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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  12/31/04
                                               ---------------------------

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

Institutional Investment Manager Filing this Report:

Name:       Texas Capital Bancshares 
            ------------------------------------------
Address:    2100 McKinney Ave, Ste 1460
            ------------------------------------------
            Dallas, TX 75201
            ------------------------------------------
            Attn: Dave Felz
            ------------------------------------------


 Form 13F File Number: 28-
                          -------------

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 Folz
          --------------------------------------------
Title:    Executive Vice President
          --------------------------------------------
Phone:    214-932-6625
          --------------------------------------------

Signature, Place, and Date of Signing:

/s/ DAVID FOLZ                     Dallas TX                       2/14/05
---------------------  --------------------------------------   ---------------
[Signature]                      [City, State]                   [Date]

Report Type (Check only one.):

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

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

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


 List of Other Managers Reporting for this Manager:
 [If there are no entries in this list, omit this section.]

          Form 13F File Number       Name

          28-
             -------------           -----------------------------------------
          [Repeat as necessary.]



                                    FORM 13F
                                  SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                       
                                              -----------------------

Form 13F Information Table Entry Total:                
                                              -----------------------

Form 13F Information Table Value Total:      $     
                                              -----------------------
                                                    (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          28-1                       Trust Department
         -----          ------------------      ------------------------

          [Repeat as necessary.]



 

                                                     FORM 13F INFORMATION TABLE

------------------------------------------------------------------------------------------------------------------------------------
                                                                                                                                
COLUMN 1           COLUMN 2      COLUMN 3      COLUMN 4          COLUMN 5            COLUMN 6      COLUMN 7           COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
NAMES OF           TITLE OF                     VALUE       SHRS OR   SH/   PUT/    INVESTMENT      OTHER        VOTING AUTHORITY
 ISSUER             CLASS          CUSIP       [x$1000]     PRN AMT   PRN   CALL    DISCRETION     MANAGERS    SOLE   SHARED   NONE
------------------------------------------------------------------------------------------------------------------------------------
Southern            Common       78460M209   1,475,000       100,000  SH             Sole                         100,000
  National
  Bank 











                              TEXAS CAPITAL BANK, DALLAS, TX

BANK NO. 781             SCHEDULE 13F WORKSHEET   AS OF 1/31/2005         PAGE 1


Below is a list of the equity securities that you have flagged on your AUTO-
TRUST files as "13 F Securities" with a "13 F Investment Discretion" of SOLE or
SHARED. Securities are listed by Security Type and in CUSIP number order within
each Security Type. Security positions with an Investment Discretion of NONE,
and Security Types 01-06, 12, 15, 16, 18-22, 25-27 and 34,37 are not included in
this report.



                                                                          FORM 13F  INFORMATION TABLE
                                                                 VALUE    SHARES/   SH/  PUT/  INVSTMT   OTHER     VOTING AUTHORITY
      NAME OF ISSUER              TITLE OF CLASS        CUSIP   (X$1000)  PRN AMT   PRN  CALL  DSCRETN  MANAGERS  SOLE  SHARED  NONE
--------------------------------  -----------------  ---------  --------  -------   ---  ----  -------  --------  ----  ------  ----
                                                                                               
ACE LTD                           ORD                G0070K103     149     3434      SH         SOLE               3434      0    0
ARCH CAP GROUP LTD                ORD                G0450A105     161     4387      SH         SOLE               4387      0    0
GLOBALSANTAFE CORP                SHS                G3930E101      37     1063      SH         SOLE               1063      0    0
TRANSOCEAN INC                    ORD                G90078109     135     3084      SH         SOLE               3084      0    0
WEATHERFORD INTERNATIONAL LT      COM                G95089101     105     1948      SH         SOLE               1948      0    0
WILLIS GROUP HOLDINGS LTD         SHS                G96655108      96     2500      SH         SOLE               2500      0    0
CHECK POINT SOFTWARE TECH LT      ORD                M22465104      29     1230      SH         SOLE               1230      0    0
ASML HLDG NV                      N Y SHS            N07059111      46     2860      SH         SOLE               2860      0    0
BANCO LATINOAMERICANO DE EXP      CLXE               P16994132      89     4076      SH         SOLE               4076      0    0
FLEXTRONICS INTL LTD              ORD                Y2573F102     222    15750      SH         SOLE              15750      0    0
GENERAL MARITIME CORP             SHS                Y2692M103     179     3913      SH         SOLE               3913      0    0
AFLAC INC                         COM                001055102     760    19260      SH         SOLE              19260      0    0
AGL RES INC                       COM                001204106     116     3376      SH         SOLE               3376      0    0
AU OPTRONICS CORP                                    002255107      62     4050      SH         SOLE               4050      0    0
ABBOTT LABS                       COM                002824100      17      390      SH         SOLE                390      0    0
ACTIVISION INC NEW                COM NEW            004930202     957    42380      SH         SOLE              42380      0    0
ADESA INC                         COM                006860104     167     8100      SH         SOLE               7400    700    0
ADOBE SYS INC                     COM                00724F101     926    16290      SH         SOLE              16290      0    0
ADVANCED NEUROMODULATION SYS      COM                00757T101      56     1427      SH         SOLE               1427      0    0
ADVANTA CORP                      CL B               007942204      93     4130      SH         SOLE               4130      0    0
AFFILIATED MANAGERS GROUP         COM                008252108     779    12291      SH         SOLE              11791    500    0
AGILYSYS INC.                                        008470105     147     8769      SH         SOLE               8769      0    0
ALLIANCE RES PARTNER LP           UT LTD PART        01877R108     163     2335      SH         SOLE               2335      0    0
ALTIRIS INC                       COM                0214BM100      81     2517      SH         SOLE               2517      0    0
ALTRIA GROUP INC                  COM                022098103     210     3300      SH         SOLE               3300      0    0
AMBAC FINL GROUP INC              COM                023139108      19      255      SH         SOLE                255      0    0
AMERICAN CAPITAL STRATEGIES       COM                024937104      34     1000      SH         SOLE               1000      0    0
AMERICAN EAGLE OUTFITTERS NE      COM                02553E106    1071    21095      SH         SOLE              21095      0    0
AMERICAN EXPRESS CO               COM                025816109      60     1140      SH         SOLE               1140      0    0
AMERICAN HOME MGT INVT CORP       COM                02660R107      34     1033      SH         SOLE               1033      0    0
AMERICAN INTL GROUP INC           COM                026874107     705    10642      SH         SOLE              10442    200    0
MARY LAWSON WELLS RI GREGG        CNTY TX .00032552  028000990       0        2      PRN        SOLE                  2      0    0
AMERICAN STD COS INC DEL          COM                029712106     172     4312      SH         SOLE               4312      0    0
AMERUS GROUP CO                   COM                03072M108     165     3707      SH         SOLE               3707      0    0
AMERISOURCEBERGEN CORP            COM                030738105      46      790      SH         SOLE                790      0    0
AMETEK INC NEW                    COM                031100100     106     2782      SH         SOLE               2782      0    0
AMGEN INC                         COM                031162100     160     2575      SH         SOLE               2575      0    0
AMIS HLDGS INC                    COM                031538101      59     5569      SH         SOLE               5569      0    0
AMPHENOL CORP NEW                 CL A               032095101     926    23560      SH         SOLE              23560      0    0
AMSURG CORP                       COM                03232P405      22      852      SH         SOLE                852      0    0
ANADARKO PETE CORP                COM                032511107      21      320      SH         SOLE                320      0    0
ANDREW CORP                       COM                034425108      35     2715      SH         SOLE               2715      0    0
ANGLOGOLD ASHANTI LTD             SPONS ADR          035128206      24      740      SH         SOLE                740      0    0
APACHE CORP                                          037411105     348     6400      SH         SOLE               5900    500    0
APOLLO GROUP INC                  CL A               037604105      27      350      SH         SOLE                350      0    0
APPLIED MATLS INC                 COM                038222105      58     3692      SH         SOLE               3692      0    0
ARACRUZ CELULOSE S A              SPON ADR PFD B     038496204     204     5860      SH         SOLE               5860      0    0
                                                               -------   ------                                  ------   ----  ---
TOTAL FOR PAGE 1                                                 10078   272251                                  270351   1900    0


                          TEXAS CAPITAL BANK, DALLAS, TX

BANK NO. 781           SCHEDULE OF WORKSHEET AS OF 01/31/2005             PAGE 2

                           FORM 13F INFORMATION TABLE
\


                                                   
                                                              VALUE    SHARES/  SH/   POT/  INVSTMT    OTHER        VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS     CUSIP      (X51000)  PRN AMT  PRN   CALL  DSCRETN  MANAGERS SOLE   SHARED     NONE
--------------                 --------------     -----      --------  -------  ---   ----  -------  -------- ----   ------     ----

                                                                                              

AUSTRALIA & NEW ZEALAND        BANKING GROUP LTD  052528304   120        1500   SH          SOLE              1500      0        0
AUTODESK INC                   COM                052769106   293       10000   SH          SOLE              9600    400        0
AUTOMATIC DATA PROCESSING INC  COM                053015103    65        1500   SH          SOLE              1500      0        0
AUTOZONE INC                   COM                053332102   763        8560   SH          SOLE              8560      0        0
AVOCENT GROUP                  COM                053893103   140        3861   SH          SOLE              3861      0        0
BG PLC                         ADR FIN INST N     055434203   102        2950   SH          SOLE              2950      0        0
BP P.L.C.                      SPONSORED ADR      055622104   315        5285   SH          SOLE              5285      0        0
BAKER HUGHES INC               COM                057224107   393        9100   SH          SOLE              8700    400        0
BANCO BRADESCO SA              SP ADR PFD NEW     059460303    30        1230   SH          SOLE              1230      0        0
BANK OF AMERICA CORPORATION    COM                060505104   489       10550   SH          SOLE             10550      0        0
BANK NEW YORK INC              COM                064057102   655       22079   SH          SOLE             21379    700        0
BANK ONE CAPITAL V                                06423P209    26        1000   SH          SOLE              1000      0        0
BARD C R INC                   COM                0673B3109   887       13090   SH          SOLE             12690    400        0
BAUSCH & LOMB INC              COM                071707103    16         220   SH          SOLE               220      0        0
BAXTER INTL INC                COM                071813109   197        5840   SH          SOLE              5840      0        0
BAYER AG                                          072730302    96        2860   SH          SOLE              2860      0        0
BEAR STERNS COS INC            COM                073902108   948        9385   SH          SOLE              9385      0        0
BECKMAN COULTER INC            COM                075811109    30         459   SH          SOLE               459      0        0
BECTON DICKINSON & CO          COM                075887109    16         300   SH          SOLE               300      0        0
BED BATH & BEYOND INC          COM                075896100    15         390   SH          SOLE               390      0        0
BELLSOUTH CORP                 COM                079860102     9         352   SH          SOLE               352      0        0
BELLSOUTH CORP                 COM                079860102    15         588   SH          DEFINED            588      0        0
BENCHMARK ELECTRS INC          COM                08160H101    93        2927   SH          SOLE              2927      0        0
BERKSHIRE HATHAWAY INC DEL     CLB                084670207    29          10   SH          SOLE                10      0        0
BHP BILLITON LTD               SPONSORED ADR      088606108   304       11940   SH          SOLE             11940      0        0
BLOCK H & R INC                COM                093671105   501       10390   SH          SOLE             10190    200        0
BLUEGREEN CORP                 COM                096231105   110        5190   SH          SOLE              5190      0        0
BLYTH INC                      COM                09643P108   492       15700   SH          SOLE             15100    600        0
BRASIL TELECOM                 PARTICIPACOES SA   105530109    24         750   SH          SOLE               750      0        0
BRIGGS & STRATTON CORP         COM                109043109   275        7100   SH          SOLE              6500    600        0
BRIGHTPOINT INC                COM NEW            109473405    69        3863   SH          SOLE              3863      0        0
BRUNSWICK CORP                 COM                117043109   207        4500   SH          SOLE              4200    300        0
CIT GROUP INC                  COM                125581308   732       18160   SH          SOLE             18160      0        0
CLECO CORP NEW                 COM                12561W105    31        1608   SH          SOLE              1608      0        0
CVB FINAL CORP                 COM                126600105    86        4582   SH          SOLE              4582      0        0
CAL DIVE INTEL INC                                127914109    44        1007   SH          SOLE              1007      0        0
CANON INC                                         138006309   308        5860   SH          SOLE              5860      0        0
CAPITAL ONE FINL CORP          COM                14040H105   856       10945   SH          SOLE             10945      0        0
CARDINAL HEALTH INC            COM                14149Y108   255        4534   SH          SOLE              4534      0        0
CENDANT CORP                   COM                151313103   863       36678   SH          SOLE             35578   1100        0
CENTEX CORP                    COM                152312104   957       15618   SH          SOLE             15618      0        0
CERIDIAN CORP NEW              COM                156779100    98        5592   SH          SOLE              5592      0        0
CHECKFREE CORP NEW             COM                162813109   861       22090   SH          SOLE             22090      0        0
CHEVRONTEXACO CORP             COM                166764100   974       17905   SH          SOLE             17905      0        0
CHINA MOBILE HONG KONG LTD     SPONSORED ADR      16941M109    23        1500   SH          SOLE              1500      0        0
CHINA PETROLEUM & CHEMICAL     CORP SINOPEC       16941R108    50        1260   SH          SOLE              1260      0        0
CHIQUITA BRANDS INTL INC       COM                170032809   192        8405   SH          SOLE              8405      0        0
CHOICEPOINT INC                COM                170388102    67        1471   SH          SOLE              1471      0        0
CHUNGHWA TELECOM CO LTD                           17133Q205    80        3730   SH          SOLE              3730      0        0
CIBER INC                      COM                17163B102    11        1416   SH          SOLE              1416      0        0
CISCO SYS INC                  COM                17275R102    66        3670   SH          SOLE              3670      0        0
                                                            -----      ------                               ------   ----     ----
TOTAL FOR PAGE 2                                            14280      339500                               334800   4700        0


                         TEXAS CAPITAL BANK, DALLAS, TX

BANK NO. 781  S C H E D U L E  1 3 F  W O R K S H E E T  AS OF 01/31/2005 PAGE 3


                                                                     FORM 13F  INFORMATION TABLE             
                                                              VALUE   SHARES/   SH/ PUT/  INVSTMT    OTHER       VOTING AUTHORITY
     NAME OF ISSUER          TITLE OF CLASS       CUSIP     (X$1000)  PRN AMT   PRN CALL  DSCRETW   MANAGERS   SOLE    SHARED   NONE
---------------------------- ------------------ ---------  --------- ---------  --- ----  -------  ---------- ----- ---------  -----
                                                                                                 
CITIGROUP INC                COM                 172867101      1071     21842  SH        SOLE                21409      433       0
CLAIRES STORES INC           COM                 179584107       222     10800  SH        SOLE                10100      700       0
CLP HOLDINGS LTD             SPONSORED ADR       18946Q101       170     30020  SH        SOLE                30020        0       0
COACH INC                    COM                 189754104      1126     20080  SH        SOLE                20080        0       0
COCA COLA AMATIL LTD         SPONSORED ADR       191085208       180     14860  SH        SOLE                14860        0       0
COCA COLA HELLENIC BTTLG CO  SPONSORED ADR       1912EP104       140      5940  SH        SOLE                 5940        0       0
COCA COLA CO                 COM                 191216100       386      9320  SH        SOLE                 8720      600       0
COLES MYER LTD               SPON ADR NEW        193870409       167      2910  SH        SOLE                 2910        0       0
COLGATE PALMOLIVE CO         COM                 194162103        11       210  SH        SOLE                  210        0       0
COMCAST CORP NEW             CL A SFL            20030N200       278      8810  SH        SOLE                 7910      900       0
COMMERCIAL METALS CO         COM                 201723103       118      4090  SH        SOLE                 4090        0       0
COMMUNITY HEALTH SYS INC NEW COM                 203668108        34      1184  SH        SOLE                 1184        0       0
COMPANHIA BRASILEIRA DE      DISTRIBUCAO PAO DE  20440T201        21       980  SH        SOLE                  980        0       0
COMPANHIA SIDERDRGICA NACION SPONSORED ADR       20440W105        28      1390  SH        SOLE                 1390        0       0
COMPANHIA PARANAENSE DE      ENERGIA             20441B407        11      2670  SH        SOLE                 2670        0       0
AMBEV-CIA DE BEBIDAS DAS     AMERICAS            20441W203       198      7790  SH        SOLE                 7790        0       0
COMPASS BANCSHARES INC       COM                 20449H109       805     17125  SH        SOLE                17215        0       0
COMPUCREDIT CORP             COM                 20478N100       158      5524  SH        SOLE                 5524        0       0
COMPUTER ASSOC INTL INC      COM                 204912109       444     16369  SH        SOLE                16369        0       0
CONVERSE TECHNOLOGY INC      COM PAR $0.10       205862402        15       700  SH        SOLE                  700        0       0
CONNETICS CORP               COM                 208192104        46      1912  SH        SOLE                 1912        0       0
CONOCOPHILLIPS               COM                 20825C104       582      6280  SH        SOLE                 6080      200       0
CONOCOPHILLIPS               COM                 20825C104        31       344  SH        DEFINED               344        0       0
COOPER CAMERON CORP          COM                 216640102        92      1646  SH        SOLE                 1646        0       0
CORRECTIONS CORP AMER NEW    COM NEW             22025Y407       155      3795  SH        SOLE                 3795        0       0
COSTCO WHSL CORP NEW         COM                 22160K105       939     19865  SH        SOLE                19865        0       0
COVENTRY HEALTH CARE INC     COM                 222862104       906     15940  SH        SOLE                15940        0       0
COX RADIO INC                CL A                224051102        39      2520  SH        SOLE                 2520        0       0
DANAHER CORP                                     235851102       857     15625  SH        SOLE                15625        0       0
DEAN FOODS                                       242370104        17       500  SH        SOLE                  500        0       0
DEERE & CO                   COM                 244199105       759     10935  SH        SOLE                10935        0       0
DEL MONTE FOODS CO           COM                 24522P103       514     45600  SH        SOLE                43300     2300       0
DELL INC                     COM                 24702R101       885     21205  SH        SOLE                21205        0       0
DENBURY RES INC              COM NEW             247916208       192      6603  SH        SOLE                 6603        0       0
DENTSPLY INTL INC NEW        COM                 249030107       546      9750  SH        SOLE                 9450      300       0
DIGITAL INSIGHT CORP         COM                 25385P106        82      4954  SH        SOLE                 4954        0       0
DISNEY WALT CO               COM DISNEY          254687106       929     32473  SH        SOLE                32473        0       0
DR REDDYS LABS LTD           ADR                 256135203        20      1210  SH        SOLE                 1210        0       0
DOLLAR THRIFTY AUTOMOTIVE GP COM                 256743105       147      4718  SH        SOLE                 4718        0       0
DOVER CORP                   COM                 260003108       503     13152  SH        SOLE                12852      300       0
DU PONT E I DE NEMOURS & CO  COM                 263534109        77      1640  SH        SOLE                 1640        0       0
DUNN & BRADSTREET CORP DEL NECOM                 26483E100       910     15680  SH        SOLE                15680        0       0
ENSCO INTL INC               COM                 26874Q100        85      2491  SH        SOLE                 2491        0       0
EDUCATION MGMT CORP          COM                 28139T101        66      2069  SH        SOLE                 2069        0       0
EDWARDS LIFESCIENCES CORP    COM                 28176E108        61      1514  SH        SOLE                 1514        0       0
ELECTRONIC DATA SYS NEW      COM                 285661104       112      5245  SH        SOLE                 5245        0       0
EMBRAER EMPRESA BRASILEIRA   DE AERONAUTICA EMBR 29081M102       186      5860  SH        SOLE                 5860        0       0
EMERSON ELEC CO              COM                 291011104       190      2831  SH        SOLE                 2831        0       0
EMNTS COMMUNICATIONS CORP    CL A                291525103        43      2461  SH        SOLE                 2461        0       0
EMPRESAS ICA SOCIEDAD CONTRL SPONSORED ADR       292448107        28     12540  SH        SOLE                12540        0       0
ENCANA CORPORATION           COM                 292505104       171      2910  SH        SOLE                 2910        0       0
                                                           --------- ---------                                ----- ---------  -----
TOTAL FOR PAGE 3                                               15753    456972                                451239    5733       0


                         TEXAS CAPITAL BANK, DALLAS, TX
BANK NO. 781         SCHEDULE 13F WORKSHEET  AS OF 01/31/2005             PAGE 4



                                                                         FORM 13F INFORMATION TABLE
                                                               VALUE    SHARES/  SH/  PUT/  INVSTMT   OTHER     VOTING AUTHORITY
    NAME OF ISSUER              TITLE OF CLASS      CUSIP     (X$1000)  PRN AMT  PRM  CALL  DSCRETN  MANAGERS  SOLE   SHARED  NONE
------------------------------  -----------------  ---------  --------  -------  ---  ----  -------  --------  ----  -------  ----
                                                                                                
ENDO PHARMACEUTICALS HLDGS        ICON             29264F205    60       2885    SH         SOLE                2885    0       0
ENTRAVISION COMMUNICATIONS        CCL A            29382R107    26       3316    SH         SOLE                3316    0       0
ENZON PHARMACEUTICALS INC         COM              293904108    37       2903    SH         SOLE                2903    0       0
EQUITABLE RES INC                 COM              294549100   658      11550    SH         SOLE               11250  300       0
ETHAN ALLEN INTERIORS INC         COM              297602104    42       1200    SH         SOLE                1100  100       0
EXELON CORP                       COM              30161N101  1003      22675    SH         SOLE               22675    0       0
EXXON MOBIL CORP                  COM              30231G102  3307      64111    SH         SOLE               63511  600       0
EXXON MOBIL CORP                  COM              30231G102   182       3540    SH         DEFINED             3540    0       0
FLIR SYS INC                      COM              302445101    33        550    SH         SOLE                   0    0     550
FTI CONSULTING INC                COM              302941109    90       4678    SH         SOLE                4678    0       0
FACTSET RESH SYS INC              COM              303075105    29        560    SH         SOLE                 560    0       0
FAIR ISAAC CORP                   COM              303250104    99       2881    SH         SOLE                2881    0       0
FEDERAL NATL MTG ASSN             COM              313586109   300       4658    SH         SOLE                4658    0       0
FEDERATED SHORT-TERM MUN TR       SH BEN INT INS   313907107   234      22839               SOLE               22839    0       0
FEDEX CORP                        COM              31428X106   875       9150    SH         SOLE                9150    0       0
FIFTH THIRD BANCORP               COM              316773100    15        330    SH         SOLE                 330    0       0
FILENET CORP                      COM              316869106    75       3363    SH         SOLE                3363    0       0
FIRST DATA CORPORATION                             319963104   860      21137    SH         SOLE               20637  500       0
FIRST INDUSTRIAL REALTY           TRUST INC        32054K103    23        600    SH         SOLE                 600    0       0
FISERV INC                        COM              337738108    61       1600    SH         SOLE                1600    0       0
FLOWSERVE CORP                    COM              34354P105    49       1996    SH         SOLE                1996    0       0
FOOT LOCKER INC                                    344849104   396      14718    SH         SOLE               13918  800       0
FOREST OIL CORP                   COM PAR $0.01    346091705    46       1372    SH         SOLE                1372    0       0
FORTUNE BRANDS INC                COM              349631101   938      11180    SH         SOLE               11180    0       0
FORWARD AIR CORP                  COM              349853101    33        789    SH         SOLE                 789    0       0
FOSSIL INC                        COM              349882100    31       1131    SH         SOLE                1131    0       0
FREDS INC                         CL A             356108100    58       3531    SH         SOLE                3531    0       0
FREESCALE SEMICONDUCTOR INC       CL B             35687M206     0         33    SH         SOLE                  33    0       0
FUJI PHOTO FILM LTD               ADR              359586302   139       3835    SH         SOLE                3835    0       0
GANNETT CO INC                    COMMON           364730101   159       1990    SH         SOLE                1990    0       0
GAP INC DEL                       COM              364760108   142       6455    SH         SOLE                6455    0       0
GENETECH INC                      COM NEW          368710406    14        300    SH         SOLE                 300    0       0
GENERAL DYNAMICS CORP             COM              369550108   546       5290    SH         SOLE                5090  200       0
GENERAL ELEC CO                   COM              369604103   878      24305    SH         SOLE               23705  600       0
GENERAL ELEC CO                   COM              369604103   314       8710    SH         DEFINED             8710    0       0
GENTEX CORP                       COM              371901109    33       1002    SH         SOLE                1002    0       0
GERDAU SA COSG                                     373737105    24       1480    SH         SOLE                1480    0       0
GETTY IMAGES INC                  COM              374276103    46        674    SH         SOLE                 674    0       0
GILEAD SCIENCES INC               COM              375558103   794      24000    SH         SOLE               24000    0       0
GILLETTE CO                       COM              375766102    55       1100    SH         SOLE                1100    0       0
GLAXOSMITHKLINE PLC               SPONSORED ADR    37733W105    17        400    SH         SOLE                   0    0     400
GLOBAL IMAGING SYSTEMS            COM              37934A100    46       1300    SH         SOLE                1300    0       0
GOLDEN WEST FINL CORP DEL         COM              381317106   994      15400    SH         SOLE               15400    0       0
GOLDMAN SACHS GROUP INC           COM              38141G104    24        225    SH         SOLE                 225    0       0
GRAINGER W W INC                  COM              384802104   379       6200    SH         SOLE                5700  500       0
GRUPO FINANCIARO GLAICIA S A      SP ADR 10 SH B   399909100    36       4280    SH         SOLE                4280    0       0
GRUPO TELEVISA SA DE CV           SP ADR REP ORD   40049J206    14        240    SH         SOLE                 240    0       0
GRUPO AEROPORTUARIO DEL SURESPON  ADR SER B        40051E202    38       1450    SH         SOLE                1450    0       0
HCA INC                           COM              404119109   137       3079    SH         SOLE                3079    0       0
HSBC HLDGS PLC                    SPON ADR NEW     404280406   183       2210    SH         SOLE                2210    0       0
HALLIBURTON CO                    COM              406216101   165       4031    SH         SOLE                4031    0       0
                                                              ------   -------                                ------  ----    ----
TOTAL FOR PAGE 4                                              14737    337232                                 332682  3600     950

2/8/2005                 CLIENT 0781  SCHEDULE 13F WORKSHEET              PAGE 7

                         TEXAS CAPITAL BANK, DALLAS, TX
BANK NO. 781        SCHEDULE 13F WORKSHEET AS OF 01/31/2005               PAGE 5



                                                              FORM 13F INFORMATION TABLE
                                                        VALUE     SHARES/   SH/  PUT/  INVSTMT   OTHER      VOTING AUTHORITY
   NAME OF ISSUER           TITLE OF CLASS    CUSIP    (X$1000)   PRN AMT   PRN  CALL  DSCRETN  MANAGERS   SOLE   SHARED  NONE
--------------------------  --------------  ---------  --------  --------   ---  ----  -------  --------   -----  ------  ----
                                                                                         
HENKEL KGAA                                 425500208      256     2860     SH         SOLE                 2860      0      0
HENRY JACK  ASSOC INC       COM             426281101       37     1816     SH         SOLE                 1816      0      0
HEWLETT PACKARD CO          COM             428236103       61     3150     SH         SOLE                 3150      0      0
HITACHI LIMITED             ADR 10 COM      433578507       87     1310     SH         SOLE                 1310      0      0
HOLLY CORP                  COM PAR $0.01   435758305       60     2000     SH         SOLE                    0      0   2000
HOME DEPOT INC              COM             437076102     1053    25535     SH         SOLE                25535      0      0
HONEYWELL INTL INC          COM             438516106      291     8095     SH         SOLE                 8095      0      0
HOSPIRA INC                 COM             441060100        1       39     SH         SOLE                   39      0      0
HYPERION SOLUTIONS CORP     COM             44914M104       93     1954     SH         SOLE                 1954      0      0
IMS HEALTH INC                              449934108       55     2395     SH         SOLE                 2395      0      0
IRSA INVERSIONES Y REP S A GLOBL DEP RCPT   450047204       46     3810     SH         SOLE                 3810      0      0
ITT EDUCATIONAL SERVICES INCCOM             45068B109       58     1200     SH         SOLE                 1200      0      0
ICICI BK LTD                ADR             45104G104       38     1970     SH         SOLE                 1970      0      0
IDEXX LABS INC              COM             45168D104       30      524     SH         SOLE                  524      0      0
IMPERIAL CHEM INDS PLC      ADR NEW         452704505      212    11940     SH         SOLE                11940      0      0
INAMED CORP                 COM             453235103       76     1103     SH         SOLE                 1103      0
INFORMATICA CORP            COM             45666Q102       53     6894     SH         SOLE                 6894      0      0
INLAND REAL ESTATE CORP     COM NEW         457461200       37     2477     SH         SOLE                 2477      0      0
INTEL CORP                  COM             458140100      134     6000     SH         SOLE                 5350      0    650
INTERNATIONAL BUSINESS MACHSCOM             459200101      117     1260     SH         SOLE                 1260      0      0
INTERNATIONAL GAME TECHNOLOGCOM             459902102       28      900     SH         SOLE                  900      0      0
INTL PAPER CO               COM             460146103       37      960     SH         SOLE                  960      0      0
INTERSIL CORP               CL A            46069S109       43     2934     SH         SOLE                 2934      0      0
INTERPUBLIC GROUP COS INC   COM             460690100      115     8849     SH         SOLE                 8849      0      0
INVITROGEN CORP             COM             46185R100       88     1281     SH         SOLE                 1281      0      0
IRWIN FINL CORP             COM             464119106       57     2357     SH         SOLE                 2357      0      0
ISHARES INC                 MSCI TAIWAN     464286731      149    12660     SH         SOLE                12660      0      0
ISHARES INC                 MSCI S KOREA    464286772      124     4010     SH         SOLE                 4010      0      0
ISHARES INC                 MSCI MEXICO     464286822       62     2510     SH         SOLE                 2510      0      0
ISHARES INC                 MSCI HONG KONG  464286871       48     4190     SH         SOLE                 4190      0      0
ISHARES TRUST MSCI EMERGING MARKETS         464287234      100      500     SH         SOLE                  500      0      0
ISHARES TR                  S&P500/BAR GRW  464287309       26      475     SH         SOLE                  475      0      0
ISHARES TR                  COHEN&ST RLTY   464287564      136     1100     SH         SOLE                 1100      0      0
ISHARES TR                  RUSSELL1000VAL  464287598      363     5570     SH         SOLE                 5570      0      0
ISHARES TR                  RUSSELL1000GRW  464287614      204     4300     SH         SOLE                 4300      0      0
ISHARES TR                  RUSSELL 1000    464287622      180     2835     SH         SOLE                 2835      0      0
ISHARES TR                  RUSL 2000 VALU  464287630      310     1675     SH         SOLE                 1675      0      0
ISHARES TR                  RUSL 2000 GROW  464287648      312     4850     SH         SOLE                 4850      0      0
ISHARES TR                  RUSSELL 2000    464287655      360     2900     SH         SOLE                 2900      0      0
JPMORGAN CHASE & CO         COM             46625H100      403    10806     SH         SOLE                10806      0      0
JSC MMC NORILSK NICKEL      SPOSORED ADR    46626D108       58     1028     SH         SOLE                 1028      0      0
JACOBS ENGR GROUP INC DEL   COM             469814107      128     2527     SH         SOLE                 2527      0      0
JEFFERIES GROUP INC NEW     COM             472319102       52     1337     SH         SOLE                 1337      0      0
JOHNSON & JOHNSON           COM             478160104      985    15237     SH         SOLE                14837    400      0
JOHNSON CTLS INC            COM             478366107       17      300     SH         SOLE                  300      0      0
JONES APPAREL GROUP INC     COM             480074103      359    10700     SH         SOLE                10300    400      0
KT CORPORATION                              48268K101       52     2420     SH         SOLE                 2420      0      0
KEANE INC                   COM             486665102        4      375     SH         SOLE                  375      0      0
KIMBERLY CLARK CORP         COM             494368103      155     2373     SH         SOLE                 2373      0      0
ROYAL PHILIPS ELECTRONICS   NV              500472303      506    19439     SH         SOLE                18339   1100      0
KOOKMIN BANK                                50049M109       88     2030     SH         SOLE                 2030      0      0
                                                          ----   ------                                   ------   ----   ----
TOTAL FOR PAGE 5                                          8344   219760                                   215210   1900   2650
  

2/8/2005                Client 0781  SCHEDULE 13F WORKSHEET               Page 9

BANK NO. 781        TEXAS CAPITAL BANK, DALLAS, TX
          SCHEDULE 13F WORKSHEET AS OF 01/31/2005      PAGE 6

                           FORM 13F INFORMATION TABLE



              
       




                                                      VALUE   SHARES/ SH/  PUT/  INVSTMT   OTHER    VOTING AUTHORITY
NAME OF ISSUER         TITLE OF CLASS    CUSIP     (X$1000)  PRN AMT PRN  CALL  DSCRETN  MANAGERS   SOLE     SHARED  NONE
------------------     --------------  ---------    -------- ------- ---- ----- -------  --------  --------  ------ ------
                                                                                    


KOOR INDS LTD          SPONSORED ADR    500507108       19        1810 SH                 SOLE           1810     0    0  
KOREA ELECTRIC
 POWER CORP                             500631106       26        1900 SH                 SOLE           1900     0    0  
KROGER CO              COM              501044101      119        6969 SH                 SOLE           6969     0    0  
KRONOS INC             COM              501052104       52         979 SH                 SOLE            979     0    0  
KUBOTA CORP
 (FORMERLY KUBOTA LTD)                  501173207      158        5860 SH                 SOLE           5860     0    0  
KYOCERA CORP                            501556203      202        2800 SH                 SOLE           2800     0    0  
LAMAR ADVERTISING
 CO                    CL A             512815101      562       13100 SH                 SOLE          12600   500    0  
LANDAMERICA FINL
 GROUP INC             COM              514936103       82        1603 SH                 SOLE           1603     0    0  
LANDSTAR SYS INC       COM              515098101      183        5282 SH                 SOLE           5282     0    0  
LEGGETT & PLATT
 INC                   COM              524660107      201        7070 SH                 SOLE           7070     0    0  
LEHMAN BROS HLDGS
 INC                   COM              524908100      953       10455 SH                 SOLE          10455     0    0  
LIFEPOINT HOSPITALS
 INC                   COM              53219L109       37         993 SH                 SOLE            993     0    0  
LINENS N THINGS 
 INC                   COM              535679104       50        1948 SH                 SOLE           1948     0    0  
LITTELFUSE INC         COM              537008104       62        1967 SH                 SOLE           1967     0    0  
LIZ CLAYBORNE
 INC                   COM              539020101       42        1015 SH                 SOLE           1015     0    0  
LOUISIANA CENT OIL 
 & GAS CO              OT NET PROFIT    546234204       50         100 SH                 SOLE            100     0    0  
LOWES CO INC           COM              548661107      308        5415 SH                 SOLE           5415     0    0  
LUCENT TECHNOLOGIES    W* EXP 99/
 INC                   99/9999          549463131        0          64 SH                 SOLE             64     0    0
MDU RES GROUP INC      COM              552690109      275       10300 SH                 SOLE           9200  1100    0  
MGIC INVT CORP WIS     COM              552B48103       75        1174 SH                 SOLE           1174     0    0  
MACROVISION CORP       COM              555904101       46        1993 SH                 SOLE           1993     0    0  
MASCO CORP             COM              574599106     1103       30004 SH                 SOLE          30004     0    0
MATTEL INC             COM              577081102       70        3641 SH                 SOLE           3641     0    0  
MCKESSON CORP          COM              58155Q103      147        4287 SH                 SOLE           4287     0    0 
MEDTRONIC INC          COM              585055106     2027       38620 SH                 SOLE          38620     0    0  
METTLER TOLEDO INTER-
 NATIONAL              COM              592688105      151        3020 SH                 SOLE           3020     0    0  
MICROSOFT CORP         COM              594918104      277       10580 SH                 SOLE           9950     0  630  
MICROCHIP TECHNOLOGY
 INC                   COM              595017104       12         475 SH                 SOLE            475     0    0  
MOBILE TELESYSTEMS
 OJSC                  SPONSORED ADR    607409109       12         948 SH                 SOLE            348     0    0  
MOLEX INC              CL A             608554200       20         800 SH                 SOLE            800     0    0  
MONACO COACH
 COACH                 COM              60886R103       28        1544 SH                 SOLE           1544     0    0  
FEDRTD TFOF INST SHS                    60934N401    15136    15136541 PRN                SOLE       15136541     0    0 
FEDRTD TFOF SRVC
  SHS                                   60934N880     1379     1379246 PRN                SOLE        1379246     0    0 
MONEYGRAM INTL INC     COM              60935Y109      259       13400 SH                 SOLE          13400     0    0 
MOODYS CORP            COM              615369105      393        4700 SH                 SOLE           4700     0    0 
MORGAN STANLEY         COM NEW          617446448      334        5973 SH                 SOLE           5973     0    0 
MORGAN STANLEY INDIA
 INVS                  FDCOM            61745C105       83        2920 SH                 SOLE           2920     0    0 
MOTOROLA INC           COM              620076109       64        4085 SH                 SOLE           4085     0    0 
NABI BIOPHARMA-
 CEUTICALS                              629519109       42        3261 SH                 SOLE           3261     0    0 
NARA BANCORP           COM              63080P105      103        5215 SH                 SOLE           5215     0    0 
NEEHAH PAPER INC       COM              640079109        2          74 SH                 SOLE             74     0    0 
NEIMAN MARCUS GROUP
 INC                   CL A             640204202      267        4000 SH                 SOLE           3600   400    0 
NETWORK APPLIANCE INC  COM              64120L104     1034       32485 SH                 SOLE          32485     0    0 
NEW CENTURY 
 FINANCIAL             CORP MD          6435EV108      110        1846 SH                 SOLE           1846     0    0 
NIKE INC               CL B             654106103       88        1025 SH                 SOLE           1025     0    0 
99 CENTS ONLY STORES   COM              65440K106       27        1833 SH                 SOLE           1833     0    0 
NOKIA CORP             SPONSORED ADR    654902204       13         900 SH                 SOLE            900     0    0 
NOBLE AFFILIATES INC                    655044105       65        1100 SH                 SOLE           1100     0    0 
NORDSTROM INC          COM              655664100      797       16520 SH                 SOLE          16520     0    0 
NOVARTIS AG                             66987V109      136        2860 SH                 SOLE           2860     0    0 
NOVO-NORDISK A/S       NOVO INDUSTRI
 IVORMALS                A/S            670100205      313        5860 SH                 SOLE           5860     0    0 
                                                  ----------  --------                              ----------  ----- ------

TOTAL FOR PAGE 6                                     27994    16799960                               16797330  2000  630    



                              TEXAS CAPITAL BANK, DALLAS, TX

BANK NO. 781             SCHEDULE 13F WORKSHEET    AS OF 1/31/2005        PAGE 7




                                                                          FORM 13F  INFORMATION TABLE
                                                                 VALUE    SHARES/   SH/  PUT/  INVSTMT   OTHER     VOTING AUTHORITY
      NAME OF ISSUER              TITLE OF CLASS        CUSIP   (X$1000)  PRN AMT   PRN  CALL  DSCRETN  MANAGERS  SOLE  SHARED  NONE
--------------------------------  -----------------  ---------  --------  -------   ---  ----  -------  --------  ----  ------  ----
                                                                                               

NOCENTRIX BRDBD NTWR                                 670198118       0       17      SH         SOLE                 17     0     0
NVIDIA CORP                       COM                67066G104      13      600      SH         SOLE                600     0     0
OGE ENERGY CORP COM                                  670837103      52     2000      SH         SOLE               2000     0     0
OCCIDENTAL PETE CORP DEL          COM                674599105     936    16035      SH         SOLE              16035     0     0
OIL CO LUKOIL                     SPONSORED ADR      677862104      21      173      SH         SOLE                173     0     0
OLYMPIC STEEL INC                 COM                68162K106     135     5771      SH         SOLE               5771     0     0
OMNICOM GROUP INC                 COM                681919106     164     1943      SH         SOLE               1943     0     0
ONEOK INC NEW                     COM                682680103      78     2841      SH         SOLE               2841     0     0
OPEN JT STK CO-VIMPEL COMMUNSPONSORED ADR            68370B109      13      368      SH         SOLE                368     0     0
OPEN TEXT CORP                    COM                683715106      85     4362      SH         SOLE               4362     0     0
ORACLE CORP                       COM                68389X105     402    29210      SH         SOLE              27710  1500     0
POSCO                                                693483109      25      570      SH         SOLE                570     0     0
PSS WORLD MED INC                 COM                69366A100      38     3078      SH         SOLE               3078     0     0
PACCAB INC                        COM                693718108     821    11633      SH         SOLE              11633     0     0
PACIFIC CAP BANCORP NEW           COM                69404P101      90     2949      SH         SOLE               2949     0     0
PACTIV CORP                       COM                695257105     250    11300      SH         SOLE              10600   700     0
PALL CORP                         COM                696429907     164     6110      SH         SOLE               6110     0     0
PAREXEL INTL CORP                 COM                699462107      99     4184      SH         SOLE               4184     0     0
PARKER HANNIFIN CORP              COM                701054104      71     1092      SH         SOLE               1092     0     0
PARTNER COMMUNICATIONS CO LTADR                      70211M109      12     1540      SH         SOLE               1540     0     0
PEC SOLUTIONS INC                 COM                705107100      65     5362      SH         SOLE               5362     0     0
PEPSICO INC                       COM                713448108     502     9365      SH         SOLE               9115   250     0
PERFORMANCE FOOD GROUP CO         COM                713755106      64     2384      SH         SOLE               2384     0     0
PERRIGO CO                        COM                714290103     102     5953      SH         SOLE               5953     0     0
PT INDONESIAN SATELLITE           CORP (PERSERO) TBK 715680104      29      940      SH         SOLE                940     0     0
PT TELEKOMUNIKASI INDONESIA (PERSERO) TBK            715684106      57     2770      SH         SOLE               2770     0     0
PETCO ANIMAL SUPPLIES             COM NEW            716016209      75     1995      SH         SOLE               1995     0     0
PETROLEO BRASILEIRO SA PETROSPONSORED ADR            71654V101      50     1410      SH         SOLE               1410     0     0
PFIZER INC                        COM                717081103     798    33057      SH         SOLE              32257   800     0
PHOTON DYNAMICS INC               COM                719364101      70     3263      SH         SOLE               3263     0     0
PIPER JAFFRAY COS                 COM                724078100      34      874      SH         SOLE                874     0     0
PORTUGAL TELECOM SGPS SA                             737273102     216    17460      SH         SOLE              17460     0     0
PRAXAIR INC                       COM                74005P104      18      420      SH         SOLE                420     0     0
PRIORITY HEALTHCARE CORP          CL B               74264T102     146     6350      SH         SOLE               6350     0     0
PROCTER & GAMBLE CO               COM                742718109      56     1060      SH         SOLE               1060     0     0
PROVIDENT BANKSHARES CORP         COM                743859100      23      722      SH         SOLE                722     0     0
PSYCHIATRIC SOLUTIONS INC         COM                74439B108     151     4278      SH         SOLE               4278     0     0
PUBLIC STORAGE INC 8% PFD                            74460D687      52     2000      SH         SOLE               2000     0     0
QUALCOMM INC                      COM                747525103     111     3000      SH         SOLE               3000     0     0
QUEST DIAGNOSTICS INC             COM                74834L100     838     8800      SH         SOLE               8500   300     0
QUESTAR CORP                      COM                748356102     253     5000      SH         SOLE               4800   200     0
RADIOSHACK CORP                   COM                750438103      14      450      SH         SOLE                450     0     0
RARE HOSPITALITY INTL INC         COM                753820109      67     2141      SH         SOLE               2141     0     0
RAYTHEON CO                       COM NEW            755111507      40     1075      SH         SOLE               1075     0     0
REGAL BELOIT CORP                 COM                758750103      12      424      SH         SOLE                424     0     0
REPSOL YPF SA                                        76026T205     222     8710      SH         SOLE               8710     0     0
REPUBLIC SVCS INC                 COM                760759100     550    16700      SH         SOLE              15800   900     0
ROBERT HALF INTL INC              COM                770323103      15      500      SH         SOLE                500     0     0
ROCKWELL AUTOMATION INC.          COM                773903109     339     6000      SH         SOLE               5700   300     0
ROYAL DUTCH PETE CO               NY REG GLDI .25    780257804      17      300      SH         SOLE                300     0     0
RUBY TUESDAY INC                  COM                781182100      44     1746      SH         SOLE               1746     0     0
                                                                  ----   ------                                  ------  ----   ---
                                                                  8499   260285                                  255335  4950     0
TOTAL FOR PAGE 7




                         TEXAS CAPITAL BANK, DALLAS, TX
BANK NO. 781        SCHEDULE 13F WORKSHEET AS OF 01/31/2005               PAGE 8



                                                                                   FORM 13F  INFORMATION TABLE
                                                                      VALUE        SHARES/     SH/    PUT/   INVSTMT      OTHER
NAME OF ISSUER                  TITLE OF CLASS        CUSIP          (X$1000)      PRN AMT     PRN    CALL   DSCRETN     MANAGERS
--------------                  --------------        -----          --------      --------    ---    ----   -------     --------
                                                                                                 
RUDDIC CORP                     COM                   781258108            88          4184    SH            SOLE
RYANAIR HLDGS PLC               SPONSORED ADR         783513104           138          2960    SH            SOLE
SBC COMMUNICATIONS INC          COM                   78387G103            99          4196    SH            SOLE
SBC COMMUNICATIONS INC          COM                   78387G103            26          1095    SH            DEFINED
SAFECO CORP                     COM                   786429100            11           250    SH            SOLE
SAFEWAY INC                     COM NEW               786514208            60          3202    SH            SOLE
SANDVIK AB                      ADR                   800212201           124          3050    SH            SOLE
SANOFI AVENTIS                  SPONSORED ADR         80105N105           350          9417    SH            SOLE
SAPPI LTD                       SPON ADR NEW          803069202            37          2880    SH            SOLE
SARA LEE CORP                   COM                   803111103           180          7693    SH            SOLE
SASOL LTD                       SPONSORED ADR         803866300            36          1810    SH            SOLE
SATYAM COMP SVCS ADR                                  804098101            60          2490    SH            SOLE
SCHEIN HENRY INC                COM                   806407102            63           933    SH            SOLE
SCHLUMBERGER LTD                COM                   806857108           108          1600    SH            SOLE
SEMTECH CORP                    COM                   816850101            34          1905    SH            SOLE
SENSIENT TECHNOLOGIES CORP      COM                   81725T100           254         11200    SH            SOLE
SERENA SOFTWARE INC             COM                   817492101            73          3433    SH            SOLE
SHOPKO STORES INC               COM                   824911101           112          6228    SH            SOLE
AIM STIC LAP PERSNL                                   825251754          1007       1007945    PRN           SOLE
AIM STIC LAP INST                                     825251820         19051      19051381    PRN           SOLE
AIM STIC LAP INST                                     825251820            51         51058    PRN           DEFIINED
AIM TREASURY INSTITUTIONAL                            825252406            96         96953    PRN           SOLE
SHUFFLE MASTER INC              COM                   825549108           163          5617    SH            SOLE
SIEMENS A G                     SPONSORED ADR         826197501           227          2860    SH            SOLE
SIGMA ALDRICH CORP              COM                   826552101           834         13282    SH            SOLE
SILICON LABORATORIES INC        COM                   826919102            35          1048    SH            SOLE
SMITH & NEPHEW PLC              SPDN ADR NEW          83175M205           147          2990    SH            SOLE
SOCIEDAD QUIMICA Y MINERA       DE CHILE SA           833635105           171          2860    SH            SOLE
SOUTHWEST AIRLS CO              COM                   844741108            98          6800    SH            SOLE
SOUTHWEST BANCORPORATION TEX    COM                   84476R109           197         10000    SH            SOLE
STARWOOD HOTELS & RESORTS WRLD  PAIRED CTF            85590A203            79          1381    SH            SOLE
STERICYCLE INC                  COM                   858912108            94          1841    SH            SOLE
STRYKER CORP                    COM                   863667101           820         16705    SH            SOLE
SUNOPTA INC                     COM                   8676EP108            59          8426    SH            SOLE
SUNRISE SENIOR LIVING INC.      COM                   86768K106           162          3546    SH            SOLE
SYMANTEC CORP                   COM                   871503108           759         32552    SH            SOLE
SYSCO CORP                      COM                   871829107            23           660    SH            SOLE
TAIWAN GREATER CHINA FD         SH BEN INT            874037104            51         10649    SH            SOLE
TAIWAN SEMICONDUCTOR MFG LTD    SPONSORED ADR         874039100           179         20491    SH            SOLE
TANGER FACTORY OUTLET           CENTERS INC COM       875465106            11           500    SH            SOLE
TARGET CORP                     COM                   87612E106           271          5345    SH            SOLE
TATA MTRS LTD                   SPONSORED ADR         876568502            31          2670    SH            SOLE
TELE NORTE LESTE                PARTICIPACOES SA ADR  879246106            26          1870    SH            SOLE
TELECOM ITALIA SPA                                    87927Y102           227          5740    SH            SOLE
TELEFONICA SA                                         879382208           155          2860    SH            SOLE
TENNANT CO                      COM                   880345103            42          1090    SH            SOLE
TESCO PLC                       SPONSORED ADR         881575302           138          7940    SH            SOLE
TESORO CORP                     COM                   881609101           124          3921    SH            SOLE
TEVA PHARMACEUTICAL INDS LTD    ADR                   881624209           157          5470    SH            SOLE
TEXAS CAPITAL BANCSHARES, INC.                        88224Q107          3063        129274    SH            SOLE
TEXAS INSTRS INC                COM                   862508104            88          3800    SH            SOLE
--------------                                                       --------      --------                                         
TOTAL FOR PAGE 8                                                        30489      20588051




                                    FORM 13F INFORMATION TABLE
                                                 VOTING AUTHORITY
NAME OF ISSUER                  SOLE                  SHARED               NONE
--------------                  -------          ----------------          ------
                                                                  
RUDDIC CORP                        4184                   0                     0
RYANAIR HLDGS PLC                  2960                   0                     0
SBC COMMUNICATIONS INC             4196                   0                     0
SBC COMMUNICATIONS INC             1095                   0                     0
SAFECO CORP                         250                   0                     0
SAFEWAY INC                        3202                   0                     0
SANDVIK AB                         3050                   0                     0
SANOFI AVENTIS                     9417                   0                     0
SAPPI LTD                          2880                   0                     0
SARA LEE CORP                      7693                   0                     0
SASOL LTD                          1810                   0                     0
SATYAM COMP SVCS ADR               2490                   0                     0
SCHEIN HENRY INC                    933                   0                     0
SCHLUMBERGER LTD                   1600                   0                     0
SEMTECH CORP                       1905                   0                     0
SENSIENT TECHNOLOGIES CORP        10900                 300                     0
SERENA SOFTWARE INC                3433                   0                     0
SHOPKO STORES INC                  6228                   0                     0
AIM STIC LAP PERSNL               21081                   0                986864
AIM STIC LAP INST              18959194               92187                     0
AIM STIC LAP INST                 51058                   0                     0
AIM TREASURY INSTITUTIONAL        96953                   0                     0
SHUFFLE MASTER INC                 5617                   0                     0
SIEMENS A G                        2860                   0                     0
SIGMA ALDRICH CORP                13282                   0                     0
SILICON LABORATORIES INC           1048                   0                     0
SMITH & NEPHEW PLC                 2990                   0                     0
SOCIEDAD QUIMICA Y MINERA          2860                   0                     0
SOUTHWEST AIRLS CO                 6800                   0                     0
SOUTHWEST BANCORPORATION TEX      10000                   0                     0
STARWOOD HOTELS & RESORTS WRLD     1381                   0                     0
STERICYCLE INC                     1841                   0                     0
STRYKER CORP                      16705                   0                     0
SUNOPTA INC                        8426                   0                     0
SUNRISE SENIOR LIVING INC.         3546                   0                     0
SYMANTEC CORP                     32552                   0                     0
SYSCO CORP                          660                   0                     0
TAIWAN GREATER CHINA FD           10649                   0                     0
TAIWAN SEMICONDUCTOR MFG LTD      20491                   0                     0
TANGER FACTORY OUTLET               500                   0                     0
TARGET CORP                        5345                   0                     0
TATA MTRS LTD                      2670                   0                     0
TELE NORTE LESTE                   1870                   0                     0
TELECOM ITALIA SPA                 5740                   0                     0
TELEFONICA SA                      2860                   0                     0
TENNANT CO                         1090                   0                     0
TESCO PLC                          7940                   0                     0
TESORO CORP                        3921                   0                     0
TEVA PHARMACEUTICAL INDS LTD       5470                   0                     0
TEXAS CAPITAL BANCSHARES, INC.        0              129274                     0
TEXAS INSTRS INC                   3500                   0                   300
                               --------              ------                ------
TOTAL FOR PAGE 8               19379126              221761                987164


                         TEXAS CAPITAL BANK, DALLAS TX
BANK NO. 781        SCHEDULE 13F WORKSHEET        AS OF 1/31/2005        PAGE 9



                                                                                       FORM 13F INFORMATION TABLE
                                                               VALUE       SHARES/       SH/ PUT/        INVESTMT       OTHER
NAME OF ISSUER              TITLE OF CLASS         CUSIP      (X$1000)     PRN AMT       PRN CALL         DSCRETN      MANAGERS
------------------          ---------------      ---------    --------    --------       --- ----        --------      --------
                                                                                                  
THAI FD INC                 COM                  882904105         121       11090       SH              SOLE
TEXTRON INC                 COM                  883203101         225        3130       SH              SOLE
3M COMPANY                  COM                  88579Y101          21         250       SH              SOLE
TOWN & CTRY TR              SH BEN INT           892081100          35        1385       SH              SOLE
TOYOTA MOTOR CORP           SP ADR REP2COM       892331307         231        2960       SH              SOLE
TRACTOR SUPPLY CO           COM                  892356106          67        1885       SH              SOLE
TURKCELL ILETISIM HIZMETLERISPON ADR NEW         900111204          49        2759       SH              SOLE
TYCO INTL LTD NEW           COM                  902124106        1369       37908       SH              SOLE
U S G CORP                  COM NEW              903293405         175        5479       SH              SOLE
ULTRAPAR PARTICIPACOES S A  SP ADR REP PFD       90400P101          12         620       SH              SOLE
UNITED DEFENSE INDS INC     COM                  91018B104         157        3282       SH              SOLE
UNITED MICROELECTRONICS CORPSPONSORED ADR        910873207          51       14542       SH              SOLE
UNITED STATES STL CORP NEW  COM                  912909108        1043       20145       SH              SOLE
UNITED TECHNOLOGIES CORP    COM                  913017109         174        1735       SH              SOLE
UNITEDHEALTH GROUP INC      COM                  91324P102        1193       13426       SH              SOLE
UNOVA INC                   COM                  91529B106          50        2192       SH              SOLE
VALERO ENERGY CORP NEW      COM                  91913Y100         338        6500       SH              SOLE
VALUECLICK INC              COM                  92046N102          86        6507       SH              SOLE
VARIAN INC                  COM                  922206107          44        1121       SH              SOLE
VANGUARD MON BD FD INC      INTER TRM PORT       922907209         144       10598                       SOLE
VERIZON COMMUNICATIONS      COM                  92343V104          13         390       SH              SOLE
VIACOM INC                  CL B                 925524308         354        9500       SH              SOLE
VODAFONE GROUP PLC NEW      SPONSORED ADR        92857W100         330       12740       SH              SOLE
WCI CMNTYS INC              COM                  92923C104          24         758       SH              SOLE
WPP GROUP PLC               SPON ADR NEW         929309300         158        2930       SH              SOLE
WADDELL & REED FINL INC     CL A                 930059100          76        3482       SH              SOLE
WAL MART STORES INC         COM                  931142103         114        2190       SH              SOLE
WALGREEN CO                 COM                  931422109          51        1200       SH              SOLE
WASHINGTON MUT INC          COM                  939322103          24         600       SH              SOLE
WASTE CONNECTIONS INC                            941053100         564       17950       SH              SOLE
WASTE MGMT INC DEL          COM                  94106L109         198        6844       SH              SOLE
WATERS CORP                 COM                  941848103         363        7401       SH              SOLE
WEBSENSE INC                COM                  947684106         101        1887       SH              SOLE
WEBSTER FINL CORP CONN      COM                  947890109          91        2040       SH              SOLE
WELLS FARGO & CO NEW        COM                  947946101         411        6710       SH              SOLE
WESTERN GAS RES INC         COM                  958259103          48        1604       SH              SOLE
WILMINGTON TRUST CORP       COM                  971807102          38        1101       SH              SOLE
WINNEBAGO INDS INC          COM                  974637100          54        1567       SH              SOLE
WINTRUST FINANCIAL CORP     COM                  97650W108          30         543       SH              SOLE
WYETH                                            983024100         264        6677       SH              SOLE
YORK INTL CORP NEW          COM                  986670107         286        7900       SH              SOLE
YUM BRANDS INC              COM                  988498101          22         480       SH              SOLE
ZIMMER HLDGS INC            COM                  98956P102         848       10760       SH              SOLE
                                                              --------    -------- 
TOTAL FOR PAGE 9                                                 10047      254768

GRAND TOTALS                                                    140221    39528779




                                           VOTING AUTHORITY
NAME OF ISSUER                      SOLE         SHARED      NONE             
------------------                 ------        ------     ------
                                                   
THAI FD INC                         11090             0          0
TEXTRON INC                          3130             0          0
3M COMPANY                            250             0          0
TOWN & CTRY TR                       1385             0          0
TOYOTA MOTOR CORP                    2960             0          0
TRACTOR SUPPLY CO                    1885             0          0
TURKCELL ILETISIM HIZMETLERI         2759             0          0
TYCO INTL LTRD NEW                  37308           600          0
U S G CORP                           5479             0          0
ULTRAPAR PARTICIPACOES S A            620             0          0
UNITED DEFENSE INDS INC              3282             0          0
UNITED MICROELECTRONICS CORP        14542             0          0
UNITED STATES STL CORP NEW          20145             0          0
UNITED TECHNOLOGIES CORP             1735             0          0
UNITEDHEALTH GROUP INC              13426             0          0
UNOVA INC                            2192             0          0
VALERO ENERGY CORP NEW               6500             0          0
VALUECLICK INC                       6507             0          0
VARIAN INC                           1121             0          0
VANGUARD MON BD FD INC              10598             0          0
VERIZON COMMUNICATIONS                390             0          0
VIACOM INC                           9100           400          0
VODAFONE GROUP PLC NEW              12740             0          0
WCI CMNTYS INC                        758             0          0
WPP GROUP PLC                        2930             0          0
WADDELL & REED FINL INC              3482             0          0
WAL MART STORES INC                  2190             0          0
WALGREEN CO                           700             0        500
WASHINGTON MUT INC                      0             0        600
WASTE CONNECTIONS INC               17200           750          0
WASTE MGMT INC DEL                   6844             0          0
WATERS CORP                          7201           200          0
WEBSENSE INC                         1887             0          0
WEBSTER FINL CORP CONN               2040             0          0
WELLS FARGO & CO NEW                 6560           150          0
WESTERN GAS RES INC                  1604             0          0
WILMINGTON TRUST CORP                1101             0          0
WINNEBAGO INDS INC                   1567             0          0
WINTRUST FINANCIAL CORP               543             0          0
WYETH                                6677             0          0
YORK INTL CORP NEW                   7100           800          0
YUM BRANDS INC                        480             0          0 
ZIMMER HLDGS INC                    10760             0          0
                                   ------        ------     ------
TOTAL FOR PAGE 9                   250768          2900       1100

GRAND TOTALS                     38286841        249444     992494


2/8/2005               Client 0781 SCHEDULE 13F WORKSHEET               Page 17