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

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 06/30/2012

Check here if Amendment [_] Amendment Number:

This Amendment [_] is a restatement

Institutional Investment Manager Filing this Report:

Name:       TEXAS CAPITAL BANCSHARES
Address:    2000 MCKINNEY AVE, STE 700
            DALLAS, TX 75201

13F File Number: 028-11275

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

Person Signing this Report on Behalf of Reporting Manager:

Name:   DAVID A. FOLZ
Title:  EXECUTIVE VICE PRESIDENT
Phone:  214-932-6625

Signature, Place, and Date of Signing: /s/ David A. Folz

1                 DALLAS, TX           07/05/2012

Report Type (Check only one)

     [X]   13F HOLDINGS REPORT
     [_]   13F COMBINATION REPORT




                           FORM 13F INFORMATION TABLE



                                             VALUE     SHS                                         VOTING AUTHORITY
NAME OF ISSUER        TITLE                    X       PRN    SH   PUT    INVSTMT    OTHER     ------------------------
SECURITY NAME        OF CLASS       CUSIP    $1000    AMOUNT  PRN  CALL   DISCRTN   MANAGERS   SOLE     SHARED     NONE
----------------   ------------   ---------  ------   ------  ---  ----   -------   --------   -----    ------     ----
                                                                                  
ABB LTD SPONSORED  COMMON STOCK   000375204     322     19755 SH          SOLE                           19755
ADR
AFLAC INC COM      COMMON STOCK   001055102     406      9535 SH          SOLE                            9535
ABBOTT LABS        COMMON STOCK   002824100    1122     17397 SH          SOLE                           17397
                                                 63       980 SH          OTHER                            980

ADECCO S.A.        COMMON STOCK   006754204     226     10212 SH          SOLE                           10212
ADIDAS AG ADR      COMMON STOCK   00687A107     384     10720 SH          SOLE                           10720
ADOBE SYS INC COM  COMMON STOCK   00724F101     628     19400 SH          SOLE                           19400
                                                 49      1500 SH          OTHER                           1500

AETNA INC NEW COM  COMMON STOCK   00817Y108     508     13108 SH          SOLE                           13108
                                                 15       380 SH          OTHER                            380

AIR LIQUIDE ADR    COMMON STOCK   009126202     249     10956 SH          SOLE                           10956
ALLIANZ SE SP ADR  FOREIGN STOCK  018805101     336     33622 SH          SOLE                           33622
1/10 SH
AMPHENOL CORP NEW  COMMON STOCK   032095101     646     11760 SH          SOLE                           11760
CL A
                                                 49       900 SH          OTHER                            900

ARCHER DANIELS     COMMON STOCK   039483102     530     17944 SH          SOLE                           17944
MIDLAND CO
                                                 15       525 SH          OTHER                            525

AUTOMATIC DATA     COMMON STOCK   053015103     571     10260 SH          SOLE                           10260
PROCESSING INCOM
                                                 45       800 SH          OTHER                            800

AXA SPONSORED ADR  COMMON STOCK   054536107     284     21370 SH          SOLE                           21370
BASF-SE            COMMON STOCK   055262505     291      4194 SH          SOLE                            4194
BG PLC ADR FIN     COMMON STOCK   055434203     428     20844 SH          SOLE                           20844

COLUMN TOTALS                                  7167


                                     Page 2



                           FORM 13F INFORMATION TABLE



                                              VALUE      SHS                                         VOTING AUTHORITY
NAME OF ISSUER        TITLE                     X        PRN   SH   PUT    INVSTMT     OTHER      ------------------------
SECURITY NAME        OF CLASS        CUSIP    $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS    SOLE     SHARED     NONE
----------------   ------------    ---------  ------   ------- ---  ----   -------    --------    -----    ------     ----
                                                                                     
BG PLC ADR FIN     COMMON STOCK    055434203     428     20844 SH
BSD MED CORP DEL   COMMON STOCK    055662100     129     78470 SH          SOLE                   78470
COM
BANCO SANTANDER    COMMON STOCK    05965X109     433      5582 SH          SOLE                              5582
CHILE NEW SP ADR
BARD C R INC COM   COMMON STOCK    067383109     394      3670 SH          SOLE                              3670
                                                  32       300 SH          OTHER                              300

BARCLAYS BK PLC    MASTER LIMITED  06738C778   29879    743617 PRN         SOLE                  743617
                   PARTNERSHIPS
                                                 620     15430 PRN         OTHER                  11615
                                                                           OTHER                             3815

BARCLAYS PLC       COMMON STOCK    06738E204     383     37141 SH          SOLE                             37141
BAXTER INTL INC    COMMON STOCK    071813109     546     10274 SH          SOLE                             10274
COM
                                                  16       300 SH          OTHER                              300

BAYER A G          COMMON STOCK    072730302     307      4292 SH          SOLE                              4292
SPONSORED ADR
BECTON DICKINSON   COMMON STOCK    075887109     568      7600 SH          SOLE                              7600
& CO COM
                                                  45       600 SH          OTHER                              600

BHP BILLITON LTD   COMMON STOCK    088606108     358      5476 SH          SOLE                              5476
SPONSORED ADR
BRITISH AMERN TOB  COMMON STOCK    110448107     401      3922 SH          SOLE                              3922
PLC SPONSORED
C H ROBINSON       COMMON STOCK    12541W209     464      7920 SH          SOLE                              7920
WORLDWIDE INC COM
                                                  35       600 SH          OTHER                              600


COLUMN TOTALS                                  34610


                                     Page 3



                           FORM 13F INFORMATION TABLE



                                             VALUE     SHS                                         VOTING AUTHORITY
NAME OF ISSUER        TITLE                    X       PRN    SH   PUT    INVSTMT     OTHER     ------------------------
SECURITY NAME        OF CLASS      CUSIP     $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS   SOLE     SHARED     NONE
----------------   ------------   ---------  ------   ------- ---  ----   -------    --------   -----    ------     ----
                                                                                   
CSL LIMITED ADR    COMMON STOCK   12637N105     373     18381 SH          SOLE                            18381
CVS                COMMON STOCK   126650100     358      7663 SH          SOLE                             7663
                                                 10       220 SH          OTHER                             220

CANADIAN NATURAL   COMMON STOCK   136385101     203      7548 SH          SOLE                             7548
RESOURCES
CANON INC ADR      COMMON STOCK   138006309     348      8707 SH          SOLE                             8707
CARNIVAL CORP      COMMON STOCK   143658300     599     17475 SH          SOLE                            17475
PAIRED CTF
                                                 18       520 SH          OTHER                             520

CHEVRON CORP COM   COMMON STOCK   166764100     709      6724 SH          SOLE                    390
                                                                          SOLE                             6334

                                                 22       210 SH          OTHER                             210

CLP HOLDINGS LTD   COMMON STOCK   18946Q101     221     26311 SH          SOLE                            26311
SPONSORED ADR
COCA COLA CO COM   COMMON STOCK   191216100    1153     14740 SH          SOLE                  11000
                                                                          SOLE                             3740

                                                 23       300 SH          OTHER                             300

COCA COLA          COMMON STOCK   1912EP104     297     16770 SH          SOLE                            16770
HELLENIC BTTLG CO
COGNIZANT          COMMON STOCK   192446102     669     11150 SH          SOLE                            11150
TECHNOLOGY
SOLUTIOCL A                                      54       900 SH          OTHER                             900
COLGATE PALMOLIVE  COMMON STOCK   194162103     643      6180 SH          SOLE                             6180
CO COM
                                                 52       500 SH          OTHER                             500


COLUMN TOTALS                                  5752


                                     Page 4



                           FORM 13F INFORMATION TABLE



                                                VALUE     SHS                                          VOTING AUTHORITY
NAME OF ISSUER         TITLE                      X       PRN    SH   PUT    INVSTMT     OTHER      ------------------------
SECURITY NAME         OF CLASS        CUSIP     $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS    SOLE     SHARED     NONE
----------------   ---------------   ---------  ------   ------- ---  ----   -------    --------    -----    ------     ----
                                                                                       
AMBEV-CIA DE       PREFERRED STOCK   20441W203     304      7931 SH          SOLE                              7931
BEBIDAS DAS
COMPASS GROUP PLC  COMMON STOCK      20449X203     161     15044 SH          SOLE                             15044
CORNING INC COM    COMMON STOCK      219350105     339     26244 SH          SOLE                             26244
                                                    10       760 SH          OTHER                              760

DANONE SPONSORED   COMMON STOCK      23636T100     203     16410 SH          SOLE                             16410
ADR
DASSAULT SYS S A   COMMON STOCK      237545108     441      4690 SH          SOLE                              4690
SPONSORED ADR
DEVON ENERGY CORP  COMMON STOCK      25179M103     533      9193 SH          SOLE                              9193
NEW COM
                                                    16       270 SH          OTHER                              270

DOW CHEM CO COM    COMMON STOCK      260543103     536     17013 SH          SOLE                             17013
                                                    15       490 SH          OTHER                              490

EDAP TMS S. A.     COMMON STOCK      268311107      19     10000 SH          SOLE                   10000
EATON CORP COM     COMMON STOCK      278058102     483     12200 SH          SOLE                             12200
                                                    14       350 SH          OTHER                              350

ECOLAB INC         COMMON STOCK      278865100     277      4040 SH          SOLE                              4040
                                                    21       300 SH          OTHER                              300

ECOPETROL S. A.    COMMON STOCK      279158109     203      3636 SH          SOLE                              3636
EMERSON ELEC CO    COMMON STOCK      291011104     663     14240 SH          SOLE                             14240
COM
                                                    56      1200 SH          OTHER                             1200

ENBRIDGE INC COM   COMMON STOCK      29250N105     596     14926 SH          SOLE                             14926
EQUIFAX            COMMON STOCK      294429105     628     13470 SH          SOLE                             13470
                                                    51      1100 SH          OTHER                             1100

COLUMN TOTALS                                     5569


                                     Page 5



                           FORM 13F INFORMATION TABLE



                                             VALUE      SHS                                        VOTING AUTHORITY
NAME OF ISSUER        TITLE                    X        PRN   SH   PUT    INVSTMT     OTHER     ------------------------
SECURITY NAME       OF CLASS       CUSIP     $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS   SOLE     SHARED     NONE
----------------   ------------   ---------  ------   ------- ---  ----   -------    --------   -----    ------     ----
                                                                                   
EQUIFAX            COMMON STOCK   294429105      51      1100 SH
ERICSSON AMERICAN  COMMON STOCK   294821608     260     28503 SH          SOLE                            28503
DEPOSITARY
EXXON              COMMON STOCK   30231G102    2761     32261 SH          SOLE                   5369
                                                                          SOLE                             1650
                                                                          SOLE                                      25242

                                                274      3200 SH          OTHER                  1000
                                                                          OTHER                                      2200

FANUC CORP         COMMON STOCK   307305102     621     22670 SH          SOLE                            22670
FRESENIUS          COMMON STOCK   358029106     367      5195 SH          SOLE                             5195
GIVAUDAN S. A. F   COMMON STOCK   37636P108     277     14027 SH          SOLE                            14027
GRUPO TELEVISA SA  COMMON STOCK   40049J206     353     16417 SH          SOLE                            16417
DE CV SP ADR
HSBC HLDGS PLC     COMMON STOCK   404280406     562     12735 SH          SOLE                            12735
HALLIBURTON CO     COMMON STOCK   406216101     656     23122 SH          SOLE                            23122
COM
                                                 19       670 SH          OTHER                             670

HENKEL LTD         COMMON STOCK   42550U208     373      5656 SH          SOLE                             5656
PARTNERSHIP SPON
HENNES & MAURITZ   COMMON STOCK   425883105     334     46802 SH          SOLE                            46802
AB ADR
HONDA MOTOR LTD    COMMON STOCK   438128308     572     16497 SH          SOLE                            16497
AMERN SHS
HONEYWELL INTL     COMMON STOCK   438516106     574     10277 SH          SOLE                    595
                                                                          SOLE                             9682

                                                 16       290 SH          OTHER                             290

HOSPIRA INC COM    COMMON STOCK   441060100     361     10306 SH          SOLE                            10306

COLUMN TOTALS                                  8380


                                     Page 6



                           FORM 13F INFORMATION TABLE



                                                VALUE     SHS                                          VOTING AUTHORITY
NAME OF ISSUER         TITLE                      X       PRN    SH   PUT    INVSTMT     OTHER      ------------------------
SECURITY NAME        OF CLASS         CUSIP     $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS    SOLE     SHARED     NONE
----------------   --------------    ---------  ------   ------- ---  ----   -------    --------    -----    ------     ----
                                                                                       
HOSPIRA INC COM    COMMON STOCK      441060100      10       300 SH          OTHER                              300
ADRINDUSTRIA DED   COMMON STOCK      455793109     503     24347 SH          SOLE                             24347
ISENOF
INTEL CORP COM     COMMON STOCK      458140100     324     12170 SH          SOLE                    9000
                                                                             SOLE                              3170

ISHARES INC MSCI   COMMON STOCK      464286848     511     54308 SH          SOLE                             54308
ISHARES            ETF-EQUITY        464287234     362      9247 SH          SOLE                    9247
ISHARES            ETF-EQUITY        464287465   14388    287987 SH          SOLE                  287987
                                                   414      8296 SH          OTHER                   6487
                                                                             OTHER                             1809

ISHARES            ETF-EQUITY        464287507     201      2136 SH          SOLE                    2136
ISHARES            ETF-EQUITY        464287598    1448     21228 SH          SOLE                   21228
                                                   121      1779 SH          OTHER                             1779

ISREAL CHEM LTD    COMMON STOCK      465036200     157     14570 SH          SOLE                             14570
JGC CORP ADR       COMMON STOCK      466140100     310      5334 SH          SOLE                              5334
 J P MORGAN CHASE  MASTER LIMITED    46625H365    4180    107831 PRN         SOLE                  107831
                   PARTNERSHIPS
                                                    79      2034 PRN         OTHER                   2034

JOHNSON & JOHNSON  COMMON STOCK      478160104     608      9000 SH          SOLE                    9000
COM
KBR INC            COMMON STOCK      48242W106     476     19254 SH          SOLE                             19254
                                                    14       550 SH          OTHER                              550

KONINKLIJKE AHOLD  COMMON STOCK      500467402     168     13527 SH          SOLE                             13527
N V SPON ADR
KUBOTA CORP        COMMON STOCK      501173207     333      7232 SH          SOLE                              7232
(FORMERLY KUBOTA
KYOCERA CORP       COMMON STOCK      501556203     267      3101 SH          SOLE                              3101

COLUMN TOTALS                                    24874


                                     Page 7



                           FORM 13F INFORMATION TABLE



                                                VALUE     SHS                                      VOTING AUTHORITY
NAME OF ISSUER         TITLE                      X       PRN    SH   PUT    INVSTMT   OTHER    ------------------------
SECURITY NAME        OF CLASS        CUSIP      $1000    AMOUNT  PRN  CALL   DISCRTN  MANAGERS  SOLE     SHARED     NONE
----------------   --------------    ---------  ------   ------- ---  ----   -------  --------  -----    ------     ----
                                                                                   
LVMH MOET          COMMON STOCK      502441306     442     14601 SH          SOLE                         14601
HENNESSY LOU VUI
LABORATORY CORP    COMMON STOCK      50540R409     389      4200 SH          SOLE                          4200
AMER HLDGS COM
                                                    28       300 SH          OTHER                          300

LOUISIANA CENT     MASTER LIMITED    546234204     176        63 PRN         SOLE                  63
OIL & GAS CO UT    PARTNERSHIPS
                                                    36        13 PRN         OTHER                 13

MEDTRONIC          COMMON STOCK      585055106     895     23103 SH          SOLE                         23103
                                                    43      1120 SH          OTHER                         1120

MERCK KGAA ADR     COMMON STOCK      589339100     247      7436 SH          SOLE                          7436
METLIFE INC        COMMON STOCK      59156R108     362     11746 SH          SOLE                         11746
                                                    10       340 SH          OTHER                          340

METTLER TOLEDO I   COMMON STOCK      592688105     406      2604 SH          SOLE                          2604
NTERNATIONALCOM
MICROSOFT CORP     COMMON STOCK      594918104     914     29880 SH          SOLE                         29880
                                                    58      1900 SH          OTHER                         1900

MOSAIC CO          COMMON STOCK      61945C103     573     10470 SH          SOLE                         10470
                                                    16       300 SH          OTHER                          300

MTN GROUP LIMITED  COMMON STOCK      62474M108     308     17903 SH          SOLE                         17903
ADR
MUNICH RE GROUP    COMMON STOCK      626188106     414     29299 SH          SOLE                         29299
ADR
NII HLDGS INC CL   COMMON STOCK      62913F201     132     12878 SH          SOLE                         12878
B NEW
NYSE EURONEXT COM  COMMON STOCK      629491101     370     14476 SH          SOLE                         14476

COLUMN TOTALS                                     5819


                                     Page 8



                           FORM 13F INFORMATION TABLE



                                             VALUE     SHS                                         VOTING AUTHORITY
NAME OF ISSUER        TITLE                    X       PRN    SH   PUT    INVSTMT     OTHER     ------------------------
SECURITY NAME       OF CLASS      CUSIP      $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS   SOLE     SHARED     NONE
----------------   ------------   ---------  ------   ------- ---  ----   -------    --------   -----    ------     ----
                                                                                   
NYSE EURONEXT COM  COMMON STOCK   629491101      11       430 SH          OTHER                             430
NASPERS LTD SP     COMMON STOCK   631512100     217      4114 SH          SOLE                             4114
ADR
NESTLE S A         COMMON STOCK   641069406     395      6609 SH          SOLE                             6609
SPONSORED ADR
NIDEC CORP         COMMON STOCK   654090109     331     17234 SH          SOLE                            17234
SPONSORED ADR
NIKE INC CL B      COMMON STOCK   654106103     290      3300 SH          SOLE                             3300
                                                 26       300 SH          OTHER                             300

NITTO DENKO CORP   COMMON STOCK   654802206     313      7308 SH          SOLE                             7308
NORFOLK SOUTHERN   COMMON STOCK   655844108     564      7865 SH          SOLE                             7865
CORP COM
                                                 17       230 SH          OTHER                             230

OMNICOM GROUP INC  COMMON STOCK   681919106     674     13860 SH          SOLE                            13860
COM
                                                 49      1000 SH          OTHER                            1000

ON SEMICONDUCTOR   COMMON STOCK   682189105     356     50099 SH          SOLE                            50099
CORP
                                                 10      1450 SH          OTHER                            1450

ORACLE CORP COM    COMMON STOCK   68389X105     806     27150 SH          SOLE                            27150
                                                 59      2000 SH          OTHER                            2000

PAYCHEX INC COM    COMMON STOCK   704326107     245      7790 SH          SOLE                             7790
                                                 19       600 SH          OTHER                             600

PEPSICO INC        COMMON STOCK   713448108     921     13030 SH          SOLE                            13030
                                                113      1600 SH          OTHER                            1600

COLUMN TOTALS                                  5416


                                     Page 9



                           FORM 13F INFORMATION TABLE



                                            VALUE     SHS                                        VOTING AUTHORITY
NAME OF ISSUER        TITLE                   X       PRN    SH   PUT    INVSTMT     OTHER    ------------------------
SECURITY NAME        OF CLASS      CUSIP    $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS  SOLE     SHARED     NONE
----------------   ------------  ---------  ------   ------- ---  ----   -------    --------  -----    ------     ----
                                                                                 
PHILIP MORRIS      COMMON STOCK  718172109     517      5924 SH          SOLE                            5924
INTL INC COM
PRAXAIR INC COM    COMMON STOCK  74005P104     581      5340 SH          SOLE                            5340
                                                43       400 SH          OTHER                            400

PRICE T ROWE       COMMON STOCK  74144T108     679     10780 SH          SOLE                           10780
GROUP INC COM
                                                57       900 SH          OTHER                            900

PROCTER & GAMBLE   COMMON STOCK  742718109    1353     22094 SH          SOLE                           22094
                                               114      1860 SH          OTHER                           1860

PRUDENTIAL FINL    COMMON STOCK  744320102     535     11040 SH          SOLE                           11040
INC COM
                                                15       320 SH          OTHER                            320

PRUDENTIAL PLC     COMMON STOCK  74435K204     472     20346 SH          SOLE                           20346
ADR
RECKITT BENCKISER  COMMON STOCK  756255105     315     29905 SH          SOLE                           29905
GROUP PLC ADR
ROCHE HLDG LTD     COMMON STOCK  771195104     347      8025 SH          SOLE                            8025
SPONSORED ADR
ROYAL DUTCH SHELL  COMMON STOCK  780259107     771     11028 SH          SOLE                           11028
PLC
                                                15       210 SH          OTHER                            210

RYANAIR HLDGS PLC  COMMON STOCK  783513104     281      9239 SH          SOLE                            9239
SPONSORED ADR
SKF AG ADR         COMMON STOCK  784375404     341     17367 SH          SOLE                           17367
SAB MILLER PLC     COMMON STOCK  78572M105     343      8470 SH          SOLE                            8470
SANDVIK AB ADR     COMMON STOCK  800212201     317     24647 SH          SOLE                           24647
SIEMENS A G        COMMON STOCK  826197501     313      3726 SH          SOLE                            3726

COLUMN TOTALS                                 7409


                                    Page 10



                           FORM 13F INFORMATION TABLE



                                             VALUE     SHS                                       VOTING AUTHORITY
NAME OF ISSUER        TITLE                    X       PRN    SH   PUT    INVSTMT    OTHER    ------------------------
SECURITY NAME       OF CLASS       CUSIP     $1000    AMOUNT  PRN  CALL   DISCRTN   MANAGERS  SOLE     SHARED     NONE
----------------   ------------   ---------  ------   ------- ---  ----   -------   --------  -----    ------     ----
                                                                                 
SIEMENS A G        COMMON STOCK   826197501     313      3726 SH
SMITH & NEPHEW     COMMON STOCK   83175M205     290      5811 SH          SOLE                           5811
PLC SPDN ADR NEW
SOCIEDAD QUIMICA   COMMON STOCK   833635105     284      5104 SH          SOLE                           5104
Y MINERA DE
STRYKER CORP COM   COMMON STOCK   863667101     560     10160 SH          SOLE                          10160
                                                 44       800 SH          OTHER                           800

SUPERIOR ENERGY    COMMON STOCK   868157108     366     18109 SH          SOLE                          18109
SVCS INC COM
                                                 11       530 SH          OTHER                           530

SVENSKA CELLULOSA  COMMON STOCK   869587402     295     19689 SH          SOLE                          19689
SYMANTEC CORP COM  COMMON STOCK   871503108     515     35246 SH          SOLE                          35246
                                                 15      1010 SH          OTHER                          1010

SYNGENTA AG        COMMON STOCK   87160A100     326      4759 SH          SOLE                           4759
SPONSORED ADR
TAIWAN             COMMON STOCK   874039100     449     32141 SH          SOLE                          32141
SEMICONDUCTOR MFG
TARGET CORP        COMMON STOCK   87612E106     521      8956 SH          SOLE                           8956
                                                 15       260 SH          OTHER                           260

TEVA               FOREIGN STOCK  881624209     347      8786 SH          SOLE                           8786
PHARMACEUTICAL
INDS LTDADR                                      10       260 SH          OTHER                           260
TEXAS CAPITAL      COMMON STOCK   88224Q107    1745     43193 SH          SOLE                                    43193
BANCSHARES, INC.
3M COMPANY COM     COMMON STOCK   88579Y101     852      9507 SH          SOLE                  217
                                                                          SOLE                           9290

                                                 63       700 SH          OTHER                           700

COLUMN TOTALS                                  6708


                                    Page 11



                           FORM 13F INFORMATION TABLE



                                            VALUE     SHS                                         VOTING AUTHORITY
NAME OF ISSUER        TITLE                   X       PRN    SH   PUT    INVSTMT     OTHER     ------------------------
SECURITY NAME       OF CLASS      CUSIP     $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS   SOLE     SHARED     NONE
----------------   ------------  ---------  ------   ------- ---  ----   -------    --------   -----    ------     ----
                                                                                  
3M COMPANY COM     COMMON STOCK  88579Y101      63       700 SH
TORONTO DOMINION   COMMON STOCK  891160509     622      7954 SH          SOLE                             7954
BK ONT COM NEW
TURKIYE GARANTI    COMMON STOCK  900148701     172     42661 SH          SOLE                            42661
BANKASI
UNILEVER N V N Y   COMMON STOCK  904784709     371     11126 SH          SOLE                            11126
SHS NEW
                                                11       330 SH          OTHER                             330

UNION              COMMON STOCK  907818108     361      3023 SH          SOLE                             3023
                                                11        90 SH          OTHER                              90

UNITED OVERSEAS    COMMON STOCK  911271302     351     11779 SH          SOLE                            11779
BK LTD SPONSORED
UNITED             COMMON STOCK  913017109     771     10210 SH          SOLE                            10210
TECHNOLOGIES CORP
COM                                             60       800 SH          OTHER                             800
VANGUARD FUNDS     ETF-EQUITY    922042676    1347     28174 SH          SOLE                  28174
VARIAN MED SYS     COMMON STOCK  92220P105     413      6790 SH          SOLE                             6790
INC COM
                                                30       500 SH          OTHER                             500

VANGUARD           ETF-EQUITY    922908736    1832     26944 SH          SOLE                  26944
                                               253      3718 SH          OTHER                  3718

VODAFONE GROUP     COMMON STOCK  92857W209    1143     40568 SH          SOLE                    606
PLC NEW SPONS ADR                                                        SOLE                            39962
                                                17       620 SH          OTHER                             620

WAL MART DE        COMMON STOCK  93114W107     348     13071 SH          SOLE                            13071
MEXICO S A B DE
WATERS CORP COM    COMMON STOCK  941848103     462      5810 SH          SOLE                             5810

COLUMN TOTALS                                 8575


                                    Page 12



                           FORM 13F INFORMATION TABLE



                                             VALUE      SHS                                        VOTING AUTHORITY
NAME OF ISSUER        TITLE                    X        PRN   SH   PUT    INVSTMT     OTHER     ------------------------
SECURITY NAME       OF CLASS        CUSIP    $1000    AMOUNT  PRN  CALL   DISCRTN    MANAGERS   SOLE     SHARED     NONE
----------------   ------------   ---------  ------   ------- ---  ----   -------    --------   -----    ------     ----
                                                                                   
WATERS CORP COM    COMMON STOCK   941848103      32       400 SH          OTHER                             400
WESTERN UN CO COM  COMMON STOCK   959802109     533     31676 SH          SOLE                            31676
                                                 16       950 SH          OTHER                             950

WOODSIDE PETE LTD  COMMON STOCK   980228308     216      6626 SH          SOLE                             6626
SPONSORED ADR
ZURICH INSURANCE   COMMON STOCK   989825104     227     10034 SH          SOLE                            10034
GROUP LTD
PARTNERRE LTD COM  COMMON STOCK   G6852T105     315      4166 SH          SOLE                             4166
                                                 10       130 SH          OTHER                             130

WILLIS GROUP       COMMON STOCK   G96666105     385     10543 SH          SOLE                            10543
HOLDINGS PLC
                                                 12       320 SH          OTHER                             320

ACE LTD SHS        COMMON STOCK   H0023R105     386      5207 SH          SOLE                             5207
                                                 12       160 SH          OTHER                             160

CORE LABORATORIES  COMMON STOCK   N22717107     255      2201 SH          SOLE                             2201
FLEXTRONICS INTL   COMMON STOCK   Y2573F102     649    104717 SH          SOLE                           104717
LTD ORD
                                                 14      2318 SH          OTHER                            2318

COLUMN TOTALS                                  3062

AGGREGATE TOTAL                              123341


                                    Page 13



                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                0
Form 13F Information Table Entry Total:         218
Form 13F Information Table Value Total:   $ 123,341
                                         (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.

NONE

                                    Page 14