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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE QUARTER ENDED: 3/31/2010

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:    People's United Financial, Inc.
ADDRESS: 850 Main Street
         Bridgeport, CT 06604

Form 13F File Number: 28-05107

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:  R. David Rosato
TITLE: Senior Vice President and Treasurer
PHONE: (203) 338-7286

/s/ R. David Rosato
-----------------------------
Bridgeport, CT
5/14/10

REPORT TYPE (CHECK ONLY ONE.):

[x]  13F HOLDINGS REPORT

[_]  13F NOTICE

[_]  13F COMBINATION REPORT




                              FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:               2
FORM 13F INFORMATION TABLE ENTRY TOTAL:        705
FORM 13F INFORMATION TABLE VALUE TOTAL: $1,167,915

List of other included managers:

No.   Form 13F File Number   Name
---   --------------------   ------------------------
001   28-20631               People's United Bank
002   28-12043               People's Securities Inc.






                                   TITLE OF               VALUE    SHARES/  SH/ PUT/ INVSTMT   OTHER   VOTING AUTHORITY
         NAME OF ISSUER             CLASS       CUSIP    (X1000)   PRN AMT  PRN CALL DSCRETN MANAGERS   SOLE    SHARED
------------------------------- ------------- --------- --------- --------- --- ---- ------- -------- ------- --------- -------
                                                                                       
100,000THS TRAVEL CENTERS OF    COMMON        JKE174103        --    50,000 SH       SOLE         001       0         0  50,000
3M CO                           COMMON        88579Y101     9,669   115,702 SH       SOLE         001 103,130     1,085  11,487
3M CO                           COMMON        88579Y101     2,021    24,187 SH       OTHER        001  23,608       144     435
3M CO                           COMMON        88579Y101      3171     37943 SH       DEFINED      002       0    37,943       0
3M CO                           COMMON        88579Y101       201      2400 SH       SOLE         002     300         0   2,100
50 SOUTH TENTH STREET CORP      COMMON        REIT00058       200         2 SH       SOLE         001       2         0       0
ABBOTT LABORATORIES INC         COMMON        002824100     1,906    36,177 SH       SOLE         001  34,942       325     910
ABBOTT LABORATORIES INC         COMMON        002824100       823    15,621 SH       OTHER        001  15,551        70       0
ABBOTT LABORATORIES INC         COMMON        002824100      1035     19654 SH       DEFINED      002       0    19,654       0
ABBOTT LABORATORIES INC         COMMON        002824100      1367     25955 SH       SOLE         002     200         0  25,755
ACCENTURE PLC IRELAND           SPONSORED ADR G1151C101       798    19,030 SH       SOLE         001  11,640         0   7,390
ACCENTURE PLC IRELAND           SPONSORED ADR G1151C101       133     3,177 SH       OTHER        001      50       550   2,577
ACME UTD CORP                   COMMON        004816104       200    18,232 SH       SOLE         001       0         0  18,232
ACTIVISION BLIZZARD INC         COMMON        00507V109       149     12400 SH       DEFINED      002       0    12,400       0
AETNA INC                       COMMON        00817Y108        38     1,084 SH       SOLE         001   1,084         0       0
AETNA INC                       COMMON        00817Y108       230     6,560 SH       OTHER        001   6,560         0       0
AETNA INC                       COMMON        00817Y108       217      6174 SH       DEFINED      002       0     6,174       0
AFLAC INC                       COMMON        001055102     9,087   167,387 SH       SOLE         001 161,672     2,557   3,158
AFLAC INC                       COMMON        001055102       992    18,278 SH       OTHER        001  17,529       749       0
AIG VAR ANN P79A4024918         OTHER         VARANN918        48     47747 SH       DEFINED      002    N.A.      N.A.    N.A.
AIG VAR ANN P79A4025803         OTHER         VARANN803        35     34948 SH       DEFINED      002    N.A.      N.A.    N.A.
AIR PRODS & CHEMS INC           COMMON        009158106     7,284    98,495 SH       SOLE         001  95,995     1,042   1,458
AIR PRODS & CHEMS INC           COMMON        009158106       314     4,242 SH       OTHER        001   3,747       495       0
ALCOA INC                       COMMON        013817101     2,414   169,494 SH       SOLE         001 168,794         0     700
ALCOA INC                       COMMON        013817101       116     8,180 SH       OTHER        001   8,180         0       0
ALLERGAN INC                    COMMON        018490102     7,685   117,649 SH       SOLE         001 114,015     1,526   2,108
ALLERGAN INC                    COMMON        018490102       581     8,891 SH       OTHER        001   7,792     1,099       0
ALLIANCEBERNSTEIN INCOME        OTHER         01881E101        81     10000 SH       DEFINED      002    N.A.      N.A.    N.A.
ALTRIA GROUP INC                COMMON        02209S103     4,078   198,716 SH       SOLE         001 170,139     3,745  24,832
ALTRIA GROUP INC                COMMON        02209S103       565    27,533 SH       OTHER        001  20,727     1,726   5,080
ALTRIA GROUP INC                COMMON        02209S103       322     15697 SH       DEFINED      002       0    15,697       0
AMERICAN EXPRESS CO             COMMON        025816109     1,433    34,728 SH       SOLE         001  33,261         0   1,467
AMERICAN EXPRESS CO             COMMON        025816109       423    10,260 SH       OTHER        001   9,510       750       0
AMERICAN EXPRESS CO             COMMON        025816109       425     10300 SH       DEFINED      002       0    10,300       0
AMGEN INC                       COMMON        031162100     5,221    87,260 SH       SOLE         001  86,662       298     300
AMGEN INC                       COMMON        031162100       493     8,239 SH       OTHER        001   7,673       366     200
AMGEN INC                       COMMON        031162100       510      8525 SH       DEFINED      002       0     8,525       0
AMGEN INC                       COMMON        031162100       653     10920 SH       SOLE         002       0     1,000   9,920
AMGEN INC                       PFD           031162AN0      4638   4685000 PRN      DEFINED      002       0 4,685,000       0
ANADARKO PETE CORP              COMMON        032511107       204     2,806 SH       OTHER        001   2,500         0     306
ANALOG DEVICES INC              COMMON        032654105       504    17,480 SH       SOLE         001  17,480         0       0
ANALOG DEVICES INC              COMMON        032654105        26       904 SH       OTHER        001     775       129       0
ANWORTH MORTGAGE ASSET CP       COMMON        037347101        78    11,500 SH       SOLE         001  11,500         0       0



                                     1 of 16





                                                                                       
ANWORTH MORTGAGE ASSET CP       COMMON        037347101         7     1,000 SH       OTHER        001   1,000         0       0
APACHE CORP                     COMMON        037411105     8,463    83,376 SH       SOLE         001  75,381     2,489   5,506
APACHE CORP                     COMMON        037411105       808     7,956 SH       OTHER        001   6,880       466     610
APACHE CORP                     COMMON        037411105      2732     26920 SH       DEFINED      002       0    26,920       0
APACHE CORP                     COMMON        037411105       903      8900 SH       SOLE         002     300         0   8,600
APPLE INC                       COMMON        037833100    17,136    72,919 SH       SOLE         001  68,393     1,373   3,153
APPLE INC                       COMMON        037833100     1,512     6,436 SH       OTHER        001   5,766       605      65
APPLE INC                       COMMON        037833100      4303     18310 SH       DEFINED      002       0    18,310       0
APPLE INC                       COMMON        037833100       317      1350 SH       SOLE         002     200         0   1,150
APPLIED MATLS INC               COMMON        038222105       338    25,130 SH       SOLE         001   3,380         0  21,750
APPLIED MATLS INC               COMMON        038222105        40     2,995 SH       OTHER        001   2,310         0     685
ARROW FINL CORP                 COMMON        042744102       246     9,133 SH       SOLE         001   9,133         0       0
ARROW FINL CORP                 COMMON        042744102       354    13,160 SH       OTHER        001  13,160         0       0
ASTRAZENECA PLC                 SPONSORED ADR 046353108       526    11,760 SH       SOLE         001      80         0  11,680
ASTRAZENECA PLC                 SPONSORED ADR 046353108        30       660 SH       OTHER        001     100         0     560
AT&T INC                        COMMON        00206R102    15,538   601,315 SH       SOLE         001 558,773     9,617  32,925
AT&T INC                        COMMON        00206R102     2,447    94,714 SH       OTHER        001  88,659     3,525   2,530
AT&T INC                        COMMON        00206R102      1566     60586 SH       DEFINED      002       0    60,586       0
AUTOMATIC DATA PROCESSING       COMMON        053015103     3,306    74,350 SH       SOLE         001  72,039     1,407     904
AUTOMATIC DATA PROCESSING       COMMON        053015103       991    22,283 SH       OTHER        001  17,205     1,028   4,050
AUTOMATIC DATA PROCESSING       COMMON        053015103       359      8083 SH       DEFINED      002       0     8,083       0
AVALONBAY CMNTYS INC            COMMON        053484101       172     1,994 SH       SOLE         001   1,959         0      35
AVALONBAY CMNTYS INC            COMMON        053484101       158     1,828 SH       OTHER        001   1,803         0      25
AVNET INC                       COMMON        053807103       597     19900 SH       DEFINED      002       0    19,900       0
AVON PRODS INC                  COMMON        054303102     2,107    62,204 SH       SOLE         001  58,930       825   2,449
AVON PRODS INC                  COMMON        054303102       235     6,936 SH       OTHER        001   5,821     1,115       0
BAKER HUGHES INC                COMMON        057224107     3,246    69,299 SH       SOLE         001  67,409     1,012     878
BAKER HUGHES INC                COMMON        057224107       203     4,330 SH       OTHER        001   4,270        60       0
BALFOUR MACLAINE CORP           COMMON        058459AA6         0     15000 SH       DEFINED      002       0    15,000       0
BANK OF AMERICA CORP            COMMON        060505104     9,171   513,755 SH       SOLE         001 507,253       742   5,760
BANK OF AMERICA CORP            COMMON        060505104       667    37,342 SH       OTHER        001  37,117         0     225
BANK OF AMERICA CORP            COMMON        060505104       570     31957 SH       DEFINED      002       0    31,957       0
BANK OF AMERICA CORP            PFD           060505724      1272     51800 SH       DEFINED      002       0    51,800       0
BANK OF NEW YORK MELLON CORP    COMMON        064058100     7,627   246,997 SH       SOLE         001 242,517     2,505   1,975
BANK OF NEW YORK MELLON CORP    COMMON        064058100     1,127    36,485 SH       OTHER        001  35,313     1,172       0
BARD C R INC                    COMMON        067383109       352     4,067 SH       SOLE         001   3,677         0     390
BARD C R INC                    COMMON        067383109        63       730 SH       OTHER        001     705         0      25
BAXTER INTL INC                 COMMON        071813109       341     5,866 SH       SOLE         001   3,890         0   1,976
BAXTER INTL INC                 COMMON        071813109         3        48 SH       OTHER        001       0         0      48
BAXTER INTL INC                 COMMON        071813109      1427     24525 SH       DEFINED      002       0    24,525       0
BB&T CORP                       COMMON        054937107     1,956    60,400 SH       SOLE         001  60,400         0       0
BECTON DICKINSON & CO           COMMON        075887109     1,042    13,229 SH       SOLE         001   9,014         0   4,215
BECTON DICKINSON & CO           COMMON        075887109       272     3,449 SH       OTHER        001   2,259         0   1,190
BECTON DICKINSON & CO           COMMON        075887109      1104     14018 SH       DEFINED      002       0    14,018       0
BERKSHIRE HATHAWAY INC DEL CL A COMMON        084670108    13,033       107 SH       SOLE         001     107         0       0
BERKSHIRE HATHAWAY INC DEL CL A COMMON        084670108       244         2 SH       OTHER        001       0         0       2



                                     2 of 16





                                                                                       
BERKSHIRE HATHAWAY INC DEL CL B COMMON        084670702     2,047    25,193 SH       SOLE         001  24,771         0     422
BERKSHIRE HATHAWAY INC DEL CL B COMMON        084670702       574     7,060 SH       OTHER        001   1,335         0   5,725
BERKSHIRE HATHAWAY INC DEL CL B COMMON        084670702       328      4038 SH       DEFINED      002       0     4,038       0
BEST BUY INC                    COMMON        086516101     8,804   206,965 SH       SOLE         001 201,230     2,132   3,603
BEST BUY INC                    COMMON        086516101       528    12,416 SH       OTHER        001  11,308     1,108       0
BHP BILLITON LTD                SPONSORED ADR 088606108     7,777    96,826 SH       SOLE         001  88,396     1,288   7,142
BHP BILLITON LTD                SPONSORED ADR 088606108       646     8,049 SH       OTHER        001   6,389       693     967
BHP BILLITON LTD                SPONSORED ADR 088606108      1426     17750 SH       DEFINED      002     100    17,650       0
BIRDSEYE BUILDING COMPANY, I    OTHER         STK000054       354    25,000 SH       SOLE         001    N.A.      N.A.    N.A.
BOEING CO                       COMMON        097023105     3,637    50,088 SH       SOLE         001  42,727         0   7,361
BOEING CO                       COMMON        097023105       883    12,164 SH       OTHER        001   3,655        61   8,448
BOEING CO                       COMMON        097023105       507      6986 SH       DEFINED      002       0     6,986       0
BOEING CO                       COMMON        097023105       738     10165 SH       SOLE         002       0         0  10,165
BP PLC                          SPONSORED ADR 055622104    14,872   260,598 SH       SOLE         001 242,361     3,296  14,941
BP PLC                          SPONSORED ADR 055622104     1,685    29,529 SH       OTHER        001  28,004       855     670
BP PLC                          SPONSORED ADR 055622104       560      9820 SH       DEFINED      002       0     9,820       0
BP PLC                          SPONSORED ADR 055622104       263      4606 SH       SOLE         002     200         0   4,406
BRISTOL MYERS SQUIBB CO         COMMON        110122108     1,996    74,764 SH       SOLE         001  42,510       200  32,054
BRISTOL MYERS SQUIBB CO         COMMON        110122108       670    25,109 SH       OTHER        001  21,589       156   3,364
BRISTOL MYERS SQUIBB CO         COMMON        110122108       649     24308 SH       DEFINED      002       0    24,308       0
BRISTOL MYERS SQUIBB CO         COMMON        110122108       326     12200 SH       SOLE         002       0         0  12,200
BROADCOM CORP                   COMMON        111320107      1868     56250 SH       DEFINED      002     150    56,100       0
CAMPBELL SOUP COMPANY           COMMON        134429109       239      6750 SH       DEFINED      002       0     6,750       0
CANADIAN NATL RY CO             COMMON        136375102       552     9,115 SH       SOLE         001   1,205         0   7,910
CANADIAN NATL RY CO             COMMON        136375102        17       280 SH       OTHER        001       0         0     280
CAPITAL ONE FINL CORP           COMMON        14040H105     5,176   124,982 SH       SOLE         001 121,649     1,060   2,273
CAPITAL ONE FINL CORP           COMMON        14040H105       114     2,749 SH       OTHER        001   2,654        95       0
CARNIVAL CORP                   COMMON        143658300       466    11,990 SH       SOLE         001   8,835         0   3,155
CARNIVAL CORP                   COMMON        143658300        26       681 SH       OTHER        001     600         0      81
CATERPILLAR INC                 COMMON        149123101     4,789    76,194 SH       SOLE         001  76,194         0       0
CATERPILLAR INC                 COMMON        149123101       231     3,675 SH       OTHER        001   3,575         0     100
CATERPILLAR INC                 COMMON        149123101       863     13739 SH       DEFINED      002       0    13,739       0
CATERPILLAR INC                 COMMON        149123101       339      5400 SH       SOLE         002       0         0   5,400
CELGENE CORP                    COMMON        151020104       334     5,385 SH       SOLE         001     200         0   5,185
CELGENE CORP                    COMMON        151020104        10       165 SH       OTHER        001       0         0     165
CELGENE CORP                    COMMON        151020104       826     13335 SH       DEFINED      002       0    13,335       0
CENOVUS ENERGY INC              COMMON        15135U109       440    16,789 SH       SOLE         001  16,789         0       0
CENOVUS ENERGY INC              COMMON        15135U109        34     1,315 SH       OTHER        001   1,315         0       0
CHEMBIO DIAGNOSTICS INC         COMMON        163572100        13     60960 SH       SOLE         002       0         0  60,960
CHESAPEAKE ENERGY CORP          COMMON        165167107       261     11025 SH       DEFINED      002       0    11,025       0
CHEVRON CORP                    COMMON        166764100    18,793   247,832 SH       SOLE         001 234,245     3,583  10,004
CHEVRON CORP                    COMMON        166764100     3,606    47,559 SH       OTHER        001  46,162       937     460
CHEVRON CORP                    COMMON        166764100      2452     32340 SH       DEFINED      002       0    32,340       0
CHEVRON CORP                    COMMON        166764100      1360     17940 SH       SOLE         002       0         0  17,940
CHICAGO BRIDGE & IRON CO        COMMON        167250109       763     32800 SH       DEFINED      002       0    32,800       0
CHIMERA INVT CORP               COMMON        16934Q109        91    23,500 SH       SOLE         001  23,500         0       0



                                     3 of 16





                                                                                       
CHUBB CORP                      COMMON        171232101     1,454    28,044 SH       SOLE         001  27,279       410     355
CHUBB CORP                      COMMON        171232101       225     4,333 SH       OTHER        001   4,179       154       0
CISCO SYS INC                   COMMON        17275R102    17,782   683,135 SH       SOLE         001 655,937    13,719  13,479
CISCO SYS INC                   COMMON        17275R102     2,029    77,941 SH       OTHER        001  72,830     1,994   3,117
CISCO SYS INC                   COMMON        17275R102      3375    129668 SH       DEFINED      002       0   129,668       0
CISCO SYS INC                   COMMON        17275R102       414     15900 SH       SOLE         002     600         0  15,300
CITIGROUP INC                   COMMON        172967101       416   102,789 SH       SOLE         001 102,189         0     600
CITIGROUP INC                   COMMON        172967101        82    20,216 SH       OTHER        001  19,377         0     839
CITIGROUP INC                   COMMON        172967101       176     43411 SH       DEFINED      002       0    43,411       0
CITRIX SYS INC                  COMMON        177376100       344     7,249 SH       SOLE         001   7,010         0     239
CITRIX SYS INC                  COMMON        177376100       108     2,275 SH       OTHER        001   2,275         0       0
CLECO CORP                      COMMON        12561W105       128     4,835 SH       SOLE         001       0         0   4,835
CLECO CORP                      COMMON        12561W105       233     8,760 SH       OTHER        001   8,500         0     260
CLOROX CO DEL                   COMMON        189054109       503     7,850 SH       SOLE         001   7,850         0       0
CLOROX CO DEL                   COMMON        189054109       153     2,379 SH       OTHER        001   2,279         0     100
COACH INC                       COMMON        189754104     3,219    81,463 SH       SOLE         001  81,163         0     300
COACH INC                       COMMON        189754104        40     1,000 SH       OTHER        001   1,000         0       0
COCA COLA CO                    COMMON        191216100     8,606   156,477 SH       SOLE         001 153,820       403   2,254
COCA COLA CO                    COMMON        191216100     1,100    20,009 SH       OTHER        001  18,852     1,157       0
COCA COLA CO                    COMMON        191216100      1240     22547 SH       DEFINED      002       0    22,547       0
COCA COLA CO                    COMMON        191216100       501      9100 SH       SOLE         002       0         0   9,100
COGNIZANT TECHNOLOGY SOLUTIO    COMMON        192446102       258     5,069 SH       SOLE         001   1,330         0   3,739
COGNIZANT TECHNOLOGY SOLUTIO    COMMON        192446102        27       529 SH       OTHER        001     440         0      89
COLGATE PALMOLIVE CO            COMMON        194162103     5,272    61,839 SH       SOLE         001  57,553       175   4,111
COLGATE PALMOLIVE CO            COMMON        194162103       450     5,279 SH       OTHER        001   3,523     1,646     110
COLGATE PALMOLIVE CO            COMMON        194162103       911     10690 SH       DEFINED      002       0    10,690       0
COLGATE PALMOLIVE CO            COMMON        194162103      1562     18316 SH       SOLE         002       0         0  18,316
COMCAST CORP                    COMMON        20030N101       228    12,110 SH       SOLE         001  11,600         0     510
COMCAST CORP                    COMMON        20030N101        29     1,538 SH       OTHER        001   1,538         0       0
COMCAST CORP                    COMMON        20030N101       275     14608 SH       DEFINED      002       0    14,608       0
COMCAST CORP NEW                COMMON        20030N200       485    27,000 SH       SOLE         001  27,000         0       0
CONNECTICUT RIV CMNTY BK WET    COMMON        207696105       162    29,375 SH       SOLE         001  29,375         0       0
CONOCOPHILLIPS                  COMMON        20825C104     3,411    66,669 SH       SOLE         001  57,448         0   9,221
CONOCOPHILLIPS                  COMMON        20825C104       402     7,849 SH       OTHER        001   7,429         0     420
CONOCOPHILLIPS                  COMMON        20825C104       387      7559 SH       DEFINED      002       0     7,559       0
CONOCOPHILLIPS                  COMMON        20825C104       862     16850 SH       SOLE         002       0       600  16,250
CONSOLIDATED EDISON INC         COMMON        209115104     2,084    46,785 SH       SOLE         001  46,785         0       0
CONSOLIDATED EDISON INC         COMMON        209115104       484    10,861 SH       OTHER        001  10,661         0     200
COOPER INDUSTRIES PLC           SPONSORED ADR G24140108       242     5,051 SH       SOLE         001       0         0   5,051
COOPER INDUSTRIES PLC           SPONSORED ADR G24140108         8       170 SH       OTHER        001       0         0     170
CORNING INC                     COMMON        219350105    13,463   666,140 SH       SOLE         001 645,675     6,964  13,501
CORNING INC                     COMMON        219350105     1,084    53,619 SH       OTHER        001  51,849     1,624     146
CORNING INC                     COMMON        219350105       734     36325 SH       DEFINED      002       0    36,325       0
CORPORATE PROPERTY ASSOCIATE    COMMON        22002Y107       195    16,000 SH       SOLE         001  16,000         0       0
COSTCO WHSL CORP NEW            COMMON        22160K105     1,953    32,710 SH       SOLE         001  28,300         0   4,410
COSTCO WHSL CORP NEW            COMMON        22160K105       134     2,240 SH       OTHER        001   2,100         0     140



                                     4 of 16





                                                                                       
COVIDIEN PLC                    SPONSORED ADR G2554F105       807    16,052 SH       SOLE         001  16,052         0       0
COVIDIEN PLC                    SPONSORED ADR G2554F105        11       219 SH       OTHER        001     219         0       0
CSX CORP                        COMMON        126408103     5,620   110,414 SH       SOLE         001 106,674     1,579   2,161
CSX CORP                        COMMON        126408103     1,394    27,392 SH       OTHER        001  22,310     1,082   4,000
CSX CORP                        COMMON        126408103      1343     26376 SH       DEFINED      002       0    26,376       0
CVS CAREMARK CORPORATION        COMMON        126650100    11,491   314,297 SH       SOLE         001 308,851     1,380   4,066
CVS CAREMARK CORPORATION        COMMON        126650100       883    24,160 SH       OTHER        001  23,680       480       0
CVS CAREMARK CORPORATION        COMMON        126650100       567     15500 SH       DEFINED      002       0    15,500       0
CVS CAREMARK CORPORATION        COMMON        126650100       393     10736 SH       SOLE         002       0         0  10,736
DANAHER CORP DEL                COMMON        235851102     6,238    78,067 SH       SOLE         001  73,766     3,311     990
DANAHER CORP DEL                COMMON        235851102       604     7,555 SH       OTHER        001   6,993       562       0
DARDEN RESTAURANTS INC          COMMON        237194105     1,292    29,015 SH       SOLE         001  28,811         0     204
DEERE & CO                      COMMON        244199105     7,816   131,448 SH       SOLE         001 124,823       347   6,278
DEERE & CO                      COMMON        244199105       339     5,699 SH       OTHER        001   5,287        57     355
DEERE & CO                      COMMON        244199105      3121     52490 SH       DEFINED      002     100    52,390       0
DELL INC                        COMMON        24702R101     1,837   122,295 SH       SOLE         001 122,295         0       0
DELL INC                        COMMON        24702R101        45     2,965 SH       OTHER        001   2,965         0       0
DEVON ENERGY CORP NEW           COMMON        25179M103     5,115    79,391 SH       SOLE         001  79,059       313      19
DEVON ENERGY CORP NEW           COMMON        25179M103       260     4,037 SH       OTHER        001   3,665       372       0
DIAGEO P L C                    SPONSORED ADR 25243Q205       706    10,471 SH       SOLE         001     131         0  10,340
DIAGEO P L C                    SPONSORED ADR 25243Q205       124     1,835 SH       OTHER        001   1,345         0     490
DISCOVER FINL SVCS              COMMON        254709108       150    10,065 SH       SOLE         001  10,065         0       0
DISNEY WALT CO                  COMMON        254687106    12,374   354,460 SH       SOLE         001 335,894     3,289  15,277
DISNEY WALT CO                  COMMON        254687106       759    21,755 SH       OTHER        001  19,345     1,469     941
DISNEY WALT CO                  COMMON        254687106      1046     29976 SH       DEFINED      002       0    29,976       0
DOMINION RES INC VA NEW         COMMON        25746U109     3,394    82,568 SH       SOLE         001  80,492       620   1,456
DOMINION RES INC VA NEW         COMMON        25746U109       596    14,506 SH       OTHER        001  12,986     1,320     200
DOVER CORP                      COMMON        260003108       154     3,290 SH       SOLE         001   3,233         0      57
DOVER CORP                      COMMON        260003108       378     8,090 SH       OTHER        001   6,000     2,090       0
DOW CHEMICAL CO                 COMMON        260543103     2,619    88,568 SH       SOLE         001  82,259         0   6,309
DOW CHEMICAL CO                 COMMON        260543103       476    16,104 SH       OTHER        001  15,950         0     154
DOW CHEMICAL CO                 COMMON        260543103       222      7500 SH       DEFINED      002       0     7,500       0
DR PEPPER SNAPPLE GROUP INC     COMMON        26138E109       315     8,970 SH       SOLE         001     135         0   8,835
DR PEPPER SNAPPLE GROUP INC     COMMON        26138E109        10       280 SH       OTHER        001       0         0     280
DREYFUS STR MUNI LEO SERIES     OTHER         261932404       200    200000 PRN      DEFINED      002    N.A.      N.A.    N.A.
DU PONT E I DE NEMOURS & CO     COMMON        263534109     4,624   124,165 SH       SOLE         001 104,911       563  18,691
DU PONT E I DE NEMOURS & CO     COMMON        263534109     1,058    28,410 SH       OTHER        001  27,078       512     820
DU PONT E I DE NEMOURS & CO     COMMON        263534109       242      6488 SH       DEFINED      002       0     6,488       0
E M C CORP MASS                 COMMON        268648102     9,361   518,909 SH       SOLE         001 479,427    16,663  22,819
E M C CORP MASS                 COMMON        268648102       607    33,630 SH       OTHER        001  30,505     2,715     410
EBAY INC                        COMMON        278642103       181     6,714 SH       SOLE         001   4,446         0   2,268
EBAY INC                        COMMON        278642103        84     3,108 SH       OTHER        001   3,050         0      58
ECOLAB INC                      COMMON        278865100       430     9,791 SH       SOLE         001   9,241         0     550
ELAN CORP PLC                   SPONSORED ADR 284131208       635     83808 SH       DEFINED      002       0    83,808       0
EMC CORP                        COMMON        268648102       922     51136 SH       DEFINED      002       0    51,136       0



                                     5 of 16





                                                                                       
EMERSON ELEC CO                 COMMON        291011104     5,398   107,238 SH       SOLE         001  99,554       350   7,334
EMERSON ELEC CO                 COMMON        291011104     1,079    21,443 SH       OTHER        001  20,619       194     630
EMERSON ELEC CO                 COMMON        291011104       374      7420 SH       DEFINED      002       0     7,420       0
ENCANA CORP                     COMMON        292505104       561    18,074 SH       SOLE         001  18,074         0       0
ENCANA CORP                     COMMON        292505104        41     1,315 SH       OTHER        001   1,315         0       0
ENTERPRISE PRODS PARTNERS L     COMMON        293792107       350    10,117 SH       SOLE         001  10,117         0       0
ENTERPRISE PRODS PARTNERS L     COMMON        293792107        99     2,867 SH       OTHER        001   2,867         0       0
EXELON CORP                     COMMON        30161N101     7,944   181,328 SH       SOLE         001 174,354     4,342   2,632
EXELON CORP                     COMMON        30161N101       665    15,181 SH       OTHER        001  13,208     1,973       0
EXPRESS SCRIPTS INC             COMMON        302182100     5,414    53,202 SH       SOLE         001  51,651       271   1,280
EXPRESS SCRIPTS INC             COMMON        302182100       568     5,580 SH       OTHER        001   3,994       157   1,429
EXXON MOBIL CORP                COMMON        30231G102    22,675   338,536 SH       SOLE         001 324,734     4,999   8,803
EXXON MOBIL CORP                COMMON        30231G102     9,791   146,175 SH       OTHER        001 129,493    10,282   6,400
EXXON MOBIL CORP                COMMON        30231G102      5068     75657 SH       DEFINED      002       0    75,657       0
EXXON MOBIL CORP                COMMON        30231G102      1519     22675 SH       SOLE         002       0         0  22,675
FEDERAL HOME LN MTG CORP        PFD           313400624        18     14200 SH       DEFINED      002       0    14,200       0
FEDEX CORP                      COMMON        31428X106       217     2,325 SH       SOLE         001   2,325         0       0
FEDEX CORP                      COMMON        31428X106       572      6125 SH       DEFINED      002       0     6,125       0
FIRST BANCORP INC ME            COMMON        31866P102        95     5,974 SH       SOLE         001   5,974         0       0
FIRST BANCORP INC ME            COMMON        31866P102        96     6,000 SH       OTHER        001   6,000         0       0
FIRSTENERGY CORP                COMMON        337932107       244     6,240 SH       SOLE         001   6,240         0       0
FIRSTENERGY CORP                COMMON        337932107        70     1,793 SH       OTHER        001   1,793         0       0
FISERV INC                      COMMON        337738108       319     6,275 SH       SOLE         001   6,054         0     221
FISERV INC                      COMMON        337738108         6       120 SH       OTHER        001     120         0       0
FORTUNE BRANDS INC              COMMON        349631101       326     6,711 SH       SOLE         001   6,711         0       0
FORTUNE BRANDS INC              COMMON        349631101        18       380 SH       OTHER        001     380         0       0
FPL GROUP INC                   COMMON        302571104     2,013    41,655 SH       SOLE         001  32,561       356   8,738
FPL GROUP INC                   COMMON        302571104       560    11,590 SH       OTHER        001  10,935       275     380
FREEPORT-MCMORAN COPPER & GO    COMMON        35671D857       376     4,505 SH       SOLE         001   1,236             3,269
FREEPORT-MCMORAN COPPER & GO    COMMON        35671D857       117     1,405 SH       OTHER        001     871       429     105
FRONTIER OIL CORP               COMMON        35914P105     1,091    80,819 SH       SOLE         001  79,662         0   1,157
FRONTIER OIL CORP               COMMON        35914P105        78     5,750 SH       OTHER        001   5,750         0       0
FSP 303 EAST WACKER DRIVE CO    OTHER         REIT00108       300         3 SH       SOLE         001    N.A.      N.A.    N.A.
FSP CENTRE POINT V CORP         OTHER         REIT00066       200         2 SH       SOLE         001    N.A.      N.A.    N.A.
FSP GRAND BOULEVARD CORP        OTHER         REIT00009       300         3 SH       SOLE         001    N.A.      N.A.    N.A.
GANNETT INC                     COMMON        364730101       342    20,680 SH       SOLE         001  13,900         0   6,780
GANNETT INC                     COMMON        364730101         3       166 SH       OTHER        001       0         0     166
GENERAL DYNAMICS CORP           COMMON        369550108     4,561    59,075 SH       SOLE         001  55,787     2,113   1,175
GENERAL DYNAMICS CORP           COMMON        369550108       380     4,921 SH       OTHER        001   4,753       168       0
GENERAL ELEC CAP CORP           PFD           369622519       230     9,200 SH       SOLE         001   9,200         0       0
GENERAL ELEC CAP CORP           PFD           369622519        40     1,600 SH       OTHER        001   1,600         0       0
GENERAL ELECTRIC CO             COMMON        369604103    18,800 1,032,975 SH       SOLE         001 973,162    22,346  37,467
GENERAL ELECTRIC CO             COMMON        369604103     2,955   162,358 SH       OTHER        001 150,436     3,112   8,810
GENERAL ELECTRIC CO             COMMON        369604103      2048    112550 SH       DEFINED      002       0   112,550       0
GENERAL ELECTRIC CO             COMMON        369604103       457     25107 SH       SOLE         002       0     1,300  23,807
GENERAL MILLS INC               COMMON        370334104     6,372    90,014 SH       SOLE         001  86,798       966   2,250



                                     6 of 16





                                                                                       
GENERAL MILLS INC               COMMON        370334104       406     5,740 SH       OTHER        001   5,250       490       0
GENERAL MILLS INC               COMMON        370334104       736     10400 SH       DEFINED      002       0    10,400       0
GENUINE PARTS CO                COMMON        372460105    11,563   273,738 SH       SOLE         001 250,063     6,182  17,493
GENUINE PARTS CO                COMMON        372460105       748    17,716 SH       OTHER        001  15,514     1,442     760
GILEAD SCIENCES INC             COMMON        375558103     5,899   129,727 SH       SOLE         001 119,342     1,560   8,825
GILEAD SCIENCES INC             COMMON        375558103       498    10,958 SH       OTHER        001  10,290       483     185
GILEAD SCIENCES INC             COMMON        375558103       739     16255 SH       DEFINED      002       0    16,255       0
GLAXOSMITHKLINE PLC             SPONSORED ADR 37733W105       135     3,493 SH       SOLE         001   2,519         0     974
GLAXOSMITHKLINE PLC             SPONSORED ADR 37733W105       193     5,014 SH       OTHER        001   4,740       274       0
GLAXOSMITHKLINE PLC             SPONSORED ADR 37733W105       494     12834 SH       DEFINED      002       0    12,834       0
GOLDMAN SACHS GROUP INC         COMMON        38141G104     2,194    12,860 SH       SOLE         001  12,840         0      20
GOLDMAN SACHS GROUP INC         COMMON        38141G104        30       174 SH       OTHER        001     174         0       0
GOLDMAN SACHS GROUP INC         COMMON        38141G104      2253     13205 SH       DEFINED      002       0    13,205       0
GOOGLE INC                      COMMON        38259P508       658     1,161 SH       SOLE         001     532         0     629
GOOGLE INC                      COMMON        38259P508       182       321 SH       OTHER        001     300         0      21
GOOGLE INC                      COMMON        38259P508      2492      4395 SH       DEFINED      002      15     4,380       0
GREEN MTN COFFEE ROASTERS IN    COMMON        393122106       431     4,450 SH       SOLE         001   4,450         0       0
HALLIBURTON CO                  COMMON        406216101        71     2,350 SH       SOLE         001   2,350         0       0
HALLIBURTON CO                  COMMON        406216101       199     6,600 SH       OTHER        001   6,600         0       0
HALLIBURTON CO                  COMMON        406216101       518     17200 SH       DEFINED      002       0    17,200       0
HAMPDEN BANCORP INC             COMMON        40867E107       234    23,436 SH       SOLE         001  23,436         0       0
HARMONIC INC                    COMMON        413160102        64    10,120 SH       SOLE         001       0         0  10,120
HARMONIC INC                    COMMON        413160102         3       545 SH       OTHER        001       0         0     545
HARRIS CORP DEL                 COMMON        413875105       427     8,990 SH       SOLE         001   8,990         0       0
HARRIS CORP DEL                 COMMON        413875105        20       414 SH       OTHER        001     330        84       0
HEALTH CARE REIT INC            COMMON        42217K106       506    11,185 SH       SOLE         001      80         0  11,105
HEALTH CARE REIT INC            COMMON        42217K106        24       530 SH       OTHER        001       0         0     530
HEINZ H J CO                    COMMON        423074103       788    17,274 SH       SOLE         001   3,239         0  14,035
HEINZ H J CO                    COMMON        423074103       188     4,120 SH       OTHER        001   3,500         0     620
HEINZ H J CO                    COMMON        423074103       271      5935 SH       DEFINED      002       0     5,935       0
HERSHEY CO                      COMMON        427866108       128     3,000 SH       SOLE         001   3,000         0       0
HERSHEY CO                      COMMON        427866108       512    11,950 SH       OTHER        001  11,950         0       0
HEWLETT PACKARD CO              COMMON        428236103    11,706   220,251 SH       SOLE         001 210,210     1,863   8,178
HEWLETT PACKARD CO              COMMON        428236103     1,796    33,787 SH       OTHER        001  20,451     9,131   4,205
HEWLETT PACKARD CO              COMMON        428236103      1239     23305 SH       DEFINED      002       0    23,305       0
HOME DEPOT INC                  COMMON        437076102    13,415   414,672 SH       SOLE         001 406,746     3,260   4,666
HOME DEPOT INC                  COMMON        437076102     1,442    44,564 SH       OTHER        001  43,065     1,499       0
HOME DEPOT INC                  COMMON        437076102       799     24696 SH       DEFINED      002       0    24,696       0
HONEYWELL INTL INC              COMMON        438516106     5,145   113,653 SH       SOLE         001 112,450       591     612
HONEYWELL INTL INC              COMMON        438516106       612    13,513 SH       OTHER        001  12,837       676       0
HONEYWELL INTL INC              COMMON        438516106       683     15092 SH       DEFINED      002       0    15,092       0
HSBC HLDGS PLC                  SPONSORED ADR 404280406       509    10,034 SH       SOLE         001      70         0   9,964
HSBC HLDGS PLC                  SPONSORED ADR 404280406        25       492 SH       OTHER        001       0         0     492
HUBBELL INC                     COMMON        443510201        53     1,050 SH       SOLE         001   1,050         0       0
HUBBELL INC                     COMMON        443510201       177     3,500 SH       OTHER        001   3,500         0       0
HUBBELL INC                     COMMON        443510201       277      5502 SH       DEFINED      002       0     5,502       0



                                     7 of 16





                                                                                       
IDEXX LABS INC                  COMMON        45168D104       706    12,274 SH       SOLE         001  11,735        90     449
IDEXX LABS INC                  COMMON        45168D104       110     1,906 SH       OTHER        001   1,566       340       0
ILLINOIS TOOL WKS INC           COMMON        452308109     1,587    33,518 SH       SOLE         001  33,518         0       0
ILLINOIS TOOL WKS INC           COMMON        452308109       244     5,154 SH       OTHER        001   5,028       126       0
ILLINOIS TOOL WKS INC           COMMON        452308109       246      5200 SH       SOLE         002       0         0   5,200
INTEL CORP                      COMMON        458140100    18,708   839,285 SH       SOLE         001 801,662     8,695  28,928
INTEL CORP                      COMMON        458140100     2,001    89,750 SH       OTHER        001  78,213     3,377   8,160
INTEL CORP                      COMMON        458140100       426     19123 SH       DEFINED      002       0    19,123       0
INTEL CORP                      COMMON        458140100       250     11225 SH       SOLE         002   1,400         0   9,825
INTERCONTINENTALEXCHANGE INC    COMMON        45865V100       339     3,021 SH       SOLE         001      28         0   2,993
INTERCONTINENTALEXCHANGE INC    COMMON        45865V100        13       118 SH       OTHER        001       0         0     118
INTERNATIONAL BUSINESS MACHS    COMMON        459200101    13,686   106,715 SH       SOLE         001 103,755       110   2,850
INTERNATIONAL BUSINESS MACHS    COMMON        459200101     2,967    23,136 SH       OTHER        001  20,261     1,490   1,385
INTERNATIONAL BUSINESS MACHS    COMMON        459200101      3444     26856 SH       DEFINED      002       0    26,856       0
INTERNATIONAL BUSINESS MACHS    COMMON        459200101      2233     17414 SH       SOLE         002     200         0  17,214
ISHARES BARCLAYS 1-3 YR CREDIT  OTHER         464288646      2648     25322 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YR CREDIT  OTHER         464288646      1513     14463 SH       SOLE         002    N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3YR TRS      OTHER         464287457      1398     16773 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3YR TRS      OTHER         464287457       397      4762 SH       SOLE         002    N.A.      N.A.    N.A.
ISHARES BARCLAYS TIPS BOND      OTHER         464287176      8862     85290 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES BARCLAYS TIPS BOND      OTHER         464287176       935      9000 SH       SOLE         002    N.A.      N.A.    N.A.
ISHARES COMEX GOLD TR           OTHER         464285105       478     4,384 SH       SOLE         001    N.A.      N.A.    N.A.
ISHARES COMEX GOLD TR           OTHER         464285105       108       990 SH       OTHER        001    N.A.      N.A.    N.A.
ISHARES DJ US BASIC MATERIALS   OTHER         464287838       318      5010 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES INC MSCI BRAZIL INDEX   OTHER         464286400       275      3733 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES MSCI CANADA INDEX       OTHER         464286509      1145     41014 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES MSCI EAFE INDEX         OTHER         464287465       973     17390 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES MSCI EMERG MKT INDEX    OTHER         464287234       812     19282 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES MSCI EMERG MKT INDEX    OTHER         464287234       297      7062 SH       SOLE         002    N.A.      N.A.    N.A.
ISHARES MSCI PAC EXJAPAN        OTHER         464286665       268      6247 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES NASDAQ BIOTECH INDEX    OTHER         464287556       391      4300 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 GROWTH     OTHER         464287614       261      5015 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 INDEX      OTHER         464287622       661     10229 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES RUSSELL 2000 INDEX      OTHER         464287655      1021     15060 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP INDEX    OTHER         464287499      1468     16449 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P 500 GROWTH INDEX    OTHER         464287309      1714     28601 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P 500 INDEX           OTHER         464287200      1635     13936 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P 500 VALUE INDEX     OTHER         464287408      1628     28835 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P GLBL ENERGY         OTHER         464287341       493     13947 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P GLBL HEALTHCARE     OTHER         464287325       576     10973 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P LATIN AMERICA       OTHER         464287390       205      4250 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P MIDCAP 400          OTHER         464287507       291      3694 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES S&P MIDCAP 400 GR       OTHER         464287606       248      2920 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES TR DJ US OIL & GAS EXP  OTHER         464288851      1591     29288 SH       DEFINED      002    N.A.      N.A.    N.A.
ISHARES TR DJ US OIL & GAS EXP  OTHER         464288851       418      7700 SH       SOLE         002    N.A.      N.A.    N.A.
ISHARES TR INDEX                OTHER         464287325       517     9,850 SH       SOLE         001    N.A.      N.A.    N.A.



                                     8 of 16





                                                                                       
ISHARES TR INDEX                OTHER         464287325        55     1,040 SH       OTHER        001    N.A.      N.A.    N.A.
ISHARES TR INDEX                OTHER         464287374       427    12,400 SH       SOLE         001    N.A.      N.A.    N.A.
ISHARES TR INDEX                OTHER         464287374       107     3,100 SH       OTHER        001    N.A.      N.A.    N.A.
ISHARES TR INDEX                OTHER         464287689       557     8,090 SH       OTHER        001    N.A.      N.A.    N.A.
ISHARES TR INDEX                OTHER         464287762       259     3,900 SH       SOLE         001    N.A.      N.A.    N.A.
ISHARES TR INDEX                OTHER         464287838     1,156    18,185 SH       SOLE         001    N.A.      N.A.    N.A.
ISHARES TR INDEX                OTHER         464287838        49       775 SH       OTHER        001    N.A.      N.A.    N.A.
ISHARES VANGUARD SMALLCAP       OTHER         922908751       439      6970 SH       DEFINED      002    N.A.      N.A.    N.A.
ITT CORP NEW                    COMMON        450911102     4,936    92,081 SH       SOLE         001  84,477       964   6,640
ITT CORP NEW                    COMMON        450911102       214     3,990 SH       OTHER        001   3,605       230     155
JOHNSON & JOHNSON               COMMON        478160104    26,072   399,874 SH       SOLE         001 380,771     6,396  12,707
JOHNSON & JOHNSON               COMMON        478160104     5,059    77,589 SH       OTHER        001  66,602     4,173   6,814
JOHNSON & JOHNSON               COMMON        478160104      3093     47440 SH       DEFINED      002       0    47,440       0
JOHNSON & JOHNSON               COMMON        478160104      2376     36440 SH       SOLE         002     200         0  36,240
JOHNSON CTLS INC                COMMON        478366107       178     5,383 SH       SOLE         001   3,400         0   1,983
JOHNSON CTLS INC                COMMON        478366107       170     5,151 SH       OTHER        001   5,100         0      51
JOHNSON CTLS INC                COMMON        478366107       228      6900 SH       DEFINED      002       0     6,900       0
JPMORGAN CHASE & CO             COMMON        46625H100    13,223   295,484 SH       SOLE         001 284,313     6,384   4,787
JPMORGAN CHASE & CO             COMMON        46625H100     2,351    52,539 SH       OTHER        001  50,810     1,379     350
JPMORGAN CHASE & CO.            COMMON        46625H100      3225     72066 SH       DEFINED      002       0    72,066       0
JPMORGAN CHASE & CO.            COMMON        46625H100       284      6344 SH       SOLE         002     400         0   5,944
JPMORGAN TR II                  COMMON        4812C0357       127     11375 SH       DEFINED      002       0    11,375       0
JUNIPER NETWORKS INC            COMMON        48203R104       330    10,772 SH       SOLE         001     305         0  10,467
JUNIPER NETWORKS INC            COMMON        48203R104        10       320 SH       OTHER        001       0         0     320
KELLOGG CO                      COMMON        487836108       423     7,921 SH       SOLE         001   7,886        35       0
KELLOGG CO                      COMMON        487836108       110     2,057 SH       OTHER        001   2,057         0       0
KEYCORP NEW                     COMMON        493267108        75     9,739 SH       SOLE         001   9,739         0       0
KEYCORP NEW                     COMMON        493267108        15     1,970 SH       OTHER        001   1,970         0       0
KIMBERLY CLARK CORP             COMMON        494368103     3,778    60,089 SH       SOLE         001  49,715         0  10,374
KIMBERLY CLARK CORP             COMMON        494368103       868    13,797 SH       OTHER        001  13,267         0     530
KIMBERLY CLARK CORP             COMMON        494368103       333      5300 SH       DEFINED      002       0     5,300       0
KIMCO REALTY CORP               COMMON        49446R109       235    15,000 SH       SOLE         001  15,000         0       0
KIMCO REALTY CORP               COMMON        49446R109        35     2,250 SH       OTHER        001   2,250         0       0
KINDER MORGAN ENERGY PARTNER    COMMON        494550106       328     5,010 SH       SOLE         001   5,010         0       0
KINDER MORGAN ENERGY PARTNER    COMMON        494550106       124     1,900 SH       OTHER        001   1,900         0       0
KINDER MORGAN ENERGY PARTNER    COMMON        494550106       445      6800 SH       DEFINED      002       0     6,800       0
KINDER MORGAN MGMT LLC FRACT    OTHER         EKE55U103         -    70,965 SH       SOLE         001    N.A.      N.A.    N.A.
KRAFT FOODS INC                 COMMON        50075N104     1,334    44,114 SH       SOLE         001  15,109         0  29,005
KRAFT FOODS INC                 COMMON        50075N104       346    11,431 SH       OTHER        001   7,527         0   3,904
L-3 COMMUNICATIONS HLDGS        COMMON        502424104     3,257    35,545 SH       SOLE         001  34,350       764     431
L-3 COMMUNICATIONS HLDGS        COMMON        502424104       349     3,814 SH       OTHER        001   3,396       394      24
L-3 COMMUNICATIONS HLDGS        COMMON        502424104       353      3850 SH       DEFINED      002       0     3,850       0
LABORATORY CORP AMER HLDGS      COMMON        50540R409     3,801    50,205 SH       SOLE         001  48,863     1,063     279
LABORATORY CORP AMER HLDGS      COMMON        50540R409       310     4,095 SH       OTHER        001   3,661       434       0
LEGACY RESERVES LP              COMMON        524707304       237    10,300 SH       SOLE         001  10,300         0       0
LEGACY RESERVES LP              COMMON        524707304         9       400 SH       OTHER        001     400         0       0



                                     9 of 16





                                                                                       
LIFE TECHNOLOGIES CORP          COMMON        53217V109        66     1,260 SH       SOLE         001   1,260         0       0
LIFE TECHNOLOGIES CORP          COMMON        53217V109       335     6,400 SH       OTHER        001   6,400         0       0
LILLY ELI & CO                  COMMON        532457108     1,338    36,947 SH       SOLE         001  21,343         0  15,604
LILLY ELI & CO                  COMMON        532457108       266     7,350 SH       OTHER        001   6,529       111     710
LINN ENERGY LLC                 COMMON        536020100       237     9,200 SH       SOLE         001   9,200         0       0
LINN ENERGY LLC                 COMMON        536020100       167     6,500 SH       OTHER        001   6,500         0       0
LOCKHEED MARTIN CORP            COMMON        539830109     2,048    24,609 SH       SOLE         001  23,061       232   1,316
LOCKHEED MARTIN CORP            COMMON        539830109       206     2,471 SH       OTHER        001   2,213       224      34
LOWES COMPANIES                 COMMON        548661107     1,274    52,575 SH       SOLE         001  41,455         0  11,120
LOWES COMPANIES                 COMMON        548661107       142     5,840 SH       OTHER        001   5,435         0     405
LOWES COMPANIES                 COMMON        548661107       504     20800 SH       DEFINED      002       0    20,800       0
MACDERMID HOLDINGS LLC          COMMON        99Z161772       248    247851 SH       SOLE         002       0         0 247,851
MACDERMID HOLDINGS LLC PFD      PFD           99Z161780      1684      1684 SH       SOLE         002       0         0   1,684
MARATHON OIL CORP               COMMON        565849106       358    11,307 SH       SOLE         001  10,990         0     317
MARATHON OIL CORP               COMMON        565849106        68     2,162 SH       OTHER        001   2,162         0       0
MARATHON OIL CORP               COMMON        565849106      1100     34768 SH       DEFINED      002       0    34,768       0
MARKET VECTORS GLOBAL AGR       SPONSORED ADR 57060U605      1005     22287 SH       DEFINED      002       0    22,287       0
MARKET VECTORS STEEL INDEX      OTHER         57060U308       218      3190 SH       DEFINED      002    N.A.      N.A.    N.A.
MARSH & MCLENNAN COS INC        COMMON        571748102       234     9,600 SH       SOLE         001   9,600         0       0
MATTEL INC                      COMMON        577081102       250    11,000 SH       SOLE         001  11,000         0       0
MCCORMICK & CO INC              COMMON        579780206     2,385    62,173 SH       SOLE         001  61,405         0     768
MCCORMICK & CO INC              COMMON        579780206       312     8,126 SH       OTHER        001   7,784       342
MCDONALDS CORP                  COMMON        580135101    11,318   169,634 SH       SOLE         001 159,802     3,766   6,066
MCDONALDS CORP                  COMMON        580135101     1,151    17,257 SH       OTHER        001  14,354       808   2,095
MCDONALDS CORP                  COMMON        580135101      2118     31745 SH       DEFINED      002       0    31,745       0
MCDONALDS CORP                  COMMON        580135101       310      4646 SH       SOLE         002     300         0   4,346
MEDCO HEALTH SOLUTIONS INC      COMMON        58405U102       273     4,230 SH       SOLE         001   4,230         0       0
MEDCO HEALTH SOLUTIONS INC      COMMON        58405U102       137     2,120 SH       OTHER        001   2,120         0       0
MEDCO HEALTH SOLUTIONS INC      COMMON        58405U102       576      8918 SH       DEFINED      002       0     8,918       0
MEDCO HEALTH SOLUTIONS INC      COMMON        58405U102       329      5098 SH       SOLE         002       0         0   5,098
MEDTRONIC INC                   PDF           585055AL0       457   450,000 SH       OTHER        001    N.A.      N.A.    N.A.
MEDTRONIC INC                   COMMON        585055106     3,464    76,919 SH       SOLE         001  76,919         0       0
MEDTRONIC INC                   COMMON        585055106       393     8,724 SH       OTHER        001   8,724         0       0
MEDTRONIC INC                   COMMON        585055106       737     16375 SH       DEFINED      002       0    16,375       0
MEDTRONIC INC                   PDF           585055AL0      5051   4970000 PRN      DEFINED      002       0 4,970,000       0
MERCK & CO INC                  COMMON        58933Y105     1,594    42,686 SH       SOLE         001  41,806       260     620
MERCK & CO INC                  COMMON        58933Y105     1,063    28,471 SH       OTHER        001  27,067       904     500
METLIFE INC                     COMMON        59156R108     9,630   222,191 SH       SOLE         001 219,488     1,526   1,177
METLIFE INC                     COMMON        59156R108       957    22,081 SH       OTHER        001  21,384       697       0
METLIFE INC                     COMMON        59156R108       244      5641 SH       DEFINED      002       0     5,641       0
METLIFE INC 5.875               PFD           59156R405       269     10900 SH       DEFINED      002       0    10,900       0
MICROCHIP TECHNOLOGY INC        COMMON        595017104       210     7,465 SH       SOLE         001   2,477         0   4,988
MICROCHIP TECHNOLOGY INC        COMMON        595017104         3       116 SH       OTHER        001       0         0     116
MICROSOFT CORP                  COMMON        594918104    19,357   660,924 SH       SOLE         001 625,788     6,987  28,149
MICROSOFT CORP                  COMMON        594918104     2,164    73,881 SH       OTHER        001  69,801     2,839   1,241
MICROSOFT CORP                  COMMON        594918104      2055     70157 SH       DEFINED      002       0    70,157       0



                                    10 of 16





                                                                                       
MICROSOFT CORP                  COMMON        594918104       684     23349 SH       SOLE         002       0         0  23,349
MONSANTO CO                     COMMON        61166W101     3,383    47,369 SH       SOLE         001  42,770       410   4,189
MONSANTO CO                     COMMON        61166W101       550     7,699 SH       OTHER        001   7,432       150     117
MONSANTO CO                     COMMON        61166W101       813     11385 SH       DEFINED      002       0    11,385       0
MONSANTO CO                     COMMON        61166W101       342      4794 SH       SOLE         002       0       600   4,194
MORGAN STANLEY                  COMMON        617446448       805    27,493 SH       SOLE         001  27,371         0     122
MORGAN STANLEY                  COMMON        617446448         6       200 SH       OTHER        001     200         0       0
NABORS INDUSTRIES LTD           SPONSORED ADR G6359F103       197    10,025 SH       SOLE         001       0         0  10,025
NABORS INDUSTRIES LTD           SPONSORED ADR G6359F103         6       300 SH       OTHER        001       0         0     300
NASDAQ OMX GROUP INC            COMMON        631103108       161     7,640 SH       SOLE         001   7,575         0      65
NASDAQ OMX GROUP INC            COMMON        631103108        39     1,853 SH       OTHER        001   1,853         0       0
NASDAQ OMX GROUP INC            COMMON        631103108        37     1,500 SH       SOLE         002   1,500         0       0
NATIONAL FUEL GAS CO            COMMON        636180101       232     4,597 SH       SOLE         001   2,456         0   2,141
NATIONAL FUEL GAS CO            COMMON        636180101        46       903 SH       OTHER        001     850         0      53
NATIONWIDE LIFE INS CO IRA      OTHER         NATION          421    420528 SH       DEFINED      002    N.A.      N.A.    N.A.
NAUGATUCK VY FINL CORP          COMMON        639067107       124     19280 SH       SOLE         002       0         0  19,280
NESTLE S A                      SPONSORED ADR 641069406     1,230    23,972 SH       SOLE         001  17,235         0   6,737
NESTLE S A                      SPONSORED ADR 641069406        88     1,711 SH       OTHER        001   1,436         0     275
NEWALLIANCE BANCSHARES IN       COMMON        650203102       637     50500 SH       DEFINED      002       0    50,500       0
NIKE INC CLASS B                COMMON        654106103       213      2900 SH       DEFINED      002       0     2,900       0
NOBLE CORPORATION               COMMON        H5833N103       333     7,965 SH       SOLE         001     285         0   7,680
NOBLE CORPORATION               COMMON        H5833N103        12       290 SH       OTHER        001       0         0     290
NOBLE CORPORATION               COMMON        H5833N103      2212     52890 SH       DEFINED      002       0    52,890       0
NOKIA CORP                      SPONSORED ADR 654902204     6,724   432,666 SH       SOLE         001 388,703     4,530  39,433
NOKIA CORP                      SPONSORED ADR 654902204       389    25,041 SH       OTHER        001  21,764     1,784   1,493
NOKIA CORP                      SPONSORED ADR 654902204       370     23841 SH       DEFINED      002       0    23,841       0
NORFOLK SOUTHERN CORP           COMMON        655844108        45       800 SH       SOLE         001     800         0       0
NORFOLK SOUTHERN CORP           COMMON        655844108       751    13,435 SH       OTHER        001  12,935         0     500
NORFOLK SOUTHERN CORP           COMMON        655844108      1055     18869 SH       SOLE         002       0         0  18,869
NORTHERN TR CORP                COMMON        665859104       237     4,285 SH       SOLE         001      40         0   4,245
NORTHERN TR CORP                COMMON        665859104         7       135 SH       OTHER        001       0         0     135
NORTHROP GRUMMAN CORP           COMMON        666807102       573     8,740 SH       SOLE         001   8,436         0     304
NORTHROP GRUMMAN CORP           COMMON        666807102        42       643 SH       OTHER        001     307       336       0
NORWOOD RES LTD                 COMMON        669958100         2    31,470 SH       SOLE         001  31,470         0       0
NOVARTIS A G                    SPONSORED ADR 66987V109     2,090    38,638 SH       SOLE         001  36,172         0   2,466
NOVARTIS A G                    SPONSORED ADR 66987V109       159     2,934 SH       OTHER        001   2,790        69      75
NOVARTIS A G                    SPONSORED ADR 66987V109       368      6800 SH       SOLE         002       0         0   6,800
NUCOR CORP                      COMMON        670346105      2402     52935 SH       DEFINED      002       0    52,935       0
NUVEEN FLAG CONN MUNI BOND      OTHER         67065N886       126     12036 SH       DEFINED      002    N.A.      N.A.    N.A.
OCCIDENTAL PETEROLEUM CORP      COMMON        674599105     4,609    54,524 SH       SOLE         001  52,716       545   1,263
OCCIDENTAL PETEROLEUM CORP      COMMON        674599105       392     4,640 SH       OTHER        001   4,504       136       0
OCCIDENTAL PETEROLEUM CORP      COMMON        674599105      3826     45261 SH       DEFINED      002     100    45,161       0
OCCIDENTAL PETEROLEUM CORP      COMMON        674599105       276      3270 SH       SOLE         002     700         0   2,570
OMNICOM GROUP INC               COMMON        681919106       688    17,722 SH       SOLE         001  17,374       309      39
OMNICOM GROUP INC               COMMON        681919106        77     1,995 SH       OTHER        001     925             1,070
OPPENHEIMER DEVELOPING MK       COMMON        683974109       266      8983 SH       DEFINED      002       0     8,983       0



                                    11 of 16





                                                                                       
ORACLE CORP                     COMMON        68389X105     3,320   129,115 SH       SOLE         001 127,484       812     819
ORACLE CORP                     COMMON        68389X105       528    20,528 SH       OTHER        001  19,279     1,049     200
ORACLE CORP                     COMMON        68389X105      2461     95735 SH       DEFINED      002       0    95,735       0
PARKER HANNIFIN CORP            COMMON        701094104      1635     25250 SH       DEFINED      002       0    25,250       0
PATTERSON COMPANIES INC         COMMON        703395103     3,373   108,618 SH       SOLE         001 108,618         0       0
PATTERSON COMPANIES INC         COMMON        703395103       110     3,550 SH       OTHER        001   3,550         0       0
PEABODY ENERGY CORP.            COMMON        704549104       254      5550 SH       DEFINED      002       0     5,550       0
PENGROWTH ENERGY TR             OTHER         706902509        47     4,000 SH       SOLE         001    N.A.      N.A.    N.A.
PENGROWTH ENERGY TR             OTHER         706902509        70     6,000 SH       OTHER        001    N.A.      N.A.    N.A.
PEOPLES UNITED FINANCIAL INC    COMMON        712704105       256    16,383 SH       SOLE         001  16,383         0       0
PEOPLES UNITED FINANCIAL INC    COMMON        712704105      1046     66966 SH       DEFINED      002       0    66,966       0
PEPCO HOLDINGS INC              COMMON        713291102       120     7,000 SH       SOLE         001   7,000         0       0
PEPCO HOLDINGS INC              COMMON        713291102       125     7,300 SH       OTHER        001   7,300         0       0
PEPSICO INC                     COMMON        713448108    12,600   190,451 SH       SOLE         001 186,391     2,258   1,802
PEPSICO INC                     COMMON        713448108     1,943    29,368 SH       OTHER        001  24,197     1,071   4,100
PEPSICO INC                     COMMON        713448108      1720     25993 SH       DEFINED      002       0    25,993       0
PEPSICO INC                     COMMON        713448108       339      5125 SH       SOLE         002       0         0   5,125
PETROCHINA CO LTD               SPONSORED ADR 71646E100       264     2,251 SH       SOLE         001      20         0   2,231
PETROCHINA CO LTD               SPONSORED ADR 71646E100        15       130 SH       OTHER        001       0         0     130
PETROLEO BRASILEIRO SA PE       SPONSORED ADR 71654V408       277      6225 SH       DEFINED      002       0     6,225       0
PFIZER INC                      COMMON        717081103    13,824   806,054 SH       SOLE         001 763,318     8,474  34,262
PFIZER INC                      COMMON        717081103     2,118   123,500 SH       OTHER        001 110,919    12,431     150
PFIZER INC                      COMMON        717081103      1335     77861 SH       DEFINED      002       0    77,861       0
PFIZER INC                      COMMON        717081103       846     49317 SH       SOLE         002     700     1,800  46,817
PHILIP MORRIS INTL INC          COMMON        718172109     1,467    28,122 SH       SOLE         001  17,602         0  10,520
PHILIP MORRIS INTL INC          COMMON        718172109       781    14,970 SH       OTHER        001  10,590         0   4,380
PHILIP MORRIS INTL INC          COMMON        718172109       399      7647 SH       DEFINED      002       0     7,647       0
PITNEY BOWES INC                COMMON        724479100       221     9,056 SH       SOLE         001   8,485       460     111
PITNEY BOWES INC                COMMON        724479100        26     1,067 SH       OTHER        001   1,067         0       0
PLUM CREEK TIMBER CO INC        COMMON        729251108       984    25,284 SH       SOLE         001  25,284         0       0
PLUM CREEK TIMBER CO INC        COMMON        729251108       150     3,845 SH       OTHER        001   3,739       106       0
PLUM CREEK TIMBER CO INC        COMMON        729251108       218      5600 SH       SOLE         002       0         0   5,600
POTASH CORP SASK INC            COMMON        73755L107       306     2,562 SH       SOLE         001     350         0   2,212
POTASH CORP SASK INC            COMMON        73755L107        11        90 SH       OTHER        001       0         0      90
POWERSHARES DB BASE METALS      OTHER         73936B705       431     19135 SH       DEFINED      002    N.A.      N.A.    N.A.
POWERSHARES DB CMDTY IDX        OTHER         73935S105       252     10735 SH       DEFINED      002    N.A.      N.A.    N.A.
POWERSHARES DB OIL FUND         OTHER         73936B507      1580     56200 SH       DEFINED      002    N.A.      N.A.    N.A.
POWERSHARES ETF TRUST           OTHER         73935X575       465    26,700 SH       SOLE         001    N.A.      N.A.    N.A.
POWERSHARES ETF TRUST           OTHER         73935X575         6       325 SH       OTHER        001    N.A.      N.A.    N.A.
POWERSHARES QQQ(TM)             OTHER         73935A104       396      8215 SH       DEFINED      002    N.A.      N.A.    N.A.
PRAXAIR INC                     COMMON        74005P104     3,111    37,482 SH       SOLE         001  32,461     1,017   4,004
PRAXAIR INC                     COMMON        74005P104       499     6,011 SH       OTHER        001   5,371       520     120
PRICE T ROWE GROUP INC          COMMON        74144T108     2,936    53,411 SH       SOLE         001  45,245       780   7,386
PRICE T ROWE GROUP INC          COMMON        74144T108       298     5,422 SH       OTHER        001   4,151     1,096     175
PROCTER & GAMBLE CO             COMMON        742718109    10,953   173,120 SH       SOLE         001 169,604     3,081     435
PROCTER & GAMBLE CO             COMMON        742718109     2,181    34,479 SH       OTHER        001  33,624       360     495



                                    12 of 16





                                                                                       
PROCTER & GAMBLE CO             COMMON        742718109      1027     16227 SH       DEFINED      002       0    16,227       0
PROCTER & GAMBLE CO             COMMON        742718109      1797     28406 SH       SOLE         002       0         0  28,406
PROGRESS ENERGY INC             COMMON        743263105     1,572    39,932 SH       SOLE         001  38,497       500     935
PROGRESS ENERGY INC             COMMON        743263105       219     5,571 SH       OTHER        001   5,472        99       0
PROVIDENT ENERGY TR             OTHER         74386K104       118    15,247 SH       OTHER        001  15,247         0
PRUDENTIAL FINL INC             COMMON        744320102     2,897    47,881 SH       SOLE         001  45,352       847   1,682
PRUDENTIAL FINL INC             COMMON        744320102       105     1,731 SH       OTHER        001   1,716        15       0
PUBLIC SVC ENTERPRISE GROUP     COMMON        744573106       173     5,872 SH       SOLE         001   5,872         0
PUBLIC SVC ENTERPRISE GROUP     COMMON        744573106        59     2,000 SH       OTHER        001   2,000         0       0
QUALCOMM INC                    COMMON        747525103     1,086    25,878 SH       SOLE         001  18,773         0   7,105
QUALCOMM INC                    COMMON        747525103        47     1,120 SH       OTHER        001     905         0     215
QUALCOMM INC                    COMMON        747525103       208      4946 SH       DEFINED      002       0     4,946       0
QUEST DIAGNOSTICS INC           COMMON        74834L100       407     6,985 SH       SOLE         001   2,135         0   4,850
QUEST DIAGNOSTICS INC           COMMON        74834L100         8       140 SH       OTHER        001       0         0     140
RAYTHEON CO                     COMMON        755111507        13       221 SH       SOLE         001     221         0       0
RAYTHEON CO                     COMMON        755111507       237     4,150 SH       OTHER        001   3,200       450     500
RBS CAPITAL FND TRUST VII       PFD           74928P207       164     13000 SH       DEFINED      002       0    13,000       0
RESEARCH IN MOTION LTD          SPONSORED ADR 760975102     5,929    80,153 SH       SOLE         001  77,408       756   1,989
RESEARCH IN MOTION LTD          SPONSORED ADR 760975102       227     3,075 SH       OTHER        001   2,944       131       0
RIO TINTO PLC                   SPONSORED ADR 767204100       351     1,482 SH       SOLE         001      78         0   1,404
RIO TINTO PLC                   SPONSORED ADR 767204100       129       545 SH       OTHER        001     500         0      45
ROYAL DUTCH SHELL PLC           SPONSORED ADR 780259206     2,194    37,920 SH       SOLE         001  35,963       760   1,197
ROYAL DUTCH SHELL PLC           SPONSORED ADR 780259206       785    13,569 SH       OTHER        001   9,040     4,472      57
ROYCE VALUE TRUST INC           COMMON        780910105       467     39443 SH       DEFINED      002       0    39,443       0
SCHLUMBERGER LTD                SPONSORED ADR 806857108     4,805    75,715 SH       SOLE         001  63,664     1,568  10,483
SCHLUMBERGER LTD                SPONSORED ADR 806857108       946    14,904 SH       OTHER        001  10,358       234   4,312
SCHLUMBERGER LTD                SPONSORED ADR 806857108       727     11450 SH       DEFINED      002       0    11,450       0
SCHWAB CHARLES CORP             COMMON        808513105     1,480    79,200 SH       SOLE         001  77,374       522   1,304
SCHWAB CHARLES CORP             COMMON        808513105        69     3,718 SH       OTHER        001   3,718         0       0
SELECT SECTOR FINANCIAL SPDR T  OTHER         81369Y605       305    19,100 SH       DEFINED      002    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y100       359    10,580 SH       SOLE         001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y100       163     4,800 SH       OTHER        001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y308       198     7,082 SH       SOLE         001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y308        28     1,000 SH       OTHER        001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y506       917    15,950 SH       SOLE         001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y506        18       320 SH       OTHER        001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y803       169     7,300 SH       SOLE         001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y803        35     1,500 SH       OTHER        001    N.A.      N.A.    N.A.
SELECT SECTOR SPDR TR           OTHER         81369Y886     1,435    48,375 SH       SOLE         001    N.A.      N.A.    N.A.
SEMPRA ENERGY                   COMMON        816851109       303      6073 SH       DEFINED      002       0     6,073       0
SHERWIN WILLIAMS CO             COMMON        824348106       355     5,250 SH       SOLE         001   5,250         0       0
SHERWIN WILLIAMS CO             COMMON        824348106         6        93 SH       OTHER        001      93         0       0
SIGMA-ALDRICH CORP              COMMON        826552101       215      4000 SH       DEFINED      002       0     4,000       0
SIGMA-ALDRICH CORP              COMMON        826552101       854     15924 SH       SOLE         002       0         0  15,924
SMUCKER J M CO                  COMMON        832696405       432     7,165 SH       SOLE         001   2,006         0   5,159
SMUCKER J M CO                  COMMON        832696405        18       292 SH       OTHER        001     100         0     192



                                    13 of 16





                                                                                       
SOUTHERN CO                     COMMON        842587107     2,356    71,054 SH       SOLE         001  69,535       400   1,119
SOUTHERN CO                     COMMON        842587107       805    24,273 SH       OTHER        001  23,823         0     450
SPDR GOLD TRUST                 OTHER         78463V107      2173     19945 SH       DEFINED      002    N.A.      N.A.    N.A.
SPDR METALS & MINING ETF        OTHER         78464A755      1570     27635 SH       DEFINED      002    N.A.      N.A.    N.A.
SPDR SER TRST MS TECHNOLOGY     OTHER         78464A102      1073     17948 SH       DEFINED      002    N.A.      N.A.    N.A.
SPDR SERIES TRUST               OTHER         78464A748       200     6,720 SH       SOLE         001    N.A.      N.A.    N.A.
SPDR SERIES TRUST               OTHER         78464A748        21       720 SH       OTHER        001    N.A.      N.A.    N.A.
SPECTRA ENERGY CORP             COMMON        847560109       246    10,918 SH       SOLE         001  10,918         0       0
SPECTRA ENERGY CORP             COMMON        847560109        11       500 SH       OTHER        001     500         0       0
STANLEY BLACK & DECKER INC      COMMON        854502101       473      8244 SH       DEFINED      002       0     8,244       0
STAPLES INC                     COMMON        855030102     5,052   215,816 SH       SOLE         001 213,527       137   2,152
STAPLES INC                     COMMON        855030102       692    29,550 SH       OTHER        001  27,953     1,597       0
STAPLES INC                     COMMON        855030102       374     15983 SH       DEFINED      002       0    15,983       0
STATE STR CORP                  COMMON        857477103     5,814   128,804 SH       SOLE         001 126,839       871   1,094
STATE STR CORP                  COMMON        857477103       493    10,925 SH       OTHER        001  10,481       444       0
STEAK N SHAKE CO                COMMON        857873202     1,505     3,948 SH       SOLE         001   3,948         0       0
STRYKER CORP                    COMMON        863667101    10,623   185,654 SH       SOLE         001 182,638     1,548   1,468
STRYKER CORP                    COMMON        863667101       941    16,452 SH       OTHER        001  15,509       943       0
STRYKER CORP                    COMMON        863667101       212      3700 SH       DEFINED      002       0     3,700       0
SUMITOMO MITSUI FINL GROUP I    SPONSORED ADR 86562M100        46    13,951 SH       SOLE         001       0         0  13,951
SUMITOMO MITSUI FINL GROUP I    SPONSORED ADR 86562M100         3       906 SH       OTHER        001       0         0     906
SUNCOR ENERGY INC NEW           COMMON        867224107     1,123    34,512 SH       SOLE         001  25,855         0   8,657
SUNCOR ENERGY INC NEW           COMMON        867224107       130     3,983 SH       OTHER        001   3,890         0      93
SYSCO CORP                      COMMON        871829107     2,118    71,812 SH       SOLE         001  67,843     3,075     894
SYSCO CORP                      COMMON        871829107       306    10,383 SH       OTHER        001   9,273     1,010     100
SYSCO CORP                      COMMON        871829107       760     25750 SH       DEFINED      002       0    25,750       0
SYSCO CORP                      COMMON        871829107       232      7850 SH       SOLE         002       0         0   7,850
T ROWE PRICE TAX FREE INC       OTHER         779576107       190     19260 SH       DEFINED      002    N.A.      N.A.    N.A.
T ROWE PRICE TAX FREE SHT       OTHER         779902105       351     63090 SH       DEFINED      002    N.A.      N.A.    N.A.
TARGET CORP                     COMMON        87612E106     5,504   104,645 SH       SOLE         001 104,645         0       0
TARGET CORP                     COMMON        87612E106       508     9,653 SH       OTHER        001   9,653         0       0
TELEPHONE & DATA SYS INC        COMMON        879433860       325    10,894 SH       SOLE         001  10,894         0       0
TENARIS S A                     SPONSORED ADR 88031M109       245     5,700 SH       SOLE         001     600         0   5,100
TENARIS S A                     SPONSORED ADR 88031M109         9       220 SH       OTHER        001       0         0     220
TEVA PHARMACEUTICAL INDS LTD    SPONSORED ADR 881624209    10,381   164,561 SH       SOLE         001 157,152     2,235   5,174
TEVA PHARMACEUTICAL INDS LTD    SPONSORED ADR 881624209       946    14,996 SH       OTHER        001  13,998       852     146
TEXAS INSTRS INC                COMMON        882508104     1,482    60,561 SH       SOLE         001  60,561         0       0
TEXAS INSTRS INC                COMMON        882508104       190     7,772 SH       OTHER        001   6,772     1,000       0
TEXAS INSTRS INC                COMMON        882508104       940     38394 SH       DEFINED      002       0    38,394       0
THERMO ELECTRON CORP            COMMON        883556102       342      6641 SH       SOLE         002       0         0   6,641
TIDEWATER INC                   COMMON        886423102     3,467    73,340 SH       SOLE         001  73,070         0     270
TIDEWATER INC                   COMMON        886423102        40       854 SH       OTHER        001     825         0      29
TRANSOCEAN INC                  PFD           893830AU3      5689   5710000 PRN      DEFINED      002       0 5,710,000       0
TRANSOCEAN LTD                  SPONSORED ADR H8817H100     1,240    14,357 SH       SOLE         001   6,897        15   7,445
TRANSOCEAN LTD                  SPONSORED ADR H8817H100        91     1,048 SH       OTHER        001     793         0     255
TRANSOCEAN LTD                  SPONSORED ADR H8817H100      2513     29096 SH       DEFINED      002       0    29,096       0



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TRANSOCEAN LTD                  SPONSORED ADR H8817H100       228      2639 SH       SOLE         002     200         0   2,439
TRAVELERS COMPANIES INC         COMMON        89417E109       355     6,586 SH       SOLE         001     156         0   6,430
TRAVELERS COMPANIES INC         COMMON        89417E109        15       270 SH       OTHER        001       0         0     270
TYCO ELECTRONICS LTD SWITZER    SPONSORED ADR H8912P106       411    14,940 SH       SOLE         001  14,940         0       0
TYCO ELECTRONICS LTD SWITZER    SPONSORED ADR H8912P106         6       219 SH       OTHER        001     219         0       0
TYCO INTERNATIONAL LTD          SPONSORED ADR H89128104       673    17,598 SH       SOLE         001  13,815         0   3,783
TYCO INTERNATIONAL LTD          SPONSORED ADR H89128104        12       310 SH       OTHER        001     219         0      91
UMB FINL CORP                   COMMON        902788108       369     9,095 SH       SOLE         001   9,095         0       0
UNIGENE LABS INC                COMMON        904753100        15    17,500 SH       DEFINED      002       0    17,500       0
UNILEVER N V                    SPONSORED ADR 904784709       772    25,581 SH       SOLE         001   1,766         0  23,815
UNILEVER N V                    SPONSORED ADR 904784709        34     1,120 SH       OTHER        001       0         0   1,120
UNION PAC CORP                  COMMON        907818108       313     4,273 SH       SOLE         001   4,273         0
UNION PAC CORP                  COMMON        907818108       513     7,000 SH       OTHER        001   4,200         0   2,800
UNITED NAT FOODS INC            COMMON        911163103     2,515    89,390 SH       SOLE         001  89,390         0       0
UNITED NAT FOODS INC            COMMON        911163103       134     4,775 SH       OTHER        001   4,775         0       0
UNITED PARCEL SERVICE INC       COMMON        911312106     2,628    40,808 SH       SOLE         001  40,287       129     392
UNITED PARCEL SERVICE INC       COMMON        911312106       475     7,377 SH       OTHER        001   7,192       135      50
UNITED PARCEL SERVICE INC       COMMON        911312106       616      9558 SH       DEFINED      002       0     9,558       0
UNITED TECHNOLOGIES CORP        COMMON        913017109    13,991   190,065 SH       SOLE         001 180,868     2,693   6,504
UNITED TECHNOLOGIES CORP        COMMON        913017109     2,378    32,312 SH       OTHER        001  30,442     1,017     853
UNITED TECHNOLOGIES CORP        COMMON        913017109      1435     19493 SH       DEFINED      002       0    19,493       0
UNITED TECHNOLOGIES CORP        COMMON        913017109       757     10288 SH       SOLE         002       0     1,000   9,288
US BANCORP DEL                  COMMON        902973304     5,687   219,762 SH       SOLE         001 210,810     3,237   5,715
US BANCORP DEL                  COMMON        902973304       221     8,524 SH       OTHER        001   7,805       719       0
USA VIDEO INTERACTIVE CORP      COMMON        902924208         0     15400 SH       DEFINED      002       0    15,400       0
V F CORP                        COMMON        918204108       401     5,005 SH       SOLE         001   4,657         0     348
V F CORP                        COMMON        918204108        14       171 SH       OTHER        001      96        49      26
VALE S A                        SPONSORED ADR 91912E105       572    17,774 SH       SOLE         001   7,500         0  10,274
VALE S A                        SPONSORED ADR 91912E105        21       640 SH       OTHER        001       0         0     640
VANGUARD LTD TERM T/E FD-       OTHER         922907704       499     45249 SH       DEFINED      002    N.A.      N.A.    N.A.
VANGUARD SHORT TERM BD INDEX F  OTHER         921937827      2576     32202 SH       DEFINED      002    N.A.      N.A.    N.A.
VANGUARD SHORT TERM BD INDEX F  OTHER         921937827       986     12321 SH       SOLE         002    N.A.      N.A.    N.A.
VANGUARD WORLD FDS              OTHER         92204A702       303     5,400 SH       SOLE         001    N.A.      N.A.    N.A.
VERIZON COMMUNICATIONS          COMMON        92343V104      1092     35196 SH       DEFINED      002       0    35,196       0
VERIZON COMMUNICATIONS INC      COMMON        92343V104     8,862   285,679 SH       SOLE         001 253,816     5,876  25,987
VERIZON COMMUNICATIONS INC      COMMON        92343V104     1,535    49,500 SH       OTHER        001  46,642     1,622   1,236
VERMONT PURE HOLDINGS LTD       COMMON        924237100        14     20000 SH       DEFINED      002       0    20,000       0
VISA INC                        COMMON        92826C839       349     3,835 SH       SOLE         001     285         0   3,550
VISA INC                        COMMON        92826C839        10       115 SH       OTHER        001       0         0     115
VODAFONE GROUP PLC              SPONSORED ADR 92857W209     1,158    49,699 SH       SOLE         001   8,175         0  41,524
VODAFONE GROUP PLC              SPONSORED ADR 92857W209       136     5,850 SH       OTHER        001   4,110         0   1,740
WAL MART STORES INC             COMMON        931142103    11,006   197,953 SH       SOLE         001 192,919     2,051   2,983
WAL MART STORES INC             COMMON        931142103       841    15,129 SH       OTHER        001  14,244       885       0
WALGREEN CO                     COMMON        931422109     2,446    65,935 SH       SOLE         001  63,929     1,131     875
WALGREEN CO                     COMMON        931422109       827    22,308 SH       OTHER        001  15,004     1,304   6,000
WALGREEN CO                     COMMON        931422109       339      9150 SH       DEFINED      002       0     9,150       0



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WALGREEN CO                     COMMON        931422109      1105     29800 SH       SOLE         002       0         0  29,800
WAL-MART STORES INC             COMMON        931142103       988     17770 SH       DEFINED      002       0    17,770       0
WASHINGTON POST CO              COMMON        939640108       222       500 SH       SOLE         001     500         0       0
WEATHERFORD INTERNATIONAL LT    SPONSORED ADR H27013103       218    13,745 SH       SOLE         001       0         0  13,745
WEATHERFORD INTERNATIONAL LT    SPONSORED ADR H27013103         7       420 SH       OTHER        001       0         0     420
WEBSTER FINANCIAL CORP          COMMON        947890109       334     19080 SH       DEFINED      002       0    19,080       0
WELLPOINT INC                   COMMON        94973V107       325     5,055 SH       SOLE         001   5,055         0       0
WELLPOINT INC                   COMMON        94973V107        48       750 SH       OTHER        001     750         0       0
WELLS FARGO CO                  COMMON        949746101    12,207   392,259 SH       SOLE         001 378,180     9,033   5,046
WELLS FARGO CO                  COMMON        949746101       995    31,964 SH       OTHER        001  28,138     1,580   2,246
WELLS FARGO CO                  COMMON        949746101       421    13,536 SH       DEFINED      002       0    13,536       0
WELLS FARGO CO                  COMMON        949746101      1190     38244 SH       SOLE         002       0         0  38,244
WELLS FARGO CPA TR IV D         PFD           94976Y207       217      8600 SH       DEFINED      002       0     8,600       0
WESTERN UNION CO                COMMON        959802109       247     14550 SH       DEFINED      002       0    14,550       0
WESTERN UNION CO                COMMON        959802109       202     11900 SH       SOLE         002       0         0  11,900
WILLIAMS COS INC                COMMON        969457100       980     42427 SH       DEFINED      002       0    42,427       0
YUM! BRANDS INC                 COMMON        988498101       240      6260 SH       DEFINED      002       0     6,260       0
ZIMMER HOLDINGS INC             COMMON        98956P102       205      3459 SH       DEFINED      002       0     3,459       0



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