1       1050   0       0
NEWS CORP INC-A     COMMON STOCK 65248E104      19       1073  Shares                          X        1       1073   0       0
NEXEN INC           COMMON STOCK 65334H102       3        196  Shares                 X                 1        196   0       0
NEXTERA ENERGY INC  COMMON STOCK 65339F101    4050      66528  Shares                 X                 1      66453   0      75
NEXTERA ENERGY INC  COMMON STOCK 65339F101    3060      50261  Shares                          X        1      43711   0    6550
NEXTERA ENERGY INC  COMMON STOCK 65339F101      24        400  Shares                 X                 3        400   0       0
NIKE INC CL B       COMMON STOCK 654106103    1874      19449  Shares                 X                 1      19449   0       0
NIKE INC CL B       COMMON STOCK 654106103     197       2046  Shares                          X        1       1751   0     295
NIPPON TELEGRAPH &
  TELE ADR          COMMON STOCK 654624105       2         92  Shares                 X                 1         92   0       0
NIPPON TELEGRAPH &
  TELE ADR          COMMON STOCK 654624105      19        745  Shares                          X        1        745   0       0
NISOURCE INC        COMMON STOCK 65473P105      73       3051  Shares                 X                 1       3051   0       0
NISOURCE INC        COMMON STOCK 65473P105      95       3971  Shares                          X        1       3971   0       0
NOKIA CORP
  SPONSORED ADR     COMMON STOCK 654902204      22       4520  Shares                 X                 1       4520   0       0
NOKIA CORP
  SPONSORED ADR     COMMON STOCK 654902204      21       4295  Shares                          X        1       4295   0       0
NOBLE ENERGY
  INCCOMMON         COMMON STOCK 655044105     482       5105  Shares                 X                 1       5105   0       0
NOBLE ENERGY
  INCCOMMON         COMMON STOCK 655044105    3506      37150  Shares                 X                 3      37150   0       0
NOMURA HLDGS INC    COMMON STOCK 65535H208       3        875  Shares                          X        1        875   0       0
NORDSTROM INCCOMMON COMMON STOCK 655664100    1162      23374  Shares                 X                 1      23374   0       0
NORDSTROM INCCOMMON COMMON STOCK 655664100    3242      65227  Shares                 X                 3      62996   0    2231
NORFOLK SOUTHERN
  CORP              COMMON STOCK 655844108    1587      21779  Shares                 X                 1      21579   0     200
NORFOLK SOUTHERN
  CORP              COMMON STOCK 655844108     586       8040  Shares                          X        1       5340   0    2700
NORFOLK SOUTHERN
  CORP              COMMON STOCK 655844108      27        370  Shares                 X                 3        370   0       0
NORTHERN TRUST
  CORP COM          COMMON STOCK 665859104      12        292  Shares                 X                 1        292   0       0
NORTHROP GRUMMAN
  CORP              COMMON STOCK 666807102     149       2552  Shares                 X                 1       2552   0       0
NORTHROP GRUMMAN
  CORP              COMMON STOCK 666807102     138       2352  Shares                          X        1       2352   0       0
NORTHWEST
  BANCSHARES INC    COMMON STOCK 667340103      55       4417  Shares                 X                 1       4417   0       0
NOVARTIS AG ADR     COMMON STOCK 66987V109    1622      28371  Shares                 X                 1      28234   0     137
NOVARTIS AG ADR     COMMON STOCK 66987V109     625      10932  Shares                          X        1      10847   0      85
NOVAVAX INC         COMMON STOCK 670002104      13      10000  Shares                 X                 1      10000   0       0
NSTAR COM           COMMON STOCK 67019E107       7        150  Shares                 X                 1        150   0       0
NUCOR CORP          COMMON STOCK 670346105     134       3378  Shares                 X                 1       3378   0       0
NUCOR CORP          COMMON STOCK 670346105     449      11350  Shares                          X        1      11350   0       0
NUSTAR ENERGY LP    COMMON STOCK 67058H102      11        200  Shares                          X        1        200   0       0
NUVEEN PA PREM
  INCOME MUN FD 2   COMMON STOCK 67061F101      87       6216  Shares                 X                 1          0   0       0
NUVEEN SELECT
  MATURITIES        COMMON STOCK 67061T101      27       2550  Shares                 X                 1          0   0       0
NUVEEN INVT
  QUALITY MUNI FD   COMMON STOCK 67062E103       5        333  Shares                          X        1          0   0       0
NUVEEN MUNICIPAL
  INCOME FD         COMMON STOCK 67062J102      27       2330  Shares                 X                 1          0   0       0


                                   26 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
NUVEEN INSD
  QUALITY MUN FD    COMMON STOCK 67062N103      18       1200  Shares                 X                 1          0   0       0
NUVEEN PERFORMANCE
  PLUS MUNI FD      COMMON STOCK 67062P108       6        390  Shares                          X        1          0   0       0
NUVEEN NY PERF
  PLUS MUNI FD      COMMON STOCK 67062R104      31       2000  Shares                          X        1          0   0       0
NUVEEN MUNI MKT
  OPPORTUNITY       COMMON STOCK 67062W103      42       3000  Shares                 X                 1          0   0       0
NUVEEN NY INVT
  QUALITY MUN FD    COMMON STOCK 67062X101      23       1500  Shares                          X        1          0   0       0
NUVEEN SELECT
  TAX-FREE INC 2    COMMON STOCK 67063C106      30       2181  Shares                          X        1          0   0       0
NVIDIA CORPCOMMON   COMMON STOCK 67066G104     542      39125  Shares                 X                 1      39125   0       0
NVIDIA CORPCOMMON   COMMON STOCK 67066G104     946      68257  Shares                 X                 3      68257   0       0
NUTRISYSTEM INC     COMMON STOCK 67069D108       2        125  Shares                 X                 1        125   0       0
NUVEEN MARYLAND
  DIVIDEND ADV MUN
  FD                COMMON STOCK 67069R107      13        923  Shares                 X                 1          0   0       0
NUVEEN CA DVD ADV
  MUNI FD 2         COMMON STOCK 67069X104      83       5650  Shares                 X                 1          0   0       0
NUVEEN EQUITY
  PREMIUM ADV FD    COMMON STOCK 6706ET107       2        200  Shares                 X                 1          0   0       0
NUVEEN MD DIV
  ADVANTAGE MUN FD
  2                 COMMON STOCK 67070V105      58       4059  Shares                 X                 1          0   0       0
NUVEEN QUALITY PFD
  INCOME FD 2       COMMON STOCK 67072C105      14       1735  Shares                 X                 1          0   0       0
NXSTAGE
  MEDICALCOMMON     COMMON STOCK 67072V103      34       1925  Shares                 X                 1       1925   0       0
NXSTAGE
  MEDICALCOMMON     COMMON STOCK 67072V103    1236      69500  Shares                 X                 3      69500   0       0
NUVEEN QUALITY PFD
  INCOME FD 3       COMMON STOCK 67072W101       5        700  Shares                          X        1          0   0       0
NUVEEN MULTI
  STRATEGY INC &
  GRWTH 2           COMMON STOCK 67073D102      15       1860  Shares                 X                 1          0   0       0
NV ENERGY INC       COMMON STOCK 67073Y106       3        200  Shares                          X        1        200   0       0
OGE ENERGY CORP COM COMMON STOCK 670837103      17        300  Shares                 X                 1        300   0       0
OGE ENERGY CORP COM COMMON STOCK 670837103      23        400  Shares                          X        1        400   0       0
OCZ TECHNOLOGY
  GRCOMMON          COMMON STOCK 67086E303      46       7025  Shares                 X                 1       7025   0       0
OCZ TECHNOLOGY
  GRCOMMON          COMMON STOCK 67086E303    1681     254300  Shares                 X                 3     254300   0       0
NUVEEN MUNICIPAL
  VALUE FUND        COMMON STOCK 670928100      29       2975  Shares                 X                 1          0   0       0
NUVEEN MUNICIPAL
  VALUE FUND        COMMON STOCK 670928100      52       5333  Shares                          X        1          0   0       0
NUVEEN PA INVT
  QUALITY MUN FD    COMMON STOCK 670972108     100       6584  Shares                 X                 1          0   0       0
NUVEEN PA INVT
  QUALITY MUN FD    COMMON STOCK 670972108      55       3600  Shares                          X        1          0   0       0
NUVEEN SELECT
  QUALITY MUN FD    COMMON STOCK 670973106       6        406  Shares                          X        1          0   0       0
NUVEEN QUALITY
  INCOME MUNI FD    COMMON STOCK 670977107       7        500  Shares                 X                 1          0   0       0
NUVEEN QUALITY
  INCOME MUNI FD    COMMON STOCK 670977107       3        210  Shares                          X        1          0   0       0
NUVEEN INSD MUNI
  OPPORTUNITY       COMMON STOCK 670984103       6        396  Shares                          X        1          0   0       0
NUVEEN PREMIER
  INSD MUNI INC FD  COMMON STOCK 670987106       7        410  Shares                 X                 1          0   0       0
OCCIDENTAL PETE
  CORP COM          COMMON STOCK 674599105    1811      19324  Shares                 X                 1      19032   0     292
OCCIDENTAL PETE
  CORP COM          COMMON STOCK 674599105     437       4660  Shares                          X        1       4660   0       0
OIL STS INTL INCCOM COMMON STOCK 678026105      73        950  Shares                 X                 1        950   0       0
OIL STS INTL INCCOM COMMON STOCK 678026105    2597      34000  Shares                 X                 3      34000   0       0
OLD LINE
  BANCSHARES INC    COMMON STOCK 67984M100      15       1800  Shares                 X                 1       1800   0       0
OLD NATIONAL
  BANCORP COM       COMMON STOCK 680033107      35       3000  Shares                 X                 1       3000   0       0
OLD REPUBLIC INTL
  CORP COM          COMMON STOCK 680223104      19       2000  Shares                 X                 1       2000   0       0
OLIN CORP COM       COMMON STOCK 680665205      15        750  Shares                 X                 1        750   0       0
OMNICOM GROUP INC
  COM               COMMON STOCK 681919106      69       1550  Shares                 X                 1       1550   0       0
OMNICOM GROUP INC
  COM               COMMON STOCK 681919106      42        950  Shares                          X        1        950   0       0
ONCOTHYREON INC     COMMON STOCK 682324108       6        833  Shares                 X                 1        150   0     683
ONEOK INC           COMMON STOCK 682680103      61        700  Shares                 X                 1        700   0       0
ONEOK PARTNERS LP   COMMON STOCK 68268N103      58       1010  Shares                 X                 1       1010   0       0
ONEOK PARTNERS LP   COMMON STOCK 68268N103     104       1800  Shares                          X        1       1800   0       0
ORACLE CORPCOMMON   COMMON STOCK 68389X105    5514     214960  Shares                 X                 1     214160   0     800
ORACLE CORPCOMMON   COMMON STOCK 68389X105     774      30177  Shares                          X        1      26117   0    4060
ORACLE CORPCOMMON   COMMON STOCK 68389X105    3417     133223  Shares                 X                 3     126396   0    6827
ORRSTOWN FINL SVCS
  INC COM           COMMON STOCK 687380105      50       6075  Shares                 X                 1       6075   0       0
OSHKOSH CORPORATION COMMON STOCK 688239201       4        200  Shares                 X                 1        200   0       0
OXIGENE INC         COMMON STOCK 691828305       0        250  Shares                 X                 1        250   0       0


                                   27 of 41



                                    SEC USE



                     COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7       COLUMN 8
                                                      SHARES                  INVESTMENT AUTHORITY
                                                        OR     SHARES   PUT  ----------------------            VOTING AUTHORITY
                     TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   --------------------
NAME OF ISSUER        CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------     ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------- ------ -----
                                                                                     
P G & E CORP       COMMON STOCK 69331C108     129       3135  Shares                 X                 1        3135     0      0
P G & E CORP       COMMON STOCK 69331C108     133       3238  Shares                          X        1        1738     0   1500
PNC FINANCIAL
  SERVICES GROUP
  INC              COMMON STOCK 693475105    6756     117147  Shares                 X                 1      115547     0   1600
PNC FINANCIAL
  SERVICES GROUP
  INC              COMMON STOCK 693475105    2134      37009  Shares                          X        1       29589  3450   3970
PNC FINANCIAL
  SERVICES GROUP
  INC              COMMON STOCK 693475105    2198      38114  Shares                 X                 3       38114     0      0
POSCO--ADR         COMMON STOCK 693483109       9        104  Shares                 X                 1         104     0      0
PPG INDS INC       COMMON STOCK 693506107     755       9044  Shares                 X                 1        8244     0    800
PPG INDS INC       COMMON STOCK 693506107     745       8918  Shares                          X        1        8018     0    900
PPL CORP COM       COMMON STOCK 69351T106    3081     104726  Shares                 X                 1      103926     0    800
PPL CORP COM       COMMON STOCK 69351T106     908      30880  Shares                          X        1       26150  2130   2600
PPL CORP COM       COMMON STOCK 69351T106     148       5036  Shares                 X                 3        5036     0      0
PVH CORPCOMMON
  STOCK            COMMON STOCK 693656100     994      14097  Shares                 X                 1       14097     0      0
PVH CORPCOMMON
  STOCK            COMMON STOCK 693656100    6938      98420  Shares                 X                 3       98420     0      0
PACCAR INC         COMMON STOCK 693718108       9        250  Shares                 X                 1         250     0      0
PACKAGING CORP OF
  AMER COM         COMMON STOCK 695156109       4        139  Shares                 X                 1         139     0      0
PALL CORP COM      COMMON STOCK 696429307      11        200  Shares                 X                 1         200     0      0
PALL CORP COM      COMMON STOCK 696429307      57       1000  Shares                          X        1        1000     0      0
PAN AMERICAN
  SILVER CORP      COMMON STOCK 697900108       3        150  Shares                 X                 1         150     0      0
PANASONIC CORP
  SPONS ADR        COMMON STOCK 69832A205       7        875  Shares                          X        1         875     0      0
PANERA BREAD
  COCLASS A        COMMON STOCK 69840W108     228       1612  Shares                 X                 1        1612     0      0
PANERA BREAD
  COCLASS A        COMMON STOCK 69840W108    2609      18450  Shares                 X                 3       18450     0      0
PARAMETRIC TECH
  CORPCOMMON       COMMON STOCK 699173209      30       1650  Shares                 X                 1        1650     0      0
PARAMETRIC TECH
  CORPCOMMON       COMMON STOCK 699173209    1099      60200  Shares                 X                 3       60200     0      0
PARKER HANNIFIN
  CORP             COMMON STOCK 701094104     295       3867  Shares                 X                 1        3867     0      0
PARKER HANNIFIN
  CORP             COMMON STOCK 701094104      93       1216  Shares                          X        1        1216     0      0
PATTERSON-UTI
  ENERGY INC       COMMON STOCK 703481101       2        121  Shares                 X                 1         121     0      0
PAYCHEX INC COM    COMMON STOCK 704326107    1057      35097  Shares                 X                 1       35097     0      0
PAYCHEX INC COM    COMMON STOCK 704326107      26        850  Shares                          X        1         850     0      0
PAYCHEX INC COM    COMMON STOCK 704326107   52697    1750163  Shares                 X                 3     1750163     0      0
PEABODY ENERGY
  CORPCOMMON       COMMON STOCK 704549104     665      20093  Shares                 X                 1       20093     0      0
PEABODY ENERGY
  CORPCOMMON       COMMON STOCK 704549104     174       5260  Shares                          X        1        5260     0      0
PEABODY ENERGY
  CORPCOMMON       COMMON STOCK 704549104    2604      78640  Shares                 X                 3       78640     0      0
PEETS COFFEE &
  TEA INC COM      COMMON STOCK 705560100      13        200  Shares                 X                 1         200     0      0
PENN NATL GAMING
  INC              COMMON STOCK 707569109      38       1000  Shares                 X                 1        1000     0      0
PENN WEST ENERGY
  PETROLEUM LTD    COMMON STOCK 707887105      98       4960  Shares                          X        1        4960     0      0
PENNEY JC CO INC   COMMON STOCK 708160106      83       2375  Shares                 X                 1        2375     0      0
PENNICHUCK
  CORPORATION NEW  COMMON STOCK 708254206       9        300  Shares                 X                 1         300     0      0
PENNS WOODS
  BANCORP INC.     COMMON STOCK 708430103      39       1000  Shares                 X                 1        1000     0      0
PENNS WOODS
  BANCORP INC.     COMMON STOCK 708430103     396      10212  Shares                 X                 3       10212     0      0
PENTAIR INC COM    COMMON STOCK 709631105     133       4000  Shares                          X        1        4000     0      0
PEOPLES UNITED
  FINANCIAL INC    COMMON STOCK 712704105       4        302  Shares                 X                 1         302     0      0
PEPCO HOLDINGS INC COMMON STOCK 713291102     367      18097  Shares                 X                 1       17334     0    763
PEPCO HOLDINGS INC COMMON STOCK 713291102     228      11232  Shares                          X        1        7432     0   3800
PEPSICO INC COM    COMMON STOCK 713448108   17143     258371  Shares                 X                 1      256746     0   1625
PEPSICO INC COM    COMMON STOCK 713448108   10695     161192  Shares                          X        1      150267     0  10925
PEPSICO INC COM    COMMON STOCK 713448108    2507      37781  Shares                 X                 3       35907     0   1874
PEPSICO INC COM    COMMON STOCK 713448108     113       1700  Shares                          X        4        1700     0      0
PERKINELMER INC
  COM              COMMON STOCK 714046109      80       4000  Shares                          X        1        4000     0      0
PERRIGO COCOMMON   COMMON STOCK 714290103    2580      26516  Shares                 X                 1       26136     0    380
PERRIGO COCOMMON   COMMON STOCK 714290103     179       1840  Shares                          X        1        1840     0      0
PERRIGO COCOMMON   COMMON STOCK 714290103    4185      43010  Shares                 X                 3       43010     0      0
PETMED EXPRESS INC COMMON STOCK 716382106       8        800  Shares                 X                 1         800     0      0


                                   28 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
PETROCHINA CO LTD
  ADR               COMMON STOCK 71646E100      16        125  Shares                          X        1        125    0       0
PETROLEO
  BRASILEIRO SA
  SPNS ADR          COMMON STOCK 71654V408      59       2370  Shares                 X                 1       2370    0       0
PETROLEO
  BRASILEIRO SA
  SPNS ADR          COMMON STOCK 71654V408      19        760  Shares                          X        1        760    0       0
PETSMART INC        COMMON STOCK 716768106     142       2775  Shares                 X                 1       2775    0       0
PETSMART INC        COMMON STOCK 716768106      28        550  Shares                          X        1        550    0       0
PFIZER INC          COMMON STOCK 717081103   12550     579960  Shares                 X                 1     578143    0    1817
PFIZER INC          COMMON STOCK 717081103    9651     445977  Shares                          X        1     403642  600   41735
PFIZER INC          COMMON STOCK 717081103     158       7271  Shares                 X                 3       7271    0       0
PHILIP MORRIS
  INTLCOMMON        COMMON STOCK 718172109   18514     235908  Shares                 X                 1     233968    0    1940
PHILIP MORRIS
  INTLCOMMON        COMMON STOCK 718172109    8107     103297  Shares                          X        1      98272    0    5025
PHILIP MORRIS
  INTLCOMMON        COMMON STOCK 718172109    3840      48937  Shares                 X                 3      48937    0       0
PHILIP MORRIS
  INTLCOMMON        COMMON STOCK 718172109      98       1250  Shares                          X        4       1250    0       0
PHOENIX COS INC COM COMMON STOCK 71902E109       2       1086  Shares                 X                 1       1086    0       0
PIEDMONT NAT GAS
  INC               COMMON STOCK 720186105      60       1780  Shares                 X                 1       1780    0       0
PIEDMONT NAT GAS
  INC               COMMON STOCK 720186105      14        400  Shares                          X        1        400    0       0
PIEDMONT OFFICE
  REALTY TRUST-A    COMMON STOCK 720190206     184      10792  Shares                 X                 1          0    0       0
PINNACLE DATA
  SYSTEMS INC       COMMON STOCK 723454104       1        300  Shares                 X                 1        300    0       0
PINNACLE WEST
  CAPITAL CORP      COMMON STOCK 723484101       5        100  Shares                          X        1        100    0       0
PIONEER MUNICIPAL
  HI INC ADV TR     COMMON STOCK 723762100      22       1500  Shares                 X                 1          0    0       0
PIONEER NATURAL
  RESOURCES CO      COMMON STOCK 723787107       8         88  Shares                 X                 1         88    0       0
PITNEY BOWES INC
  COM               COMMON STOCK 724479100      14        750  Shares                 X                 1        750    0       0
PIZZA INN HOLDINGS
  INC               COMMON STOCK 725846109       2        325  Shares                 X                 1        325    0       0
PLAINS ALL
  AMERICAN
  PIPELINE L P      COMMON STOCK 726503105      37        500  Shares                 X                 1        500    0       0
PLAINS ALL
  AMERICAN
  PIPELINE L P      COMMON STOCK 726503105      26        350  Shares                          X        1        350    0       0
PLUM CREEK TIMBER
  CO INC            COMMON STOCK 729251108     120       3280  Shares                 X                 1          0    0       0
POLYPORE
  INTERNATIONAL INC COMMON STOCK 73179V103     886      20140  Shares                 X                 1      19734    0     406
POLYPORE
  INTERNATIONAL INC COMMON STOCK 73179V103      62       1403  Shares                          X        1       1403    0       0
PORTUGAL TELECOM
  SGPS S A SPONS
  ADR               COMMON STOCK 737273102      75      13000  Shares                 X                 1      13000    0       0
PORTUGAL TELECOM
  SGPS S A SPONS
  ADR               COMMON STOCK 737273102       9       1614  Shares                          X        1       1614    0       0
POST PPTYS INCREIT  COMMON STOCK 737464107      46       1050  Shares                 X                 1          0    0       0
POST PPTYS INCREIT  COMMON STOCK 737464107    1640      37500  Shares                 X                 3      37500    0       0
POTASH CORP OF
  SASKCOMMON        COMMON STOCK 73755L107    1057      25600  Shares                 X                 1      25600    0       0
POTASH CORP OF
  SASKCOMMON        COMMON STOCK 73755L107     150       3628  Shares                          X        1       3628    0       0
POTASH CORP OF
  SASKCOMMON        COMMON STOCK 73755L107     766      18569  Shares                 X                 3      18569    0       0
POWERSHARES QQQ     COMMON STOCK 73935A104      49        880  Shares                 X                 1          0    0       0
POWERSHARES QQQ     COMMON STOCK 73935A104      89       1600  Shares                          X        1          0    0       0
POWERSHARES
  FINANCIAL
  PREFERRED         COMMON STOCK 73935X229      45       2800  Shares                          X        1          0    0       0
POWERSHARES GLOBAL
  WATER PORTFOLIO   COMMON STOCK 73935X575      30       1800  Shares                 X                 1       1800    0       0
POWERSHARES DB US
  DOLLAR INDEX BF   COMMON STOCK 73936D107      21        920  Shares                          X        1          0    0       0
POWERSHARES DB US
  $ INDEX BEAR FD   COMMON STOCK 73936D206      54       2000  Shares                 X                 1          0    0       0
PRAXAIR INC COM     COMMON STOCK 74005P104     387       3618  Shares                 X                 1       3618    0       0
PRAXAIR INC COM     COMMON STOCK 74005P104     318       2971  Shares                          X        1       2771    0     200
PRECISION
  CASTPARTSCOMMON   COMMON STOCK 740189105    1576       9566  Shares                 X                 1       9566    0       0
PRECISION
  CASTPARTSCOMMON   COMMON STOCK 740189105       7         40  Shares                          X        1         40    0       0
PRECISION
  CASTPARTSCOMMON   COMMON STOCK 740189105    5636      34199  Shares                 X                 3      32999    0    1200
PRECISION
  DRILLINGCOMMON
  STOCK             COMMON STOCK 74022D308      51       4925  Shares                 X                 1       4925    0       0
PRECISION
  DRILLINGCOMMON
  STOCK             COMMON STOCK 74022D308      21       2000  Shares                          X        1       2000    0       0
PRECISION
  DRILLINGCOMMON
  STOCK             COMMON STOCK 74022D308    1826     178000  Shares                 X                 3     178000    0       0
PRICE T ROWE
  GRPCOMMON         COMMON STOCK 74144T108    8416     147774  Shares                 X                 1     147109    0     665
PRICE T ROWE
  GRPCOMMON         COMMON STOCK 74144T108    1819      31939  Shares                          X        1      27885    0    4054
PRICE T ROWE
  GRPCOMMON         COMMON STOCK 74144T108    6340     111305  Shares                 X                 3     107685    0    3620
PRICE T ROWE
  GRPCOMMON         COMMON STOCK 74144T108      68       1200  Shares                          X        4       1200    0       0


                                   29 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
PRICELINE.COM
  INCORPORATED      COMMON STOCK 741503403    1465       3132  Shares                 X                 1       3082   0       50
PRICELINE.COM
  INCORPORATED      COMMON STOCK 741503403     131        281  Shares                          X        1        281   0        0
PRINCIPAL FINL
  GROUP INC         COMMON STOCK 74251V102      20        795  Shares                 X                 1        795   0        0
PRINCIPAL FINL
  GROUP INC         COMMON STOCK 74251V102      51       2070  Shares                 X                 3       2070   0        0
PROCERA NETWORKS
  INCCOMMON NEW     COMMON STOCK 74269U203      45       2900  Shares                 X                 1       2900   0        0
PROCERA NETWORKS
  INCCOMMON NEW     COMMON STOCK 74269U203    1605     103000  Shares                 X                 3     103000   0        0
PROCTER & GAMBLE
  CO COM            COMMON STOCK 742718109   28704     430280  Shares                 X                 1     427850   0     2430
PROCTER & GAMBLE
  CO COM            COMMON STOCK 742718109   27880     417930  Shares                          X        1     329923   0    88007
PROCTER & GAMBLE
  CO COM            COMMON STOCK 742718109    4808      72078  Shares                 X                 3      69264   0     2814
PROCTER & GAMBLE
  CO COM            COMMON STOCK 742718109     200       3000  Shares                          X        4       3000   0        0
PROGRESS ENERGY
  INC COM           COMMON STOCK 743263105     350       6248  Shares                 X                 1       5648   0      600
PROGRESS ENERGY
  INC COM           COMMON STOCK 743263105     161       2876  Shares                          X        1       2876   0        0
PROGRESSIVE CORP
  COM               COMMON STOCK 743315103      80       4121  Shares                 X                 1       4121   0        0
PROGRESSIVE CORP
  COM               COMMON STOCK 743315103      14        711  Shares                          X        1        711   0        0
PROLOGIS INC        COMMON STOCK 74340W103       1         38  Shares                 X                 1          0   0        0
ULTRASHORT LEHMAN
  20+ YR TREASURY   COMMON STOCK 74347R297       9        500  Shares                 X                 1          0   0        0
PROVIDENT ENERGY
  LTD               COMMON STOCK 74386V100       2        200  Shares                 X                 1        200   0        0
PROVIDENT ENERGY
  LTD               COMMON STOCK 74386V100      16       1700  Shares                          X        1       1700   0        0
PROVIDENT NEW YORK
  BANCORP           COMMON STOCK 744028101      15       2225  Shares                          X        1       2225   0        0
PRUDENTIAL
  FINANCIAL INC     COMMON STOCK 744320102     219       4369  Shares                 X                 1       4369   0        0
PRUDENTIAL
  FINANCIAL INC     COMMON STOCK 744320102      34        683  Shares                          X        1        683   0        0
PRUDENTIAL PLC-ADR  COMMON STOCK 74435K204      11        572  Shares                 X                 1        572   0        0
PUBLIC SVC
  ENTERPRISE GROUP
  INC               COMMON STOCK 744573106      62       1870  Shares                 X                 1       1870   0        0
PUBLIC SVC
  ENTERPRISE GROUP
  INC               COMMON STOCK 744573106     284       8618  Shares                          X        1       8618   0        0
QLT INC             COMMON STOCK 746927102      14       2000  Shares                 X                 1       2000   0        0
QEP RESOURCES INC   COMMON STOCK 74733V100      35       1200  Shares                 X                 1       1200   0        0
QEP RESOURCES INC   COMMON STOCK 74733V100      94       3200  Shares                          X        1       3200   0        0
QUALCOMM INCCOMMON  COMMON STOCK 747525103    8431     154132  Shares                 X                 1     153026   0     1106
QUALCOMM INCCOMMON  COMMON STOCK 747525103    1468      26835  Shares                          X        1      24467   0     2368
QUALCOMM INCCOMMON  COMMON STOCK 747525103    5331      97441  Shares                 X                 3      94366   0     3075
QUALITY DISTR
  INCCOMMON         COMMON STOCK 74756M102      72       6389  Shares                 X                 1       6389   0        0
QUALITY DISTR
  INCCOMMON         COMMON STOCK 74756M102    2599     231000  Shares                 X                 3     231000   0        0
QUALITY SYS
  INCCOMMON         COMMON STOCK 747582104      35        950  Shares                 X                 1        950   0        0
QUALITY SYS
  INCCOMMON         COMMON STOCK 747582104    1258      34000  Shares                 X                 3      34000   0        0
QUANTA SERVICES
  INC COM           COMMON STOCK 74762E102      15        700  Shares                 X                 1        700   0        0
QUANTUM CORPCOM
  DSSG              COMMON STOCK 747906204      10       4075  Shares                 X                 1       4075   0        0
QUANTUM CORPCOM
  DSSG              COMMON STOCK 747906204     356     148300  Shares                 X                 3     148300   0        0
QUEST DIAGNOSTICS
  INC               COMMON STOCK 74834L100     134       2300  Shares                          X        1       2000   0      300
QUESTAR CORP        COMMON STOCK 748356102      24       1200  Shares                 X                 1       1200   0        0
QUESTAR CORP        COMMON STOCK 748356102      75       3800  Shares                          X        1       3800   0        0
QUESTCOR PHARMA
  INCCOM            COMMON STOCK 74835Y101      59       1425  Shares                 X                 1       1425   0        0
QUESTCOR PHARMA
  INCCOM            COMMON STOCK 74835Y101     790      19000  Shares                 X                 3      19000   0        0
QUIDEL CORPORATION  COMMON STOCK 74838J101      15       1000  Shares                 X                 1       1000   0        0
RGC RESOURCES INC   COMMON STOCK 74955L103      27       1500  Shares                 X                 1       1500   0        0
RGC RESOURCES INC   COMMON STOCK 74955L103       9        500  Shares                          X        1        500   0        0
RF MICRODEVICES
  INCCOMMON         COMMON STOCK 749941100     207      38263  Shares                 X                 1      38263   0        0
RF MICRODEVICES
  INCCOMMON         COMMON STOCK 749941100    2404     445100  Shares                 X                 3     445100   0        0
RADIOSHACK CORP COM COMMON STOCK 750438103       1         95  Shares                 X                 1         95   0        0
RALCORP HOLDINGS
  INC               COMMON STOCK 751028101       6         74  Shares                 X                 1         74   0        0
RALCORP HOLDINGS
  INC               COMMON STOCK 751028101       4         47  Shares                          X        1         47   0        0
RALPH LAUREN CORP   COMMON STOCK 751212101      47        343  Shares                 X                 1        343   0        0
RAYMOND JAMES
  FINLCOMMON        COMMON STOCK 754730109     359      11584  Shares                 X                 1      11584   0        0


                                   30 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
RAYMOND JAMES
  FINLCOMMON        COMMON STOCK 754730109    4149     134030  Shares                 X                 3     134030   0        0
RAYONIER INC COM    COMMON STOCK 754907103      25        562  Shares                          X        1        562   0        0
RAYTHEON CO COM NEW COMMON STOCK 755111507       9        193  Shares                 X                 1        193   0        0
RAYTHEON CO COM NEW COMMON STOCK 755111507     175       3625  Shares                          X        1       3625   0        0
REALTY INCOME CORP  COMMON STOCK 756109104       7        203  Shares                 X                 1          0   0        0
REALTY INCOME CORP  COMMON STOCK 756109104      46       1309  Shares                          X        1          0   0        0
REAVES UTILITY
  INCOME TRUST      COMMON STOCK 756158101     628      24136  Shares                 X                 1          0   0        0
RED HAT INC COM     COMMON STOCK 756577102       8        200  Shares                 X                 1        200   0        0
REED ELSEVIER NV
  SPONSORED ADR     COMMON STOCK 758204200       2         82  Shares                 X                 1         82   0        0
REGIONS FINANCIAL
  CORP              COMMON STOCK 7591EP100      18       4271  Shares                          X        1       4271   0        0
RELIANCE STEEL &
  ALUMINUM COMPANY  COMMON STOCK 759509102     572      11740  Shares                 X                 1          0   0    11740
RESEARCH IN MOTION
  LIMITED           COMMON STOCK 760975102      37       2550  Shares                 X                 1       2550   0        0
RESEARCH IN MOTION
  LIMITED           COMMON STOCK 760975102       2        125  Shares                          X        1        125   0        0
RESEARCH IN MOTION
  LIMITED           COMMON STOCK 760975102      19       1318  Shares                 X                 3        660   0      658
RESMED INCCOMMON    COMMON STOCK 761152107     183       7217  Shares                 X                 1       7217   0        0
RESMED INCCOMMON    COMMON STOCK 761152107    2123      83550  Shares                 X                 3      83550   0        0
REYNOLDS AMERICAN
  INC               COMMON STOCK 761713106     126       3042  Shares                 X                 1       3042   0        0
REYNOLDS AMERICAN
  INC               COMMON STOCK 761713106      50       1218  Shares                          X        1       1218   0        0
RIO TINTO PLC
  SPONSORED ADR     COMMON STOCK 767204100      14        286  Shares                 X                 1        286   0        0
RIO TINTO PLC
  SPONSORED ADR     COMMON STOCK 767204100      20        400  Shares                          X        1        400   0        0
RITE AID CORP COM   COMMON STOCK 767754104      61      48300  Shares                 X                 1      37000   0    11300
RITE AID CORP COM   COMMON STOCK 767754104      42      33201  Shares                 X                 3      33201   0        0
RIVERBED
  TECHNOLOGYCOMMON  COMMON STOCK 768573107     631      26843  Shares                 X                 1      26843   0        0
RIVERBED
  TECHNOLOGYCOMMON  COMMON STOCK 768573107    2094      89089  Shares                 X                 3      89089   0        0
ROBERT HALF INTL
  INC COM           COMMON STOCK 770323103      17        605  Shares                          X        1        500   0      105
ROCKWELL
  AUTOMATIONCOMMON  COMMON STOCK 773903109     982      13384  Shares                 X                 1      13384   0        0
ROCKWELL
  AUTOMATIONCOMMON  COMMON STOCK 773903109     300       4095  Shares                          X        1       3945   0      150
ROCKWELL
  AUTOMATIONCOMMON  COMMON STOCK 773903109    3543      48301  Shares                 X                 3      48301   0        0
ROCKWELL COLLINS
  COM               COMMON STOCK 774341101     238       4294  Shares                 X                 1       4294   0        0
ROCKWELL COLLINS
  COM               COMMON STOCK 774341101     144       2600  Shares                          X        1       2520   0       80
ROGERS
  COMMUNICATIONS
  INC CL B          COMMON STOCK 775109200       7        192  Shares                 X                 1        192   0        0
ROPER INDUSTRIES
  INC               COMMON STOCK 776696106      12        133  Shares                 X                 1        133   0        0
ROSS STORES INC COM COMMON STOCK 778296103      93       1950  Shares                 X                 1       1950   0        0
ROSS STORES INC COM COMMON STOCK 778296103     231       4850  Shares                          X        1       4850   0        0
ROYAL BK CANADA     COMMON STOCK 780087102      20        400  Shares                 X                 1        400   0        0
ROYAL BK CANADA     COMMON STOCK 780087102      51       1000  Shares                          X        1       1000   0        0
ROYAL BANK
  SCOTLAND-SPON ADR COMMON STOCK 780097689       2        281  Shares                          X        1        281   0        0
ROYAL BANK
  SCOTLAND PFD
  6.35% SER N       COMMON STOCK 780097770      11       1000  Shares                 X                 1          0   0        0
ROYAL DUTCH SHELL
  PLC-ADR B         COMMON STOCK 780259107     133       1755  Shares                 X                 1       1755   0        0
ROYAL DUTCH SHELL
  PLC-ADR B         COMMON STOCK 780259107      24        322  Shares                          X        1        322   0        0
ROYAL DUTCH SHELL
  PLC-ADR A         COMMON STOCK 780259206    3054      41778  Shares                 X                 1      41778   0        0
ROYAL DUTCH SHELL
  PLC-ADR A         COMMON STOCK 780259206    2807      38405  Shares                          X        1      33955   0     4450
RYDER SYSTEMS
  INCCOMMON         COMMON STOCK 783549108    1270      23893  Shares                 X                 1      23893   0        0
RYDER SYSTEMS
  INCCOMMON         COMMON STOCK 783549108    3781      71143  Shares                 X                 3      71143   0        0
SBA COMMUNICATIONS
  COMMON            COMMON STOCK 78388J106      47       1100  Shares                 X                 1       1100   0        0
SBA COMMUNICATIONS
  COMMON            COMMON STOCK 78388J106    1718      40000  Shares                 X                 3      40000   0        0
SEI CORP COM        COMMON STOCK 784117103       3        175  Shares                 X                 1        175   0        0
SK TELECOM CO
  LTD-- ADR         COMMON STOCK 78440P108      14       1020  Shares                          X        1       1020   0        0
SLM CORP COM        COMMON STOCK 78442P106      18       1312  Shares                 X                 1       1312   0        0
SPDR S&P 500 ETF
  TRUST             COMMON STOCK 78462F103    9272      73881  Shares                 X                 1          0   0        0
SPDR S&P 500 ETF
  TRUST             COMMON STOCK 78462F103    4394      35009  Shares                          X        1          0   0        0
SPDR S&P 500 ETF
  TRUST             COMMON STOCK 78462F103    2069      16489  Shares                 X                 3      16249   0        0


                                   31 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   ------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                    
SPDR S&P 500 ETF
  TRUST             COMMON STOCK 78462F103    2300      18326  Shares                          X        3         0   0       0
SPDR S&P 500 ETF
  TRUST             COMMON STOCK 78462F103    1061       8454  Shares                          X        4         0   0       0
SPX CORP COM        COMMON STOCK 784635104     211       3500  Shares                          X        1      3500   0       0
SPDR GOLD TRUST     COMMON STOCK 78463V107    2208      14527  Shares                 X                 1         0   0       0
SPDR GOLD TRUST     COMMON STOCK 78463V107      83        546  Shares                          X        1         0   0       0
SPDR S&P EMERGING
  ASIA PACIFIC      COMMON STOCK 78463X301     429       6500  Shares                          X        1         0   0       0
SPDR DJ WILSHIRE
  SMALL CAP VAL--E  COMMON STOCK 78464A300      25        380  Shares                          X        1         0   0       0
SPDR BARCLAYS CAP
  HI YLD BD ETF     COMMON STOCK 78464A417      46       1200  Shares                 X                 1         0   0       0
SPDR DJ REIT ETF    COMMON STOCK 78464A607     208       3235  Shares                 X                 1         0   0       0
SPDR BARCLAYS
  CAPITAL TIPS ETF  COMMON STOCK 78464A656     154       2650  Shares                 X                 1         0   0       0
SPDR S&P REGIONAL
  BANKING           COMMON STOCK 78464A698     553      22650  Shares                 X                 1         0   0       0
SPDR S&P REGIONAL
  BANKING           COMMON STOCK 78464A698       5        200  Shares                          X        1         0   0       0
SPDR S&P OIL & GAS
  EXPLORATION       COMMON STOCK 78464A730      38        720  Shares                          X        1         0   0       0
SPDR S&P
  DIVIDENDSPDR
  SERIES TRUST      COMMON STOCK 78464A763   44819     831976  Shares                 X                 1         0   0       0
SPDR S&P
  DIVIDENDSPDR
  SERIES TRUST      COMMON STOCK 78464A763    5182      96187  Shares                          X        1         0   0       0
SPDR S&P
  DIVIDENDSPDR
  SERIES TRUST      COMMON STOCK 78464A763   10158     188558  Shares                 X                 3     47949   0       0
SPDR S&P
  DIVIDENDSPDR
  SERIES TRUST      COMMON STOCK 78464A763      26        476  Shares                 X                 4         0   0       0
SPDR S&P
  DIVIDENDSPDR
  SERIES TRUST      COMMON STOCK 78464A763     204       3787  Shares                          X        4         0   0       0
SPDR S&P BANK ETF   COMMON STOCK 78464A797       8        386  Shares                 X                 1         0   0       0
SPDR DJ MID CAP
  VALUE--E          COMMON STOCK 78464A839      24        460  Shares                          X        1         0   0       0
SPDR S&P BIOTECH
  ETF               COMMON STOCK 78464A870     332       5000  Shares                          X        1         0   0       0
SPDR DJ INDUSTRIAL
  AVG ETF FD        COMMON STOCK 78467X109     115        940  Shares                 X                 1         0   0       0
SPDR S&P MIDCAP     COMMON STOCK 78467Y107     104        650  Shares                 X                 1         0   0       0
SPDR S&P MIDCAP     COMMON STOCK 78467Y107    2595      16270  Shares                          X        1         0   0       0
SPDR S&P MIDCAP     COMMON STOCK 78467Y107     104        655  Shares                 X                 3         0   0       0
SVB FINANCIAL
  GROUPCOMMON       COMMON STOCK 78486Q101      46        975  Shares                 X                 1       975   0       0
SVB FINANCIAL
  GROUPCOMMON       COMMON STOCK 78486Q101    1669      35000  Shares                 X                 3     35000   0       0
SXC HEALTH SOL
  CORPCOMMON        COMMON STOCK 78505P100     152       2691  Shares                 X                 1      2691   0       0
SXC HEALTH SOL
  CORPCOMMON        COMMON STOCK 78505P100    1977      35000  Shares                 X                 3     35000   0       0
SABINE RLY TR INT
  BEN INT           COMMON STOCK 785688102      13        200  Shares                 X                 1       200   0       0
SAFEWAY INC COM     COMMON STOCK 786514208      22       1039  Shares                 X                 1      1039   0       0
SAFEWAY INC COM     COMMON STOCK 786514208      32       1500  Shares                          X        1         0   0    1500
ST JOE CORP         COMMON STOCK 790148100       3        200  Shares                          X        1       200   0       0
ST JUDE MEDICAL
  INC COM           COMMON STOCK 790849103      13        392  Shares                 X                 1       392   0       0
ST JUDE MEDICAL
  INC COM           COMMON STOCK 790849103      34       1000  Shares                          X        1      1000   0       0
ST JUDE MEDICAL
  INC COM           COMMON STOCK 790849103     129       3775  Shares                 X                 3      1885   0    1890
SALESFORCE.COM INC  COMMON STOCK 79466L302      52        515  Shares                 X                 1       515   0       0
SALIX
  PHARMACEUTICAL
  COMMON            COMMON STOCK 795435106      26        550  Shares                 X                 1       550   0       0
SALIX
  PHARMACEUTICAL
  COMMON            COMMON STOCK 795435106     957      20000  Shares                 X                 3     20000   0       0
SALLY BEAUTY
  COMPANY INC       COMMON STOCK 79546E104       2        100  Shares                 X                 1       100   0       0
SAN JUAN BASIN
  ROYALTY TR        COMMON STOCK 798241105       9        400  Shares                 X                 1       400   0       0
SAN JUAN BASIN
  ROYALTY TR        COMMON STOCK 798241105       3        150  Shares                          X        1         0   0     150
SANDISK CORP COM    COMMON STOCK 80004C101       5        100  Shares                 X                 1       100   0       0
SANDY SPRING
  BANCORP INC       COMMON STOCK 800363103     221      12567  Shares                          X        1     12567   0       0
SANOFI-ADR          COMMON STOCK 80105N105      39       1074  Shares                 X                 1      1074   0       0
SANOFI-ADR          COMMON STOCK 80105N105      46       1250  Shares                          X        1      1250   0       0
SANOFI-CVR 12/31/20 COMMON STOCK 80105N113       4       3000  Shares                 X                 1      3000   0       0
SANOFI-CVR 12/31/20 COMMON STOCK 80105N113       0        200  Shares                          X        1       200   0       0
SAP AG SPONS ADR    COMMON STOCK 803054204      26        500  Shares                 X                 1       500   0       0
SARA LEE CORP       COMMON STOCK 803111103      25       1300  Shares                 X                 1      1300   0       0
SARA LEE CORP       COMMON STOCK 803111103     116       6125  Shares                          X        1      2925   0    3200
SCANA CORP NEW COM  COMMON STOCK 80589M102     112       2476  Shares                 X                 1      2476   0       0


                                   32 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
SCANA CORP NEW COM  COMMON STOCK 80589M102     104       2310  Shares                          X        1       2310   0       0
HENRY SCHEIN INC
  COM               COMMON STOCK 806407102      81       1254  Shares                 X                 1       1254   0       0
SCHLUMBERGER
  LTDCOMMON         COMMON STOCK 806857108   16330     239055  Shares                 X                 1     237965   0    1090
SCHLUMBERGER
  LTDCOMMON         COMMON STOCK 806857108    5253      76899  Shares                          X        1      71104   0    5795
SCHLUMBERGER
  LTDCOMMON         COMMON STOCK 806857108    4379      64084  Shares                 X                 3      60636   0    3448
SCHLUMBERGER
  LTDCOMMON         COMMON STOCK 806857108     106       1550  Shares                          X        4       1550   0       0
SCHWAB CHARLES
  CORP NEW COM      COMMON STOCK 808513105     199      17646  Shares                 X                 1      17646   0       0
SCHWAB CHARLES
  CORP NEW COM      COMMON STOCK 808513105       7        642  Shares                          X        1        642   0       0
THE SCOTTS
  MIRACLE-GRO
  COMPANY CL A      COMMON STOCK 810186106     444       9500  Shares                 X                 1       9500   0       0
SCRIPPS NETWORKS
  INTERACTIVE-- CL
  A                 COMMON STOCK 811065101      13        300  Shares                 X                 1        300   0       0
SEALED AIR CORP
  NEW COM           COMMON STOCK 81211K100       5        277  Shares                 X                 1        277   0       0
SEALED AIR CORP
  NEW COM           COMMON STOCK 81211K100      67       3908  Shares                          X        1       3908   0       0
SEARS HOLDINGS CORP COMMON STOCK 812350106       6        188  Shares                 X                 1        188   0       0
SEARS HOLDINGS CORP COMMON STOCK 812350106      15        468  Shares                          X        1        468   0       0
ENERGY SELECT
  SECTOR SPDR FD    COMMON STOCK 81369Y506      11        152  Shares                 X                 1          0   0       0
ENERGY SELECT
  SECTOR SPDR FD    COMMON STOCK 81369Y506      13        185  Shares                          X        1          0   0       0
FINANCIAL SELECT
  SECTOR SPDR FD    COMMON STOCK 81369Y605     962      74003  Shares                 X                 1          0   0       0
FINANCIAL SELECT
  SECTOR SPDR FD    COMMON STOCK 81369Y605     570      43823  Shares                          X        1          0   0       0
FINANCIAL SELECT
  SECTOR SPDR FD    COMMON STOCK 81369Y605       4        300  Shares                 X                 4          0   0       0
SELECT SECTOR SPDR
  UTILITIES         COMMON STOCK 81369Y886    2914      80983  Shares                 X                 1          0   0       0
SELECT SECTOR SPDR
  UTILITIES         COMMON STOCK 81369Y886     463      12878  Shares                          X        1          0   0       0
SELECT SECTOR SPDR
  UTILITIES         COMMON STOCK 81369Y886    1570      43653  Shares                 X                 3      29940   0       0
SELECTIVE INS
  GROUP INC         COMMON STOCK 816300107      66       3712  Shares                 X                 1       3712   0       0
SEMTECH CORPCOMMON  COMMON STOCK 816850101      36       1450  Shares                 X                 1       1450   0       0
SEMTECH CORPCOMMON  COMMON STOCK 816850101    1340      54000  Shares                 X                 3      54000   0       0
SEMPRA ENERGY COM   COMMON STOCK 816851109       5         98  Shares                 X                 1         98   0       0
SEMPRA ENERGY COM   COMMON STOCK 816851109      22        404  Shares                          X        1        404   0       0
SENIOR HOUSING
  PROPERTIES TR
  (REIT)            COMMON STOCK 81721M109       2        100  Shares                          X        1          0   0       0
SERVICE
  CORPORATION INTL  COMMON STOCK 817565104      99       9287  Shares                 X                 1       9287   0       0
SERVICE
  CORPORATION INTL  COMMON STOCK 817565104      80       7486  Shares                          X        1       7486   0       0
SHERWIN WILLIAMS
  CO COM            COMMON STOCK 824348106      18        200  Shares                 X                 1        200   0       0
SHERWIN WILLIAMS
  CO COM            COMMON STOCK 824348106     446       5000  Shares                          X        1          0   0    5000
SHIRE PLC--ADR      COMMON STOCK 82481R106      16        154  Shares                 X                 1        154   0       0
SIEMENS A G
  SPONSORED ADR     COMMON STOCK 826197501      14        147  Shares                 X                 1        147   0       0
SIEMENS A G
  SPONSORED ADR     COMMON STOCK 826197501     129       1350  Shares                          X        1       1350   0       0
SIGNATURE BANK
  NYCOMMON          COMMON STOCK 82669G104      45        750  Shares                 X                 1        750   0       0
SIGNATURE BANK
  NYCOMMON          COMMON STOCK 82669G104    1650      27500  Shares                 X                 3      27500   0       0
SILICON GRAPHIC
  INTLCOMMON        COMMON STOCK 82706L108      55       4800  Shares                 X                 1       4800   0       0
SILICON GRAPHIC
  INTLCOMMON        COMMON STOCK 82706L108    2020     176300  Shares                 X                 3     176300   0       0
SILVER WHEATON
  CORPORATION       COMMON STOCK 828336107      40       1392  Shares                 X                 1       1392   0       0
SILVER WHEATON
  CORPORATION       COMMON STOCK 828336107      62       2150  Shares                          X        1       2150   0       0
SILVERCORP METALS
  INC               COMMON STOCK 82835P103      24       3700  Shares                 X                 1       3700   0       0
SIMON PROPERTY GRP
  INC (REIT)        COMMON STOCK 828806109     873       6772  Shares                 X                 1          0   0       0
SIMON PROPERTY GRP
  INC (REIT)        COMMON STOCK 828806109     706       5473  Shares                          X        1          0   0       0
SIRONA DENTAL
  SYSCOMMON         COMMON STOCK 82966C103      33        750  Shares                 X                 1        750   0       0
SIRONA DENTAL
  SYSCOMMON         COMMON STOCK 82966C103    1211      27500  Shares                 X                 3      27500   0       0
SIRIUS XM RADIO INC COMMON STOCK 82967N108      25      13588  Shares                 X                 1      13588   0       0
SMITH & NEPHEW
  PLC--SPONS ADR    COMMON STOCK 83175M205       3         66  Shares                 X                 1         66   0       0
JM SMUCKER CO       COMMON STOCK 832696405      67        851  Shares                 X                 1        851   0       0
JM SMUCKER CO       COMMON STOCK 832696405     264       3378  Shares                          X        1       2780   0     598
SNAP ON INC         COMMON STOCK 833034101      10        195  Shares                 X                 1        195   0       0
SNYDERS-
  LANCECOMMON       COMMON STOCK 833551104      25       1125  Shares                 X                 1       1125   0       0


                                   33 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
SNYDERS-
  LANCECOMMON       COMMON STOCK 833551104     900      40000  Shares                 X                 3      40000   0       0
SOLUTIA INC-
  WARRANTS 2/28/13  COMMON STOCK 834376147       0         65  Shares                          X        1         65   0       0
SOLUTIA INCCOM NEW  COMMON STOCK 834376501     334      19337  Shares                 X                 1      19337   0       0
SOLUTIA INCCOM NEW  COMMON STOCK 834376501       0          8  Shares                          X        1          8   0       0
SOLUTIA INCCOM NEW  COMMON STOCK 834376501    4665     269960  Shares                 X                 3     269960   0       0
SONOCO PRODUCTS CO
  COM               COMMON STOCK 835495102      13        400  Shares                 X                 1        400   0       0
SONY CORP--
  SPONSORED ADR     COMMON STOCK 835699307       4        202  Shares                 X                 1        202   0       0
SOURCEFIRE
  INCCOMMON         COMMON STOCK 83616T108     243       7504  Shares                 X                 1       7504   0       0
SOURCEFIRE
  INCCOMMON         COMMON STOCK 83616T108    4035     124600  Shares                 X                 3     124600   0       0
SOUTH JERSEY
  INDSCOMMON        COMMON STOCK 838518108      34        600  Shares                 X                 1        600   0       0
SOUTH JERSEY
  INDSCOMMON        COMMON STOCK 838518108    1250      22000  Shares                 X                 3      22000   0       0
SOUTHERN CO COM     COMMON STOCK 842587107    1189      25689  Shares                 X                 1      24639   0    1050
SOUTHERN CO COM     COMMON STOCK 842587107    1438      31060  Shares                          X        1      30660   0     400
SOUTHERN COPPER
  CORP              COMMON STOCK 84265V105      18        600  Shares                 X                 1          0   0     600
SOUTHWEST AIRLINES
  CO COM            COMMON STOCK 844741108       7        800  Shares                 X                 1        800   0       0
SOUTHWEST AIRLINES
  CO COM            COMMON STOCK 844741108       3        300  Shares                          X        1        300   0       0
SOUTHWESTERN
  ENERGY COMPANY    COMMON STOCK 845467109     245       7670  Shares                 X                 1       7670   0       0
SOUTHWESTERN
  ENERGY COMPANY    COMMON STOCK 845467109      32       1010  Shares                          X        1       1010   0       0
SPECTRA ENERGY CORP COMMON STOCK 847560109     259       8421  Shares                 X                 1       8421   0       0
SPECTRA ENERGY CORP COMMON STOCK 847560109     219       7133  Shares                          X        1       6733   0     400
SPECTRA ENERGY
  PARTNERS LP       COMMON STOCK 84756N109       2         50  Shares                          X        1         50   0       0
SPIRIT AEROSYSTEMS
  HOLD-CL A         COMMON STOCK 848574109       4        187  Shares                 X                 1        187   0       0
SPRINT NEXTEL CORP  COMMON STOCK 852061100       0        200  Shares                          X        1        200   0       0
SPROTT PHYSICAL
  SILVER TRUST      COMMON STOCK 85207K107      20       1500  Shares                 X                 1          0   0       0
STAAR SURGICAL
  COCOMMON PAR $.01 COMMON STOCK 852312305      42       4050  Shares                 X                 1       4050   0       0
STAAR SURGICAL
  COCOMMON PAR $.01 COMMON STOCK 852312305    1532     146000  Shares                 X                 3     146000   0       0
STANDARD REGISTER
  COMPANY           COMMON STOCK 853887107      28      12000  Shares                 X                 1      12000   0       0
STANLEY BLACK &
  DECKER INC        COMMON STOCK 854502101     196       2900  Shares                 X                 1       2900   0       0
STANLEY BLACK &
  DECKER INC        COMMON STOCK 854502101     977      14454  Shares                          X        1      14454   0       0
STAPLES INC COM     COMMON STOCK 855030102     656      47196  Shares                 X                 1      47196   0       0
STAPLES INC COM     COMMON STOCK 855030102     299      21547  Shares                          X        1      21447   0     100
STARBUCKS CORP COM  COMMON STOCK 855244109     411       8924  Shares                 X                 1       8924   0       0
STARWOOD
  HTLS&RESORTCOMMON COMMON STOCK 85590A401    2568      53534  Shares                 X                 1      52960   0     574
STARWOOD
  HTLS&RESORTCOMMON COMMON STOCK 85590A401     108       2242  Shares                          X        1       2242   0       0
STARWOOD
  HTLS&RESORTCOMMON COMMON STOCK 85590A401    1480      30846  Shares                 X                 3      30846   0       0
STATE STREET CORP   COMMON STOCK 857477103      36        900  Shares                 X                 1        900   0       0
STATE STREET CORP   COMMON STOCK 857477103    2630      65250  Shares                          X        1      65250   0       0
STATOIL ASA
  SPONSORED ADR     COMMON STOCK 85771P102      10        376  Shares                 X                 1        376   0       0
STEEL DYNAMICS INC  COMMON STOCK 858119100       4        300  Shares                 X                 1        300   0       0
STELLARONE CORP     COMMON STOCK 85856G100      20       1731  Shares                          X        1       1731   0       0
STERICYCLE INC COM  COMMON STOCK 858912108      10        129  Shares                 X                 1        129   0       0
STERIS CORPCOMMON   COMMON STOCK 859152100      26        875  Shares                 X                 1        875   0       0
STERIS CORPCOMMON   COMMON STOCK 859152100     954      32000  Shares                 X                 3      32000   0       0
STIFEL FINL
  CORPCOMMON        COMMON STOCK 860630102      23        725  Shares                 X                 1        725   0       0
STIFEL FINL
  CORPCOMMON        COMMON STOCK 860630102     833      26000  Shares                 X                 3      26000   0       0
STRATASYS INCCOMMON COMMON STOCK 862685104     200       6576  Shares                 X                 1       6576   0       0
STRATASYS INCCOMMON COMMON STOCK 862685104    2302      75700  Shares                 X                 3      75700   0       0
STRATEGIC
  HOTEL&RSRTCOMMON  COMMON STOCK 86272T106      20       3725  Shares                 X                 1          0   0       0
STRATEGIC
  HOTEL&RSRTCOMMON  COMMON STOCK 86272T106     725     135000  Shares                 X                 3     135000   0       0
STRYKER CORPCOMMON  COMMON STOCK 863667101     643      12944  Shares                 X                 1      12944   0       0
STRYKER CORPCOMMON  COMMON STOCK 863667101     154       3100  Shares                          X        1       2100   0    1000
STRYKER CORPCOMMON  COMMON STOCK 863667101    2155      43339  Shares                 X                 3      43339   0       0


                                   34 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
STURM RUGER & CO
  INC COM           COMMON STOCK 864159108       8        250  Shares                 X                 1        250     0     0
STURM RUGER & CO
  INC COM           COMMON STOCK 864159108      33       1000  Shares                          X        1       1000     0     0
SUBURBAN PROPANE
  PARTNERS LP
  LIMITED           COMMON STOCK 864482104      12        250  Shares                 X                 1        250     0     0
SUBURBAN PROPANE
  PARTNERS LP
  LIMITED           COMMON STOCK 864482104      71       1500  Shares                          X        1       1500     0     0
SUMITOMO TRUST AND
  BANKING CO        COMMON STOCK 86562M209      11       2012  Shares                          X        1       2012     0     0
SUN LIFE FINL INC   COMMON STOCK 866796105      48       2592  Shares                 X                 1       2592     0     0
SUNCOR ENERGY INC   COMMON STOCK 867224107      41       1416  Shares                 X                 1       1416     0     0
SUNCOR ENERGY INC   COMMON STOCK 867224107     365      12665  Shares                          X        1      12665     0     0
SUNOCO LOGISTICS
  PARTNERS LP       COMMON STOCK 86764L108     142       3600  Shares                 X                 1       3600     0     0
SUNOCO LOGISTICS
  PARTNERS LP       COMMON STOCK 86764L108      47       1200  Shares                          X        1       1200     0     0
SUNOCO INC COM      COMMON STOCK 86764P109       7        170  Shares                 X                 1        170     0     0
PFD SUNPOWER CORP
  "ONE"             COMMON STOCK 867652406       1        200  Shares                 X                 1        200     0     0
SUNTRUST BANKS INC  COMMON STOCK 867914103     158       8931  Shares                 X                 1       8931     0     0
SUNTRUST BANKS INC  COMMON STOCK 867914103      85       4818  Shares                          X        1       3118     0  1700
SUNTRUST BANKS INC  COMMON STOCK 867914103     354      20002  Shares                 X                 3      20002     0     0
SUSQUEHANNA
  BANCSHARES INC
  PA COM            COMMON STOCK 869099101     562      67119  Shares                 X                 1      64973     0  2146
SUSQUEHANNA
  BANCSHARES INC
  PA COM            COMMON STOCK 869099101      87      10440  Shares                          X        1       9440  1000     0
SUSQUEHANNA
  BANCSHARES INC
  PA COM            COMMON STOCK 869099101      39       4627  Shares                 X                 3       4627     0     0
ELEMENTS ROGERS
  AGRI TOT RET      COMMON STOCK 870297603       4        500  Shares                 X                 1          0     0     0
SWIFT TRANSN CO
  INCCLASS A        COMMON STOCK 87074U101      13       1575  Shares                 X                 1       1575     0     0
SWIFT TRANSN CO
  INCCLASS A        COMMON STOCK 87074U101     461      56000  Shares                 X                 3      56000     0     0
SYMANTEC CORP COM   COMMON STOCK 871503108      78       4965  Shares                 X                 1       4965     0     0
SYMANTEC CORP COM   COMMON STOCK 871503108      38       2400  Shares                          X        1       2400     0     0
SYNGENTA AG ADR     COMMON STOCK 87160A100     118       2000  Shares                          X        1       2000     0     0
SYSCO CORP          COMMON STOCK 871829107    1422      48478  Shares                 X                 1      48378     0   100
SYSCO CORP          COMMON STOCK 871829107    4070     138750  Shares                          X        1     136650     0  2100
TCF FINL CORP COM   COMMON STOCK 872275102       5        500  Shares                 X                 1        500     0     0
TC PIPELINES
  LIMITED
  PARTNERSHIP       COMMON STOCK 87233Q108     142       3001  Shares                 X                 3       3001     0     0
TECO ENERGY INC     COMMON STOCK 872375100      34       1800  Shares                 X                 1       1800     0     0
TECO ENERGY INC     COMMON STOCK 872375100      73       3814  Shares                          X        1       3814     0     0
TF FINANCIAL CORP   COMMON STOCK 872391107     119       5250  Shares                 X                 1       5250     0     0
TJX COMPANIES COM   COMMON STOCK 872540109      89       1376  Shares                 X                 1       1376     0     0
TJX COMPANIES COM   COMMON STOCK 872540109     130       2008  Shares                          X        1       2008     0     0
TAIWAN
  SEMICONDUCTOR
  SPON ADR          COMMON STOCK 874039100      26       2000  Shares                 X                 1       2000     0     0
TAIWAN
  SEMICONDUCTOR
  SPON ADR          COMMON STOCK 874039100      13       1014  Shares                          X        1          0     0  1014
TALEO CORPCLASS A   COMMON STOCK 87424N104      21        550  Shares                 X                 1        550     0     0
TALEO CORPCLASS A   COMMON STOCK 87424N104     774      20000  Shares                 X                 3      20000     0     0
TALISMAN ENERGY INC COMMON STOCK 87425E103      22       1755  Shares                 X                 1       1755     0     0
TALISMAN ENERGY INC COMMON STOCK 87425E103       3        210  Shares                          X        1          0     0   210
TANZANIAN ROYALTY
  EXPLORATION       COMMON STOCK 87600U104       1        250  Shares                 X                 1        250     0     0
TARGA RESOURCESLPU
  COM               COMMON STOCK 87611X105      41       1100  Shares                 X                 1       1100     0     0
TARGA RESOURCESLPU
  COM               COMMON STOCK 87611X105    1510      40500  Shares                 X                 3      40500     0     0
TARGET CORP COM     COMMON STOCK 87612E106    4224      82470  Shares                 X                 1      82470     0     0
TARGET CORP COM     COMMON STOCK 87612E106     546      10666  Shares                          X        1      10491     0   175
TARGET CORP COM     COMMON STOCK 87612E106     265       5176  Shares                 X                 3       3686     0  1490
TASEKO MINES LTD    COMMON STOCK 876511106      41      15000  Shares                 X                 1      15000     0     0
TECH DATA CORP COM  COMMON STOCK 878237106      25        500  Shares                          X        1        500     0     0
TECK RESOURCES
  LTD- CL B         COMMON STOCK 878742204      70       2000  Shares                 X                 1       2000     0     0
TECK RESOURCES
  LTD- CL B         COMMON STOCK 878742204      35       1000  Shares                          X        1       1000     0     0
TELE NORTE LESTE
  PART ADR          COMMON STOCK 879246106       3        365  Shares                          X        1        365     0     0
TELECOM NEW
  ZEALAND SPON ADR  COMMON STOCK 879278208       4        533  Shares                          X        1        533     0     0
TELECOM ITALIA SPA  COMMON STOCK 87927Y102      16       1519  Shares                          X        1       1519     0     0


                                   35 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
TELEFONICA
  BRASIL/S ADR      COMMON STOCK 87936R106       5        192  Shares                          X        1        192   0       0
TELEFONICA S A
  SPONSORED ADR     COMMON STOCK 879382208      60       3503  Shares                 X                 1       3503   0       0
TELEFONICA S A
  SPONSORED ADR     COMMON STOCK 879382208      54       3166  Shares                          X        1       3166   0       0
TELEFONOS DE
  MEXICO SA DE CV   COMMON STOCK 879403707       0          1  Shares                 X                 3          1   0       0
TELEFONOS DE
  MEXICO SP ADR L   COMMON STOCK 879403780       9        600  Shares                 X                 1        600   0       0
TELEFONOS DE
  MEXICO SP ADR L   COMMON STOCK 879403780      34       2370  Shares                          X        1        370   0    2000
TEMPLE INLAND INC   COMMON STOCK 879868107       4        128  Shares                 X                 1        128   0       0
TEMPLE INLAND INC   COMMON STOCK 879868107       3        100  Shares                          X        1        100   0       0
TEMPLETON DRAGON
  FUND INC          COMMON STOCK 88018T101       3        100  Shares                 X                 1          0   0       0
TEMPLETON GLOBAL
  INCOME FUND-DE    COMMON STOCK 880198106     354      37500  Shares                 X                 1          0   0       0
TEREX CORP          COMMON STOCK 880779103      13        947  Shares                 X                 1        947   0       0
TESORO CORP         COMMON STOCK 881609101      19        800  Shares                 X                 1        800   0       0
TESORO LOGISTICS
  LCOM UNT LTD
  PRTNRSHP          COMMON STOCK 88160T107      44       1350  Shares                 X                 1          0   0       0
TESORO LOGISTICS
  LCOM UNT LTD
  PRTNRSHP          COMMON STOCK 88160T107    1612      49000  Shares                 X                 3      49000   0       0
TEVA
  PHARMACEUTICAL
  SPONS ADR         COMMON STOCK 881624209     517      12814  Shares                 X                 1      12814   0       0
TEVA
  PHARMACEUTICAL
  SPONS ADR         COMMON STOCK 881624209     602      14920  Shares                          X        1      14920   0       0
TEXAS CAPITAL
  BANCCOM USD0.01   COMMON STOCK 88224Q107     252       8229  Shares                 X                 1       8229   0       0
TEXAS CAPITAL
  BANCCOM USD0.01   COMMON STOCK 88224Q107    2985      97505  Shares                 X                 3      97505   0       0
TEXAS INSTRUMENTS
  INC               COMMON STOCK 882508104    1489      51155  Shares                 X                 1      51155   0       0
TEXAS INSTRUMENTS
  INC               COMMON STOCK 882508104    1390      47741  Shares                          X        1      44141   0    3600
TEXAS INSTRUMENTS
  INC               COMMON STOCK 882508104      43       1494  Shares                 X                 3       1494   0       0
TEXTRON INC COM     COMMON STOCK 883203101     136       7336  Shares                 X                 1       7336   0       0
TEXTRON INC COM     COMMON STOCK 883203101      11        578  Shares                          X        1        578   0       0
THERMO FISHER
  SCIENTIFIC INC    COMMON STOCK 883556102       6        125  Shares                 X                 1        125   0       0
THERMO FISHER
  SCIENTIFIC INC    COMMON STOCK 883556102      45       1000  Shares                          X        1        400   0     600
3M CO               COMMON STOCK 88579Y101    9254     113226  Shares                 X                 1     112801   0     425
3M CO               COMMON STOCK 88579Y101    7532      92163  Shares                          X        1      82947   0    9216
3M CO               COMMON STOCK 88579Y101      16        195  Shares                 X                 3        195   0       0
3M CO               COMMON STOCK 88579Y101      53        650  Shares                          X        4        650   0       0
TIDEWATER INC       COMMON STOCK 886423102      49       1000  Shares                 X                 1       1000   0       0
TIFFANY & COCOMMON  COMMON STOCK 886547108     374       5638  Shares                 X                 1       5638   0       0
TIFFANY & COCOMMON  COMMON STOCK 886547108      66       1000  Shares                          X        1       1000   0       0
TIFFANY & COCOMMON  COMMON STOCK 886547108    3155      47620  Shares                 X                 3      47620   0       0
TIM HORTONS INC     COMMON STOCK 88706M103     210       4333  Shares                 X                 1       4333   0       0
TIME WARNER INC     COMMON STOCK 887317303     238       6575  Shares                 X                 1       6575   0       0
TIME WARNER INC     COMMON STOCK 887317303      86       2391  Shares                          X        1       2391   0       0
TIME WARNER CABLE
  INC               COMMON STOCK 88732J207      24        373  Shares                 X                 1        373   0       0
TIME WARNER CABLE
  INC               COMMON STOCK 88732J207      17        265  Shares                          X        1        265   0       0
TIME WARNER CABLE
  INC               COMMON STOCK 88732J207     182       2862  Shares                 X                 3       2862   0       0
TOLL BROS INC       COMMON STOCK 889478103      14        700  Shares                          X        1        200   0     500
TOMPKINS FINANCIAL
  CORP              COMMON STOCK 890110109      14        365  Shares                 X                 1        365   0       0
TOOTSIE ROLL
  INDUSTRIES        COMMON STOCK 890516107      64       2701  Shares                 X                 1       2701   0       0
TORONTO- DOMINION
  BANK              COMMON STOCK 891160509       6         82  Shares                 X                 1         82   0       0
TORONTO- DOMINION
  BANK              COMMON STOCK 891160509      44        582  Shares                          X        1        500   0      82
TORTOISE ENERGY
  INFRASTRUCTURE
  CORP              COMMON STOCK 89147L100      20        500  Shares                          X        1          0   0       0
TORTOISE ENERGY
  CAPITAL CORP      COMMON STOCK 89147U100      27       1000  Shares                          X        1       1000   0       0
TORTOISE MLP FUND
  INC               COMMON STOCK 89148B101      77       3000  Shares                 X                 1          0   0       0
TOTAL SA SPONSORED
  ADR               COMMON STOCK 89151E109     252       4926  Shares                 X                 1       4926   0       0
TOTAL SA SPONSORED
  ADR               COMMON STOCK 89151E109      36        710  Shares                          X        1        710   0       0
TOYOTA MOTOR CORP
  SPON ADR          COMMON STOCK 892331307      17        250  Shares                 X                 1        250   0       0
TOYOTA MOTOR CORP
  SPON ADR          COMMON STOCK 892331307      13        200  Shares                          X        1        200   0       0
TRANSACT
  TECHNOLOGIES INC
  COM               COMMON STOCK 892918103       7       1000  Shares                 X                 1       1000   0       0


                                   36 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
TRANSATLANTIC
  HLDGS INC         COMMON STOCK 893521104       1         21  Shares                 X                 1         21   0       0
TRANSATLANTIC
  HLDGS INC         COMMON STOCK 893521104       6        118  Shares                          X        1        118   0       0
TRANSCANADA CORP    COMMON STOCK 89353D107      12        285  Shares                 X                 1        285   0       0
TRANSMONTAIGNE
  PARTNERS LP       COMMON STOCK 89376V100      19        570  Shares                 X                 1        570   0       0
THE TRAVELERS
  COMPANIES INC     COMMON STOCK 89417E109     290       4898  Shares                 X                 1       4898   0       0
THE TRAVELERS
  COMPANIES INC     COMMON STOCK 89417E109     618      10452  Shares                          X        1      10452   0       0
TREDEGAR CORP       COMMON STOCK 894650100      33       1500  Shares                 X                 1       1500   0       0
TREEHOUSE FOODS
  INCCOMMON         COMMON STOCK 89469A104      28        425  Shares                 X                 1        425   0       0
TREEHOUSE FOODS
  INCCOMMON         COMMON STOCK 89469A104     817      12500  Shares                 X                 3      12500   0       0
TRIUMPH GROUP
  INCCOMMON         COMMON STOCK 896818101      56        950  Shares                 X                 1        950   0       0
TRIUMPH GROUP
  INCCOMMON         COMMON STOCK 896818101    1981      33900  Shares                 X                 3      33900   0       0
TUPPERWARE BRANDS
  CORP              COMMON STOCK 899896104      25        450  Shares                          X        1        450   0       0
TYSON FOODS INC COM COMMON STOCK 902494103      13        625  Shares                          X        1        625   0       0
UDR INC REIT        COMMON STOCK 902653104    1596      63571  Shares                 X                 1          0   0       0
UDR INC REIT        COMMON STOCK 902653104     139       5538  Shares                          X        1          0   0       0
UDR INC REIT        COMMON STOCK 902653104      17        672  Shares                 X                 3          0   0       0
UGI CORP            COMMON STOCK 902681105     285       9696  Shares                 X                 1       9696   0       0
UGI CORP            COMMON STOCK 902681105      88       3000  Shares                          X        1       3000   0       0
UIL HOLDINGS
  CORPORATION       COMMON STOCK 902748102      42       1180  Shares                 X                 1       1180   0       0
U S BANCORP DEL
  COM NEW           COMMON STOCK 902973304    3118     115264  Shares                 X                 1     115264   0       0
U S BANCORP DEL
  COM NEW           COMMON STOCK 902973304     325      11997  Shares                          X        1      10452   0    1545
U S BANCORP DEL
  COM NEW           COMMON STOCK 902973304    1019      37699  Shares                 X                 3      33991   0    3708
ULTIMATE SFTWRE
  GRPCOMMON         COMMON STOCK 90385D107      24        375  Shares                 X                 1        375   0       0
ULTIMATE SFTWRE
  GRPCOMMON         COMMON STOCK 90385D107     781      12000  Shares                 X                 3      12000   0       0
ULTRATECH INCCOMMON COMMON STOCK 904034105      21        850  Shares                 X                 1        850   0       0
ULTRATECH INCCOMMON COMMON STOCK 904034105    1027      41800  Shares                 X                 3      41800   0       0
UNDER ARMOUR
  INC-CLASS A       COMMON STOCK 904311107      20        280  Shares                 X                 1        280   0       0
UNDER ARMOUR
  INC-CLASS A       COMMON STOCK 904311107       5         70  Shares                          X        1         70   0       0
UNILEVER PLC
  SPONSORED ADR     COMMON STOCK 904767704      76       2268  Shares                 X                 1       2268   0       0
UNILEVER PLC
  SPONSORED ADR     COMMON STOCK 904767704     168       5014  Shares                          X        1       2014   0    3000
UNILEVER NV NY
  SHARES            COMMON STOCK 904784709     212       6171  Shares                 X                 1       6171   0       0
UNILEVER NV NY
  SHARES            COMMON STOCK 904784709      92       2680  Shares                          X        1       2680   0       0
UNION PACIFIC CORP
  COM               COMMON STOCK 907818108    3576      33756  Shares                 X                 1      33440   0     316
UNION PACIFIC CORP
  COM               COMMON STOCK 907818108    1100      10382  Shares                          X        1      10382   0       0
UNITED PARCEL
  SERVICE CL B      COMMON STOCK 911312106    5670      77475  Shares                 X                 1      76800   0     675
UNITED PARCEL
  SERVICE CL B      COMMON STOCK 911312106    1062      14510  Shares                          X        1      13547   0     963
UNITED PARCEL
  SERVICE CL B      COMMON STOCK 911312106    1770      24190  Shares                 X                 3      21053   0    3137
UNITED RENTAL
  INCCOMMON         COMMON STOCK 911363109      63       2125  Shares                 X                 1       2125   0       0
UNITED RENTAL
  INCCOMMON         COMMON STOCK 911363109    2275      77000  Shares                 X                 3      77000   0       0
US GOLD CORP        COMMON STOCK 912023207       1        400  Shares                 X                 1        400   0       0
UNITED STATES OIL
  FD LP             COMMON STOCK 91232N108      19        500  Shares                 X                 1          0   0       0
UNITED STS STL
  CORP NEW          COMMON STOCK 912909108     189       7127  Shares                 X                 1       7127   0       0
UNITED STS STL
  CORP NEW          COMMON STOCK 912909108      15        554  Shares                          X        1        535   0      19
US STEEL CORP CONV
  4.000% 5/15/14 *  COMMON STOCK 912909AE8       4       4000  Shares                 X                 1          0   0       0
UNITED
  TECHNOLOGIES
  CORP COM          COMMON STOCK 913017109    4680      64037  Shares                 X                 1      62987   0    1050
UNITED
  TECHNOLOGIES
  CORP COM          COMMON STOCK 913017109    3210      43921  Shares                          X        1      43021   0     900
UNITEDHEALTH GRP
  INCCOMMON         COMMON STOCK 91324P102    4730      93331  Shares                 X                 1      92981   0     350
UNITEDHEALTH GRP
  INCCOMMON         COMMON STOCK 91324P102     283       5581  Shares                          X        1       3491   0    2090
UNITEDHEALTH GRP
  INCCOMMON         COMMON STOCK 91324P102    2805      55343  Shares                 X                 3      51780   0    3563
UNIVERSAL DISPLAY
  CPCOMMON          COMMON STOCK 91347P105      80       2175  Shares                 X                 1       2175   0       0
UNIVERSAL DISPLAY
  CPCOMMON          COMMON STOCK 91347P105    1174      32000  Shares                 X                 3      32000   0       0
UNIVEST CORP OF PA  COMMON STOCK 915271100      32       2210  Shares                 X                 1       2210   0       0


                                   37 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
URBAN OUTFITTERS
  INC               COMMON STOCK 917047102       1         50  Shares                 X                 1         50   0        0
URSTADT BIDDLE
  PPTYS INC CL A
  (REIT)            COMMON STOCK 917286205      54       3000  Shares                          X        1          0   0        0
V F CORP            COMMON STOCK 918204108     264       2078  Shares                 X                 1       2078   0        0
V F CORP            COMMON STOCK 918204108      16        125  Shares                          X        1        125   0        0
VIST FINANCIAL CORP COMMON STOCK 918255100       3        500  Shares                 X                 1        500   0        0
VALE SA             COMMON STOCK 91912E105      45       2100  Shares                 X                 1       2100   0        0
VALE SA             COMMON STOCK 91912E105      17        800  Shares                          X        1        800   0        0
VALERO ENERGY CORP
  COM               COMMON STOCK 91913Y100      11        544  Shares                 X                 1        544   0        0
VALERO ENERGY CORP
  COM               COMMON STOCK 91913Y100      21       1000  Shares                          X        1       1000   0        0
VANGUARD DVD
  APPRECIATION
  INDEX FD          COMMON STOCK 921908844      48        875  Shares                 X                 1          0   0        0
VANGUARD SHORT-
  TERM BD ETF       COMMON STOCK 921937827       8        100  Shares                 X                 1          0   0        0
VANGUARD SHORT-
  TERM BD ETF       COMMON STOCK 921937827      13        155  Shares                          X        1          0   0        0
VANGUARD SHORT-
  TERM BD ETF       COMMON STOCK 921937827    5272      65215  Shares                          X        3          0   0        0
VANGUARD TOTAL
  BOND MKT ETF      COMMON STOCK 921937835    3458      41394  Shares                 X                 1          0   0        0
VANGUARD TOTAL
  BOND MKT ETF      COMMON STOCK 921937835     323       3871  Shares                          X        1          0   0        0
VANGUARD TOTAL
  BOND MKT ETF      COMMON STOCK 921937835    3157      37790  Shares                 X                 3          0   0        0
VANGUARD HIGH
  DIVIDEND YIELD
  ETF               COMMON STOCK 921946406    6427     142007  Shares                 X                 1          0   0        0
VANGUARD HIGH
  DIVIDEND YIELD
  ETF               COMMON STOCK 921946406     189       4183  Shares                          X        1          0   0        0
VANGUARD HIGH
  DIVIDEND YIELD
  ETF               COMMON STOCK 921946406    8158     180249  Shares                 X                 3       8865   0        0
VANGUARD MSCI
  EMERGING MKTS ETF COMMON STOCK 922042858      23        611  Shares                 X                 1          0   0        0
VANGUARD MSCI
  EMERGING MKTS ETF COMMON STOCK 922042858      69       1802  Shares                          X        1          0   0        0
VANGUARD MSCI
  EMERGING MKTS ETF COMMON STOCK 922042858     218       5710  Shares                 X                 3          0   0        0
VANGUARD UTILITIES
  ETF               COMMON STOCK 92204A876       4         50  Shares                 X                 1          0   0        0
VEECO INSTRUMENTS
  INC               COMMON STOCK 922417100       3        150  Shares                 X                 1        150   0        0
VANGUARD VALUE ETF  COMMON STOCK 922908744     111       2112  Shares                 X                 1          0   0        0
VANGUARD SMALL-CAP
  ETF               COMMON STOCK 922908751       9        124  Shares                 X                 1          0   0        0
VANGUARD TOTAL
  STOCK MARKET ETF  COMMON STOCK 922908769      47        728  Shares                 X                 1          0   0        0
VERA BRADLEY
  INCCOMMON NPV     COMMON STOCK 92335C106      17        525  Shares                 X                 1        525   0        0
VERA BRADLEY
  INCCOMMON NPV     COMMON STOCK 92335C106     603      18700  Shares                 X                 3      18700   0        0
VERIZON
  COMMUNICATIONS
  COM               COMMON STOCK 92343V104   19766     492662  Shares                 X                 1     485899   0     6763
VERIZON
  COMMUNICATIONS
  COM               COMMON STOCK 92343V104    8215     204749  Shares                          X        1     193705   0    11044
VERIZON
  COMMUNICATIONS
  COM               COMMON STOCK 92343V104    2060      51337  Shares                 X                 3      44884   0     6453
VIACOM INC-CLASS B  COMMON STOCK 92553P201     128       2826  Shares                 X                 1       2826   0        0
VIACOM INC-CLASS B  COMMON STOCK 92553P201     211       4646  Shares                          X        1       2246   0     2400
VIROPHARMA INC      COMMON STOCK 928241108      41       1500  Shares                 X                 1       1500   0        0
VIRTUALSCOPICS INC  COMMON STOCK 928269109       8       8400  Shares                 X                 1          0   0     8400
VISA INC            COMMON STOCK 92826C839    2448      24115  Shares                 X                 1      23709   0      406
VISA INC            COMMON STOCK 92826C839     475       4674  Shares                          X        1       4674   0        0
VISA INC            COMMON STOCK 92826C839      17        164  Shares                 X                 3        164   0        0
VISTEON CORP        COMMON STOCK 92839U206       0          4  Shares                          X        1          4   0        0
VITESSE
  SEMICONDUCTOR
  CORP              COMMON STOCK 928497304       0          8  Shares                 X                 1          8   0        0
VITAMIN SHOPPE
  INCCOMMON         COMMON STOCK 92849E101     244       6118  Shares                 X                 1       6118   0        0
VITAMIN SHOPPE
  INCCOMMON         COMMON STOCK 92849E101    2812      70520  Shares                 X                 3      70520   0        0
VMWARE INC          COMMON STOCK 928563402      31        375  Shares                 X                 1        375   0        0
VODAFONE GROUP
  PLC--SP ADR       COMMON STOCK 92857W209     790      28171  Shares                 X                 1      26171   0     2000
VODAFONE GROUP
  PLC--SP ADR       COMMON STOCK 92857W209     222       7935  Shares                          X        1       7774   0      161
VODAFONE GROUP
  PLC--SP ADR       COMMON STOCK 92857W209      34       1200  Shares                          X        4       1200   0        0
VOCUS INCCOM STK
  USD0.01           COMMON STOCK 92858J108      44       1975  Shares                 X                 1       1975   0        0
VOCUS INCCOM STK
  USD0.01           COMMON STOCK 92858J108    1602      72500  Shares                 X                 3      72500   0        0
VOLCANO
  CORPORATIONCOMMON COMMON STOCK 928645100      48       2000  Shares                 X                 1       2000   0        0
VOLCANO
  CORPORATIONCOMMON COMMON STOCK 928645100    1713      72000  Shares                 X                 3      72000   0        0
VULCAN MATERIAL COM COMMON STOCK 929160109      75       1902  Shares                 X                 1       1902   0        0


                                   38 of 41



                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
VULCAN MATERIAL COM COMMON STOCK 929160109      12        316  Shares                          X        1        316    0      0
WD 40 CO COM        COMMON STOCK 929236107      16        400  Shares                 X                 1        400    0      0
WD 40 CO COM        COMMON STOCK 929236107       8        200  Shares                          X        1        200    0      0
WGL HLDGS INC COM   COMMON STOCK 92924F106      31        700  Shares                 X                 1        700    0      0
WGL HLDGS INC COM   COMMON STOCK 92924F106      17        385  Shares                          X        1        385    0      0
W P CAREY & CO LLC  COMMON STOCK 92930Y107       8        200  Shares                 X                 1          0    0      0
W P CAREY & CO LLC  COMMON STOCK 92930Y107      16        400  Shares                          X        1          0    0      0
WAL MART STORES
  INCCOMMON         COMMON STOCK 931142103   12014     201032  Shares                 X                 1     199542    0   1490
WAL MART STORES
  INCCOMMON         COMMON STOCK 931142103    3954      66164  Shares                          X        1      60670    0   5494
WAL MART STORES
  INCCOMMON         COMMON STOCK 931142103    2599      43509  Shares                 X                 3      40573    0   2936
WALGREEN CO         COMMON STOCK 931422109     401      12138  Shares                 X                 1      12138    0      0
WALGREEN CO         COMMON STOCK 931422109     174       5268  Shares                          X        1       5198    0     70
WALGREEN CO         COMMON STOCK 931422109       0          1  Shares                 X                 3          1    0      0
WALTER ENERGY
  INCCOMMON         COMMON STOCK 93317Q105     212       3506  Shares                 X                 1       3506    0      0
WALTER ENERGY
  INCCOMMON         COMMON STOCK 93317Q105    2445      40370  Shares                 X                 3      40370    0      0
WASHINGTON REAL
  ESTATE INVT
  (REIT)            COMMON STOCK 939653101       5        200  Shares                 X                 1          0    0      0
WASHINGTON REAL
  ESTATE INVT
  (REIT)            COMMON STOCK 939653101      14        500  Shares                          X        1          0    0      0
WASTE CONNECTIONS
  ICOMMON           COMMON STOCK 941053100     242       7290  Shares                 X                 1       7290    0      0
WASTE CONNECTIONS
  ICOMMON           COMMON STOCK 941053100    2767      83490  Shares                 X                 3      83490    0      0
WASTE MANAGEMENT
  INC               COMMON STOCK 94106L109      74       2250  Shares                 X                 1       2250    0      0
WASTE MANAGEMENT
  INC               COMMON STOCK 94106L109     176       5385  Shares                          X        1       2085    0   3300
WATERS CORP COM     COMMON STOCK 941848103     187       2532  Shares                 X                 1       2532    0      0
WATSON
  PHARMACEUTICALS
  INC COM           COMMON STOCK 942683103      92       1526  Shares                          X        1        763  763      0
WEBSENSE INCCOMMON  COMMON STOCK 947684106      34       1800  Shares                 X                 1       1800    0      0
WEBSENSE INCCOMMON  COMMON STOCK 947684106    1217      65000  Shares                 X                 3      65000    0      0
WEIS MARKETS INC    COMMON STOCK 948849104      46       1150  Shares                 X                 1        900    0    250
WELLPOINT INC       COMMON STOCK 94973V107      35        525  Shares                 X                 1        525    0      0
WELLS FARGO & CO    COMMON STOCK 949746101    8574     311100  Shares                 X                 1     308395    0   2705
WELLS FARGO & CO    COMMON STOCK 949746101    2611      94729  Shares                          X        1      90322    0   4407
WELLS FARGO & CO    COMMON STOCK 949746101     169       6126  Shares                 X                 3       6126    0      0
WELLS FARGO & CO    COMMON STOCK 949746101      55       2000  Shares                          X        4       2000    0      0
WELLS FARGO PFD
  CONV 7.50% SER L  COMMON STOCK 949746804      53         50  Shares                          X        1          0    0      0
WELLS FARGO
  ADVANTAGE INCOME  COMMON STOCK 94987B105      51       5035  Shares                 X                 1          0    0      0
WELLS FARGO ADV
  GLOBAL DIV OPP FD COMMON STOCK 94987C103      17       2250  Shares                 X                 1          0    0      0
WELLS FARGO
  ADVANTAGE
  MULTI-SECTOR      COMMON STOCK 94987D101       0         15  Shares                 X                 1          0    0      0
WENDY'S CO/THE      COMMON STOCK 95058W100      73      13600  Shares                 X                 1      13600    0      0
WESTERN ASSET
  EMERGING MARKETS  COMMON STOCK 95766A101       5        250  Shares                 X                 1          0    0      0
WESTERN ASSET
  EMERGING MARKETS  COMMON STOCK 95766A101      11        600  Shares                          X        1          0    0      0
WESTERN ASSET
  INFLATION MGMT FD COMMON STOCK 95766U107      16        887  Shares                 X                 1          0    0      0
WESTN DIGITAL CORP  COMMON STOCK 958102105      15        500  Shares                 X                 1        500    0      0
WESTERN GAS
  PARTNERS LP       COMMON STOCK 958254104     124       3000  Shares                 X                 1       3000    0      0
WESTERN GAS
  PARTNERS LP       COMMON STOCK 958254104      16        378  Shares                          X        1        378    0      0
WESTERN UNION
  COMPANY           COMMON STOCK 959802109     136       7437  Shares                 X                 1       7437    0      0
WESTERN UNION
  COMPANY           COMMON STOCK 959802109     102       5577  Shares                          X        1       5577    0      0
WEYERHAEUSER CO COM COMMON STOCK 962166104      44       2370  Shares                 X                 1       2370    0      0
WEYERHAEUSER CO COM COMMON STOCK 962166104     150       8014  Shares                          X        1       5915    0   2099
WHIRLPOOL CORP COM  COMMON STOCK 963320106      12        254  Shares                          X        1        254    0      0
WHITESTONE REIT-B   COMMON STOCK 966084204      24       2000  Shares                 X                 1          0    0      0
WHITING PETE
  CORPCOMMON NEW    COMMON STOCK 966387102     323       6909  Shares                 X                 1       6909    0      0
WHITING PETE
  CORPCOMMON NEW    COMMON STOCK 966387102    3667      78550  Shares                 X                 3      78550    0      0
WHOLE FOODS
  MARKETCOMMON
  STOCK             COMMON STOCK 966837106     426       6124  Shares                 X                 1       6124    0      0
WHOLE FOODS
  MARKETCOMMON
  STOCK             COMMON STOCK 966837106    2246      32284  Shares                 X                 3      32284    0      0


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                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   ------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                    
WILLIAMS COMPANY
  INC (THE)         COMMON STOCK 969457100      12       374   Shares                 X                 1       374   0        0
WILLIAMS COMPANY
  INC (THE)         COMMON STOCK 969457100      40      1200   Shares                          X        1         0   0     1200
WINDSTREAM CORP     COMMON STOCK 97381W104     101      8575   Shares                 X                 1      8575   0        0
WINDSTREAM CORP     COMMON STOCK 97381W104      76      6510   Shares                          X        1      6210   0      300
WISCONSIN ENERGY
  CORP COM          COMMON STOCK 976657106     208      5950   Shares                 X                 1      5950   0        0
WISCONSIN ENERGY
  CORP COM          COMMON STOCK 976657106     110      3150   Shares                          X        1      3150   0        0
WISDOMTREE
  EMERGING MKTS EQ
  INC               COMMON STOCK 97717W315    3783     73789   Shares                 X                 1         0   0        0
WISDOMTREE
  EMERGING MKTS EQ
  INC               COMMON STOCK 97717W315      18       347   Shares                          X        1         0   0        0
WISDOMTREE INTL
  REAL ES FD        COMMON STOCK 97717W331     140      6015   Shares                 X                 1         0   0        0
WISDOMTREE JAPAN
  S/C DVD FUND      COMMON STOCK 97717W836      42      1000   Shares                          X        1         0   0        0
WISDOMTREE MIDDLE
  EAST DIVID FD     COMMON STOCK 97717X305      15      1000   Shares                 X                 1         0   0        0
WORLD FUEL
  SERVICES
  CORPORATION       COMMON STOCK 981475106     107      2550   Shares                 X                 1      2550   0        0
WORTHINGTON INDS
  INC COM           COMMON STOCK 981811102     213     13000   Shares                          X        1         0   0    13000
WRIGHT EXPRESS
  CORPCOMMON        COMMON STOCK 98233Q105      46       850   Shares                 X                 1       850   0        0
WRIGHT EXPRESS
  CORPCOMMON        COMMON STOCK 98233Q105    1683     31000   Shares                 X                 3     31000   0        0
WYNDHAM WORLDWIDE
  CORP              COMMON STOCK 98310W108      11       300   Shares                 X                 1       300   0        0
WYNDHAM WORLDWIDE
  CORP              COMMON STOCK 98310W108      13       333   Shares                          X        1       333   0        0
WYNN RESORTS
  LIMITED           COMMON STOCK 983134107      11       100   Shares                 X                 1       100   0        0
XCEL ENERGY INC COM COMMON STOCK 98389B100      53      1900   Shares                 X                 1      1900   0        0
XCEL ENERGY INC COM COMMON STOCK 98389B100     228      8264   Shares                          X        1      8264   0        0
XILINX COM          COMMON STOCK 983919101       4       126   Shares                 X                 1       126   0        0
XEROX CORP          COMMON STOCK 984121103      26      3275   Shares                 X                 1      3275   0        0
XEROX CORP          COMMON STOCK 984121103      16      2000   Shares                          X        1      2000   0        0
XFONE INC           COMMON STOCK 98414Y109       0       275   Shares                 X                 1       275   0        0
XYLEM INC-W/I       COMMON STOCK 98419M100      13       500   Shares                 X                 1       500   0        0
XYLEM INC-W/I       COMMON STOCK 98419M100      67      2620   Shares                          X        1      2620   0        0
YAHOO INC COM       COMMON STOCK 984332106      16       970   Shares                 X                 1       970   0        0
YAHOO INC COM       COMMON STOCK 984332106      16      1000   Shares                          X        1      1000   0        0
YAMANA GOLD INC     COMMON STOCK 98462Y100       1        50   Shares                          X        1         0   0       50
YORK WATER COMPANY  COMMON STOCK 987184108    1120     63486   Shares                 X                 1     63486   0        0
YORK WATER COMPANY  COMMON STOCK 987184108    1349     76452   Shares                          X        1     76202   0      250
YUM! BRANDS INC     COMMON STOCK 988498101     568      9629   Shares                 X                 1      9629   0        0
YUM! BRANDS INC     COMMON STOCK 988498101     636     10770   Shares                          X        1      8570   0     2200
ZIMMER HLDGS INC
  COM               COMMON STOCK 98956P102     451      8441   Shares                 X                 1      8441   0        0
ZIMMER HLDGS INC
  COM               COMMON STOCK 98956P102     363      6794   Shares                          X        1      5744   0     1050
ZIMMER HLDGS INC
  COM               COMMON STOCK 98956P102       9       161   Shares                 X                 3       161   0        0
ZIONS
  BANCORPORATION
  COM               COMMON STOCK 989701107      30      1820   Shares                 X                 1      1820   0        0
ZIONS
  BANCORPORATION
  COM               COMMON STOCK 989701107      10       625   Shares                          X        1       625   0        0
ZOLL MED CORPCOMMON COMMON STOCK 989922109      63      1000   Shares                 X                 1      1000   0        0
ZOLL MED CORPCOMMON COMMON STOCK 989922109    2274     36000   Shares                 X                 3     36000   0        0
DEUTSCHE BANK
  AG-REG            COMMON STOCK D18190898       3        72   Shares                 X                 1        72   0        0
ALKERMES PLC        COMMON STOCK G01767105      17      1000   Shares                 X                 1      1000   0        0
AMDOCS LIMITED      COMMON STOCK G02602103      11       375   Shares                 X                 1       375   0        0
ACCENTURE PLC- CL A COMMON STOCK G1151C101     449      8434   Shares                 X                 1      8334   0      100
ACCENTURE PLC- CL A COMMON STOCK G1151C101     578     10860   Shares                          X        1     10725   0      135
CHINA YUCHAI
  INTERNATIONAL LTD COMMON STOCK G21082105      12       900   Shares                 X                 1       900   0        0
COOPER INDUSTRIES
  PLC CL A          COMMON STOCK G24140108      54      1000   Shares                 X                 1      1000   0        0
COVIDIEN PLC        COMMON STOCK G2554F113     105      2322   Shares                 X                 1      2247   0       75
COVIDIEN PLC        COMMON STOCK G2554F113      81      1807   Shares                          X        1      1004   0      803
EVEREST RE GROUP
  LTD COM           COMMON STOCK G3223R108       8        98   Shares                 X                 1        98   0        0
GENPACT LTD         COMMON STOCK G3922B107       6       425   Shares                 X                 1       425   0        0
HERBALIFE LTDCOMMON COMMON STOCK G4412G101     321      6206   Shares                 X                 1      6206   0        0


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                                    SEC USE



                      COLUMN 2   COLUMN 3   COLUMN 4         COLUMN 5                COLUMN 6        COLUMN 7      COLUMN 8
                                                       SHARES                  INVESTMENT AUTHORITY
                                                         OR     SHARES   PUT  ----------------------           VOTING AUTHORITY
                      TITLE OF               VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER   -------------------
NAME OF ISSUER         CLASS      CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
HERBALIFE LTDCOMMON COMMON STOCK G4412G101     3693      71480 Shares                 X                 3      71480   0       0
INGERSOLL-RAND
  PUBLIC LTD CO     COMMON STOCK G47791101       18        588 Shares                 X                 1        588   0       0
INGERSOLL-RAND
  PUBLIC LTD CO     COMMON STOCK G47791101      142       4670 Shares                          X        1       4670   0       0
INVESCO LIMITED     COMMON STOCK G491BT108        3        141 Shares                 X                 1        141   0       0
MARVEL TECHNOLOGY
  GROUP LTD         COMMON STOCK G5876H105        3        200 Shares                          X        1        200   0       0
NABORS INDUSTRIES
  LTD               COMMON STOCK G6359F103      180      10380 Shares                 X                 1      10380   0       0
NABORS INDUSTRIES
  LTD               COMMON STOCK G6359F103      148       8555 Shares                          X        1       8555   0       0
SEADRILL LTD        COMMON STOCK G7945E105        3         76 Shares                 X                 1         76   0       0
VALIDUS HOLDINGS
  LTD               COMMON STOCK G9319H102        1         36 Shares                 X                 1         36   0       0
GOLAR LNG LTDSHARES COMMON STOCK G9456A100       47       1050 Shares                 X                 1       1050   0       0
GOLAR LNG LTDSHARES COMMON STOCK G9456A100     1667      37500 Shares                 X                 3      37500   0       0
WHITE MOUNTAINS
  INSURANCE GROUP
  LTD               COMMON STOCK G9618E107     1822       4018 Shares                 X                 1       3958   0      60
WHITE MOUNTAINS
  INSURANCE GROUP
  LTD               COMMON STOCK G9618E107      141        312 Shares                          X        1        312   0       0
WHITE MOUNTAINS
  INSURANCE GROUP
  LTD               COMMON STOCK G9618E107       20         44 Shares                 X                 3         44   0       0
XL GROUP PLC        COMMON STOCK G98290102        5        229 Shares                 X                 1        229   0       0
XL GROUP PLC        COMMON STOCK G98290102        6        300 Shares                          X        1        300   0       0
ACE LTD             COMMON STOCK H0023R105     3007      42878 Shares                 X                 1      42878   0       0
ACE LTD             COMMON STOCK H0023R105      429       6125 Shares                          X        1       5713   0     412
ACE LTD             COMMON STOCK H0023R105      969      13820 Shares                 X                 3      11460   0    2360
WEATHERFORD INTL
  LTDCOMMON         COMMON STOCK H27013103      826      56430 Shares                 X                 1      56430   0       0
WEATHERFORD INTL
  LTDCOMMON         COMMON STOCK H27013103       98       6704 Shares                          X        1       6704   0       0
WEATHERFORD INTL
  LTDCOMMON         COMMON STOCK H27013103     1646     112458 Shares                 X                 3     112458   0       0
FOSTER WHEELER AG   COMMON STOCK H27178104      267      13940 Shares                 X                 1      13940   0       0
FOSTER WHEELER AG   COMMON STOCK H27178104       35       1820 Shares                          X        1       1820   0       0
NOBLE CORPORATION   COMMON STOCK H5833N103      121       4000 Shares                 X                 1       4000   0       0
NOBLE CORPORATION   COMMON STOCK H5833N103       20        650 Shares                          X        1        650   0       0
TE CONNECTIVITY LTD COMMON STOCK H84989104       46       1491 Shares                 X                 1       1491   0       0
TE CONNECTIVITY LTD COMMON STOCK H84989104       27        890 Shares                          X        1        890   0       0
TRANSOCEAN LIMITED  COMMON STOCK H8817H100     2358      61413 Shares                 X                 1      60298   0    1115
TRANSOCEAN LIMITED  COMMON STOCK H8817H100      341       8888 Shares                          X        1       6852   0    2036
TRANSOCEAN LIMITED  COMMON STOCK H8817H100      606      15785 Shares                 X                 3      13249   0    2536
TYCO INTERNATIONAL
  LTD               COMMON STOCK H89128104       71       1530 Shares                 X                 1       1530   0       0
TYCO INTERNATIONAL
  LTD               COMMON STOCK H89128104       67       1424 Shares                          X        1        621   0     803
UBS AG              COMMON STOCK H89231338       11        906 Shares                 X                 1        906   0       0
UBS AG              COMMON STOCK H89231338        5        450 Shares                          X        1        450   0       0
ALLOT
  COMMUNICATIONS
  COMMON            COMMON STOCK M0854Q105       43       2800 Shares                 X                 1       2800   0       0
ALLOT
  COMMUNICATIONS
  COMMON            COMMON STOCK M0854Q105     1528     100500 Shares                 X                 3     100500   0       0
CERAGON NETWORKS
  LTD               COMMON STOCK M22013102        4        562 Shares                 X                 1        562   0       0
AERCAP HOLDINGS NV  COMMON STOCK N00985106        6        500 Shares                 X                 1        500   0       0
CORE LABORATORIES
  COMMON            COMMON STOCK N22717107      306       2686 Shares                 X                 1       2686   0       0
CORE LABORATORIES
  COMMON            COMMON STOCK N22717107     3201      28090 Shares                 X                 3      28090   0       0
LYONDELLBASELL
  INDUSTRIES NV     COMMON STOCK N53745100       65       2000 Shares                          X        1       2000   0       0
SENSATA
  TECHNOLOGIES
  HLDG NV           COMMON STOCK N7902X106        7        250 Shares                 X                 1        250   0       0
COPA HOLDINGSCLASS
  A                 COMMON STOCK P31076105       35        600 Shares                 X                 1        600   0       0
COPA HOLDINGSCLASS
  A                 COMMON STOCK P31076105     1261      21500 Shares                 X                 3      21500   0       0
DRYSHIPS INC        COMMON STOCK Y2109Q101        2       1000 Shares                 X                 1       1000   0       0
FLEXTRONICS INTL
  LTD               COMMON STOCK Y2573F102       10       1700 Shares                          X        1       1700   0       0
OCEAN RIG UDW
  INC--W/I          COMMON STOCK Y64354205        0          7 Shares                 X                 1          7   0       0
SEASPAN CORP        COMMON STOCK Y75638109       63       5500 Shares                          X        1       5500   0       0

                                            2477779   64293132


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