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

                                    FORM 13F

                               FORM 13F COVER PAGE

      Report for the Calendar Year or Quarter Ended: December 31, 2003

      Check here if Amendment [X]; Amendment Number 1

      This Amendment (Check only one): [X] is a restatement

                                       [ ] adds new holdings entries.

      Institutional Investment Manager Filing this Report:

      Name:                 BancorpSouth, Inc.

      Address:              One Mississippi Plaza
                            201 South Spring Street
                            Tupelo, MS  38804

      Form 13F File Number: 28-10453

      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: Cathy S. Freeman

      Title: Senior Vice President and Corporate Secretary

      Phone: (662) 680-2084

      Signature, Place, and Date of Signing:

      /s/ Cathy S. Freeman   Tupelo, Mississippi         November 15, 2004
      --------------------   -------------------        -------------------
      [Signature]               [City, State]                [Date]

      Report Type (Check only one.):

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

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

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

      List of Other Managers Reporting for this Manager: None.



                              FORM 13F SUMMARY PAGE

           Report Summary:

           Number of Other Included Managers:       1

           Form 13F Information Table Entry Total:  699

           Form 13F Information Table Value Total:  $3,216,442
                                                    (thousands)

LIST OF OTHER INCLUDED MANAGERS:

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



No.           Form 13F File Number                   Name
---           --------------------             -----------------
                                         
 1                  28-10939                   BancorpSouth Bank




                           FORM 13F INFORMATION TABLE



                                                                                                        VOTING AUTHORITY
                                   TITLE OF              VALUE  SHRS OR SH/ PUT/ INVESTMENT  OTHER     ------------------
       NAMES OF ISSUER              CLASS      CUSIP   [X$1000] PRN AMT PRN CALL DISCRETION MANAGERS   SOLE  SHARED  NONE
       ---------------             --------  --------- -------- ------- --- ---- ---------- --------   ----  ------  ----
                                                                                    
DAIMLERCHRYSLER AG                    ORD    D1668R123       2       49  SH        SOLE         1         49     0      0
ACE LIMITED                                  G0070K103      20      497  SH        SOLE         1        311     0    186
COOPER INDUSTRIES, LTD               CL A    G24182100      10      180  SH        SOLE         1          0     0    180
INGSOLL-RAND CO                      CL A    G4776G101     482     7112  SH        SOLE         1       5720     0   1392
                                    BERMUDA
NOBLE CORP                                   G65422100      10      300  SH        SOLE         1        300     0      0
ROYAL CARIBBEAN CRUISES                      V7780T103       6      200  SH        SOLE         1        200     0      0
A F L A C INC                                001055102      86     2400  SH        SOLE         1       2400     0      0
AGL RESOURCES, INC                           001204106      31     1090  SH        SOLE         1       1090     0      0
AES CORPORATION                              00130H105       9     1000  SH        SOLE         1       1000     0      0
AT&T CORP                           COM NEW  001957505     121     5978  SH        SOLE         1       5433     0    545
AT&T CORP                           COM NEW  001957505       2      119  SH       DEFINED       1        119     0      0
AT&T WIRELESS SVCS INC                       00209A106      67     8427  SH        SOLE         1       8027     0    400
AT&T WIRELESS SVCS INC                       00209A106       1      192  SH       DEFINED       1        192     0      0
ABBOTT LAB                                   002824100    1363    29267  SH        SOLE         1      25839     0   3428
ABBOTT LAB                                   002824100     223     4800  SH       DEFINED       1        200  4000    600
ADAMS EXPRESS CO                      COM    006212104     120     9692  SH        SOLE         1       9692     0      0
ADAPTEC INC                                  00651F108       3      400  SH        SOLE         1        400     0      0
ADECCO SA-SPONS                       ADR    006754105       4      260  SH        SOLE         1        260     0      0
ADVANCED MICRO DEVICES INC                   007903107       8      600  SH        SOLE         1        600     0      0
ADVANCED MICRO DEVICES INC                   007903107       2      200  SH       DEFINED       1        200     0      0
AETNA INC                             COM    00817Y108       6      100  SH       DEFINED       1          0     0    100
AGILENT TECHNOLOGIES, INC.                   00846U101      48     1675  SH        SOLE         1       1675     0      0
AGNICO EAGLE MINES                           008474108       6      500  SH        SOLE         1        500     0      0
AIR PRODS & CHEMS INC                 COM    009158106      10      190  SH        SOLE         1        101     0     89
ALBERTSONS, INC                              013104104      10      485  SH        SOLE         1          0     0    485
ALCOA INC                                    013817101     226     5966  SH        SOLE         1       3985     0   1981
ALCOA INC                                    013817101      19      500  SH       DEFINED       1        500     0      0
ALLEGHENY ENERGY INC                         017361106       2      200  SH        SOLE         1        200     0      0
ALLIANCE CAP MGMT HLDG L P                   01855A101      67     2000  SH       DEFINED       1       2000     0      0
ALLIED CAP CORP                     NEW COM  01903Q108       8      315  SH        SOLE         1        315     0      0
ALLSTATE CORP                        COMMON  020002101     611    14223  SH        SOLE         1      10831     0   3392
ALLSTATE CORP                        COMMON  020002101      25      604  SH       DEFINED       1        310     0    294
ALLTEL CORP                                  020039103     227     4890  SH        SOLE         1       4890     0      0
ALLTEL CORP                                  020039103     493    10600  SH       DEFINED       1      10600     0      0
ALTRIA GROUP INC                             02209S103     947    17410  SH        SOLE         1      14401     0   3009
AMERICAN EAGLE OUTFITTERS, INC               02553E106       6      375  SH        SOLE         1        220     0    155
AMERICAN ELECTRIC POWER                      025537101     160     5258  SH        SOLE         1       3503     0   1755
AMER EXPRESS CO                              025816109     183     3800  SH        SOLE         1       3800     0      0
AMERICAN INTERNATIONAL GROUP, INC            026874107     415     6266  SH        SOLE         1       4065     0   2201
AMERICAN INTERNATIONAL GROUP, INC            026874107      11      175  SH       DEFINED       1        175     0      0
AMERICAN ITALIAN PASTA COMPANY      CLASS A  027070101       5      140  SH        SOLE         1         80     0     60
AMERUS LIFE HOLDINGS                         03072M108      24      712  SH        SOLE         1        712     0      0
AMERISOURCEBERGEN CORP                       03073E105      17      313  SH        SOLE         1        193     0    120
AMATEK INC                                   031100100       7      160  SH        SOLE         1         95     0     65
AMGEN INC                                    031162100     225     3655  SH        SOLE         1       2501     0   1154
AMGEN INC                                    031162100      12      200  SH       DEFINED       1        200     0      0
AMSOUTH BANCORPORATION                       032165102    1441    58821  SH        SOLE         1      58821     0      0
ANADARKO PETE CORP                           032511107      74     1464  SH       DEFINED       1          0  1464      0
ANALOG DEVICES INC                    COM    032654105       4      100  SH        SOLE         1        100     0      0
ANHEUSER-BUSCH COMPANIES                     035229103     927    17604  SH        SOLE         1      15904     0   1700
ANHEUSER-BUSCH COMPANIES                     035229103     189     3600  SH       DEFINED       1       3600     0      0
APARTMENT INVT & MGMT CO              CL A   03748R101      10      305  SH        SOLE         1          0     0    305
APPLE COMP INC                               037833100      68     3200  SH       DEFINED       1       3200     0      0
APPLIED MATERIALS INC                        038222105     120     5350  SH        SOLE         1       5350     0      0
AQUANTIVE INC                                03839G105       2      280  SH        SOLE         1          0     0    280
ARCH COAL, INC                               039380100      10      340  SH        SOLE         1        200     0    140
ARCHER-DANIELS-MIDLAND COMPANY               039483102       4      279  SH        SOLE         1        279     0      0
ARMOR HOLDINGS, INC                          042260109       5      225  SH        SOLE         1        130     0     95
ARVINMERITOR                                 043353101       1       44  SH        SOLE         1         44     0      0
ASTORIA FINANCIAL CORP                       046265104       4      130  SH        SOLE         1         75     0     55
AUTODESK INC                                 052769106       9      389  SH        SOLE         1        241     0    148
AUTO DATA PROCESS                            053015103     205     5200  SH        SOLE         1       5200     0      0
AUTO DATA PROCESS                            053015103      87     2200  SH       DEFINED       1       2200     0      0
AUTOZONE                                     053332102      17      200  SH        SOLE         1        200     0      0
AUTOZONE                                     053332102      45      530  SH       DEFINED       1        530     0      0
AVAYA INC                                    053499109       2      227  SH        SOLE         1        227     0      0
AVON PRODUCTS INC                     COM    054303102      47      700  SH        SOLE         1        700     0      0
AXA-UAP                               ADR    054536107       5      236  SH        SOLE         1        236     0      0
BP AMOCO PLC SPONSORED                ADR    055622104     481     9767  SH        SOLE         1       9734     0     33
BP AMOCO PLC SPONSORED                ADR    055622104     227     4610  SH       DEFINED       1       4610     0      0
BMC SOFTWARE                                 055921100      23     1253  SH        SOLE         1        797     0    456
BAKER HUGHES INC                      COM    057224107      16      506  SH        SOLE         1        506     0      0
BALDOR ELEC CO                        COM    057741100   32487  1422387  SH       DEFINED       1    1422387     0      0
BANCO BILBAO VIZCAYA SP               ADR    05946K101       3      285  SH        SOLE         1        285     0      0
BANCORPSOUTH INC                             059692103   21344   900252  SH        SOLE         1     899252     0   1000
BANCORPSOUTH INC                             059692103    3188   134498  SH       DEFINED       1     131232  2592    674
BANK OF AMERICA CORP                NEW COM  060505104     689     8570  SH        SOLE         1       6695     0   1875
BANK OF AMERICA CORP                NEW COM  060505104      24      300  SH       DEFINED       1        300     0      0
BANK OF THE OZARKS, INC                      063904106    2076    92200  SH       DEFINED       1      92200     0      0
BANK OF NEW YORK                             064057102     289     8745  SH        SOLE         1       5535     0   3210
BANK ONE CORP                         COM    06423A103     110     2420  SH        SOLE         1       2420     0      0
BANK ONE CORP                         COM    06423A103      67     1482  SH       DEFINED       1          0  1482      0
BAXTER INTL INC                              071813109     264     8670  SH        SOLE         1       6040     0   2630
BEAR STEARNS COS INC                         073902108     110     1381  SH        SOLE         1       1357     0     24






                                                                                                        VOTING AUTHORITY
                                   TITLE OF              VALUE  SHRS OR SH/ PUT/ INVESTMENT  OTHER     ------------------
       NAMES OF ISSUER              CLASS      CUSIP   [X$1000] PRN AMT PRN CALL DISCRETION MANAGERS   SOLE  SHARED  NONE
       ---------------             --------  --------- -------- ------- --- ---- ---------- --------   ----  ------  ----
                                                                                    
BED BATH & BEYOND                            075896100      8      200  SH         SOLE         1        200      0     0
BELLSOUTH CORP                               079860102    863    30525  SH         SOLE         1      27065      0  3460
BELLSOUTH CORP                               079860102     11      400  SH        DEFINED       1        400      0     0
BERKSHIRE HATHAWAY "A"                       084670108     84        1  SH         SOLE         1          1      0     0
BERKSHIRE HATHAWAY INC DEL            CL B   084670207      8        3  SH        DEFINED       1          3      0     0
BLACKROCK INVT QUALITY MUNI TR INC           09247D105     43     3000  SH         SOLE         1       3000      0     0
MF BLACKROCK INCOME TRUST                    09247F100     17     2400  SH         SOLE         1       2400      0     0
BLACKSTONE INVESTMENT QUALITY                09247J102     39     4155  SH         SOLE         1       4155      0     0
TERM TRUST
BLOCK H & R INC                       COM    093671105     29      530  SH         SOLE         1        348      0   182
BOEING INC                                   097023105     52     1250  SH         SOLE         1        650      0   600
BORG WARNER AUTOMOTIVE INC                   099724106      2       32  SH         SOLE         1         32      0     0
BOSTON SCIENTIFIC                            101137107      1       46  SH         SOLE         1          0      0    46
BRINKER INTL INC                             109641100     13      414  SH         SOLE         1        238      0   176
BRINK'S COMPANY, INC                         109696104      4      180  SH         SOLE         1        105      0    75
BRISTOL MYERS SQUIBB CO                      110122108    572    20028  SH         SOLE         1      19598      0   430
BRISTOL MYERS SQUIBB CO                      110122108     57     2000  SH        DEFINED       1       2000      0     0
BRITISH SKY BROADCASTING GP PLC       SPON   111013108      3       70  SH         SOLE         1         70      0     0
                                      ADR
BROWN TOM INC                         NEW    115660201      6      190  SH         SOLE         1        110      0    80
BUCKEYE TECHNOLOGY INC                       118255108     15     1500  SH         SOLE         1       1500      0     0
BURLINGTON NORTHERN/SANTA FE CORP            12189T104     10      330  SH         SOLE         1          0      0   330
CBRL GROUP INC                        COM    12489V106     37      990  SH         SOLE         1        955      0    35
CEC ENTMT INC                                125137109     18      400  SH         SOLE         1        400      0     0
CIGNA CORPORATION                            125509109     31      544  SH         SOLE         1        225      0   319
CLECO CORP                            COM    12561W105     10      576  SH         SOLE         1        461      0   115
CSK AUTO CORP                                125965103      8      430  SH         SOLE         1        250      0   180
CNET NETWORKS INC                            12613R104      0      118  SH         SOLE         1        118      0     0
CVS CORP DELAWARE                            126650100     19      541  SH         SOLE         1        353      0   188
CADBURY SCHWEPPES PLC                 ADR    127209302     35     1200  SH         SOLE         1       1200      0     0
CALLAWAY GOLF CO                             131193104     10      615  SH         SOLE         1        240      0   375
CAMPBELL SOUP CO                      COM    134429109     10      400  SH         SOLE         1        400      0     0
CAPITAL ONE FINL CORP                 COM    14040H105    159     2600  SH         SOLE         1       2600      0     0
CARAUSTAR INDUSTRIES, INC                    140909102      5      370  SH         SOLE         1        218      0   152
CARDINAL HEALTH INC                   COM    14149Y108     12      200  SH         SOLE         1        200      0     0
CARNIVAL CORP                                143658300     14      366  SH         SOLE         1        206      0   160
CATERPILLAR INC                              149123101      8      100  SH         SOLE         1        100      0     0
CENDANT CORP                          COM    151313103     24     1099  SH         SOLE         1       1000      0    99
CENTERPOINT ENERGY INC                       15189T107      4      500  SH         SOLE         1        500      0     0
CENTURYTEL, INC                              156700106     99     3040  SH         SOLE         1       3040      0     0
CHARTER COMMUNICATIONS INC         DEL CL A  16117M107      2      600  SH         SOLE         1        600      0     0
CHECKPOINT SYSTEMS                           162825103     18     1000  SH         SOLE         1       1000      0     0
CHEVRONTEXACO CORP                           166764100    973    11268  SH         SOLE         1       9728      0  1540
CHEVRONTEXACO CORP                           166764100    114     1327  SH        DEFINED       1       1327      0     0
CINERGY                                      172474108      2       75  SH         SOLE         1         75      0     0
CISCO SYS INC                                17275R102    927    38289  SH         SOLE         1      33597      0  4692
CISCO SYS INC                                17275R102     33     1400  SH        DEFINED       1        800      0   600
CITIGROUP, INC                               172967101    942    19424  SH         SOLE         1      16621      0  2803
CITIGROUP, INC                               172967101    393     8117  SH        DEFINED       1       8117      0     0
CITIZENS HOLDING COMPANY                     174715102   3631   158987  SH         SOLE         1     158987      0     0
CLEAR CHANNEL COMMUNICATIONS                 184502102      4      100  SH         SOLE         1        100      0     0
COCA COLA BOTTLING CO              CONS COM  191098102     19      370  SH         SOLE         1        370      0     0
COCA COLA CO                                 191216100   1305    25732  SH         SOLE         1      23252      0  2480
COCA COLA CO                                 191216100     71     1400  SH        DEFINED       1        400      0  1000
COCA COLA ENTERPRISES INC            COM     191219104     52     2400  SH         SOLE         1       2400      0     0
COLGATE-PALMOLIVE CO                         194162103    205     4112  SH         SOLE         1       4112      0     0
COLGATE-PALMOLIVE CO                         194162103     10      200  SH        DEFINED       1          0      0   200
COLONIAL BANCGROUP INC                       195493309      4      240  SH         SOLE         1        140      0   100
COLUMBIA SPORTSWEAR CO                       198516106      4       75  SH         SOLE         1         45      0    30
COMCAST CORP                       NEW CL A  20030N101    165     5046  SH         SOLE         1       5046      0     0
                                     COM
COMCAST CORP                       NEW CL A  20030N101      2       80  SH        DEFINED       1         80      0     0
                                     COM
COMMSCOPE INC                                203372107     16     1000  SH         SOLE         1       1000      0     0
COMPUTER SCIENCES CORPORATION       COMMON   205363104      4       99  SH        DEFINED       1          0      0    99
COMSTOCK RES INC                     NEW     205768203      3      205  SH         SOLE         1          0      0   205
CONAGRA FOODS INC                    COM     205887102     10      415  SH         SOLE         1          0      0   415
CONEXANT SYS INC                     COM     207142100      0      176  SH         SOLE         1        176      0     0
CONOCO PHILLIPS                              20825C104    371     5672  SH         SOLE         1       4421      0  1251
CONSTELLATION ENERGY CORP                    210371100      5      150  SH         SOLE         1        150      0     0
COOPER TIRE & RUBBER CO                      216831107    340    15953  SH         SOLE         1      14953      0  1000
COOPER TIRE & RUBBER CO                      216831107      2      100  SH        DEFINED       1        100      0     0
COSTCO WHOLESALE CORP                        22160K105     23      640  SH         SOLE         1        445      0   195
COX COMMUNICATIONS                   CL A    224044107      3      100  SH        DEFINED       1        100      0     0
CRAY INC                                     225223106      3      325  SH         SOLE         1          0      0   325
CRESCENT REAL ESTATE EQUITIE         COM     225756105      5      345  SH         SOLE         1        200      0   145
CROSS COUNTRY HEALTHCARE, INC                227483104      7      480  SH         SOLE         1        280      0   200
CYBERONICS INC                               23251P102      4      155  SH         SOLE         1          0      0   155
CYTYC CORPORATION                            232946103      4      295  SH         SOLE         1        175      0   120
DNP SELECT INCOME FD INC                     23325P104     12     1100  SH         SOLE         1       1100      0     0
DTE ENERGY CO                                233331107     10      275  SH         SOLE         1          0      0   275
DANAHER CORP DEL                     COM     235851102    316     3445  SH         SOLE         1       2185      0  1260
DEERE & CO                                   244199105     97     1500  SH         SOLE         1       1500      0     0
DEL MONTE FOODS                      COM     24522P103      1      121  SH         SOLE         1        121      0     0
DELL INC                                     24702R101    456    13437  SH         SOLE         1      13215      0   222
DELPHI AUTO SYSTEMS                          247126105      2      250  SH         SOLE         1        250      0     0
DELTA & PINE LD CO                   COM     247357106     12      509  SH         SOLE         1        509      0     0
DELTIC TIMBER INC                            247850100    192     6324  SH         SOLE         1       6324      0     0
DELTIC TIMBER INC                            247850100  19615   645471  SH        DEFINED       1     242423 403048     0
DELUXE CORP                                  248019101     10      265  SH         SOLE         1          0      0   265
DEVON ENERGY CORP                   NEW COM  25179M103      4       82  SH         SOLE         1         82      0     0






                                                                                                        VOTING AUTHORITY
                                   TITLE OF              VALUE  SHRS OR SH/ PUT/ INVESTMENT  OTHER     -------------------
       NAMES OF ISSUER              CLASS      CUSIP   [X$1000] PRN AMT PRN CALL DISCRETION MANAGERS   SOLE  SHARED   NONE
       ---------------             --------  --------- -------- ------- --- ---- ---------- --------   ----  ------   ----
                                                                                     
DIAGEO P L C                       SPON ADR  25243Q205      3       75  SH         SOLE         1        75      0       0
                                     NEW
DIAL CORPORATION                             25247D101      9      348  SH         SOLE         1       348      0       0
DIAMONDCLUSTER INTL INC               COM    25278P106      2      200  SH         SOLE         1       200      0       0
DIGENE CORP                                  253752109      4      105  SH         SOLE         1         0      0     105
WALT DISNEY CO                               254687106    364    15616  SH         SOLE         1     11283      0    4333
WALT DISNEY CO                               254687106      4      200  SH        DEFINED       1       200      0       0
DOMINION RES INC VA                   NEW    25746U109      1       25  SH         SOLE         1        25      0       0
DOW CHEMICAL CO                              260543103     99     2383  SH         SOLE         1      2383      0       0
DOW CHEMICAL CO                              260543103     20      483  SH        DEFINED       1       483      0       0
DREYFUS STRATEGIC MUNICIPALS INC             261932107     20     2086             SOLE         1      2086      0       0
DREYFUS MUNICIPAL INCOME INC                 26201R102     18     1832             SOLE         1      1832      0       0
DU PONT EI D NEMOURS & CO                    263534109     32      711  SH         SOLE         1       680      0      31
DUKE ENERGY CORP                      COM    264399106     63     3114  SH         SOLE         1      3114      0       0
DUKE REALTY CORP                             264411505     10      345  SH         SOLE         1         0      0     345
DYNEX CAP INC                       COM NEW  26817Q506      0      106  SH        DEFINED       1         0      0     106
E-LOAN INC                                   26861P107      2     1000  SH         SOLE         1      1000      0       0
EMC CORP                                     268648102    276    21390  SH         SOLE         1     15165      0    6225
EMC CORP                                     268648102     49     3800  SH        DEFINED       1      3800      0       0
ENSCO INTERNATIONAL INC                      26874Q100      2       74  SH         SOLE         1         0      0      74
ENI S P A SPONSORED                   ADR    26874R108     10      110  SH         SOLE         1         0      0     110
E TRADE FINANCIAL CORP                       269246104     50     4000  SH         SOLE         1      4000      0       0
EASTMAN KODAK CO                             277461109     36     1430  SH         SOLE         1      1000      0     430
EASTMAN KODAK CO                             277461109      3      125  SH        DEFINED       1       125      0       0
EATON CORP                            COM    278058102    383     3550  SH         SOLE         1      2790      0     760
ECHOSTAR COMMUN                              278762109     16      500  SH         SOLE         1       500      0       0
EDWARDS LIFESCIENCES CORP                    28176E108      7      240  SH         SOLE         1       240      0       0
EL PASO CORPORATION                          28336L109      1      212  SH         SOLE         1       212      0       0
ELAN CORP PLC                         ADR    284131208      0      100  SH         SOLE         1       100      0       0
ELECTRONIC DATA SYS CORP              NEW    285661104     15      642  SH         SOLE         1       550      0      92
EMERSON ELECTRIC CO                          291011104    142     2200  SH         SOLE         1      2200      0       0
EMULEX NETWORK SYSTEMS                       292475209     12      465  SH         SOLE         1       200      0     265
ENCYSIVE PHARMACEUTICALS INC          COM    29256X107      0      100  SH         SOLE         1       100      0       0
ENCORE WIRE CORP                      COM    292562105    379    21300  SH         SOLE         1     13900      0    7400
ENTERASYS NETWORKS INC                       293637104      4     1255  SH         SOLE         1       200      0    1055
ENTERGY CORP                                 29364G103    299     5249  SH         SOLE         1      4249      0    1000
ENTERGY CORP                                 29364G103     33      593  SH        DEFINED       1       593      0       0
EQUITY INNS, INC                             294703103     13     1500  SH        DEFINED       1      1500      0       0
EQUITY RESIDENTIAL PPTYS SBI                 29476L107     12      436  SH         SOLE         1       436      0       0
ESTERLINE TECHNOLOGIES CORP                  297425100      8      310  SH         SOLE         1       185      0     125
EXXON MOBIL CORP                             30231G102   6018   146804  SH         SOLE         1    145649      0    1155
EXXON MOBIL CORP                             30231G102   1093    26676  SH        DEFINED       1     16476   4700    5500
FPL GROUP INC                                302571104    251     3838  SH         SOLE         1      2450      0    1388
FAIR ISAAC & CO INC                          303250104      5      110  SH         SOLE         1         0      0     110
FED HMN LN MTG CORP                  VOTING  313400301     14      250  SH         SOLE         1       250      0       0
                                      COM
FNMA                                  COM    313586109     90     1200  SH         SOLE         1      1200      0       0
FEDERATED DEPT STORES INC                    31410H101      1       41  SH         SOLE         1         0      0      41
FEDEX CORPORATION                            31428X106    108     1600  SH         SOLE         1      1600      0       0
FIRST DATA CORP                       COM    319963104      1       40  SH         SOLE         1         0      0      40
FIRST INDL RLTY TR INC                       32054K103     15      450  SH         SOLE         1       450      0       0
FIRST M & F CORP                             320744105     48     1293  SH         SOLE         1      1293      0       0
FIRST TENNESSEE NATIONAL CORP                337162101     56     1282  SH         SOLE         1      1282      0       0
FIRSTMERIT CORP                              337915102      3      130  SH         SOLE         1        75      0      55
FIRST ENERGY CORP                   COMMON   337932107     11      328  SH         SOLE         1       198      0     130
FLEET BOSTON CORP                            339030108     47     1087  SH         SOLE         1       976      0     111
FORD MOTOR COMPANY                  COMMON   345370860     30     1879  SH         SOLE         1      1760      0     119
FORD MOTOR COMPANY                  COMMON   345370860     11      700  SH        DEFINED       1       700      0       0
FOREST LABS                                  345838106     24      395  SH         SOLE         1       266      0     129
FORREST OIL CORP                             346091705    154     5400  SH         SOLE         1         0      0    5400
FORRESTER RESEARCH INC                       346563109      6      390  SH         SOLE         1       235      0     155
FUELCELL ENERGY INC                  COM     35952H106      2      200  SH         SOLE         1       200      0       0
FULTON FINANCIAL CORP - PA                   360271100      7      355  SH         SOLE         1       205      0     150
FURNITURE BRANDS INTL                        360921100      9      310  SH         SOLE         1       185      0     125
GSI COMMERCE INC                             36238G102      0       29  SH         SOLE         1        29      0       0
GAP INC DEL                          COM     364760108     36     1562  SH         SOLE         1      1500      0      62
GENERAL ELECTRIC CO                          369604103   2314    74733  SH         SOLE         1     74358      0     375
GENERAL ELECTRIC CO                          369604103    179     5800  SH        DEFINED       1      4600      0    1200
GENERAL MLS INC                      COM     370334104     16      370  SH         SOLE         1       370      0       0
GENERAL MLS INC                      COM     370334104      0       20  SH        DEFINED       1         0      0      20
GEN MTR CORP                                 370442105     52      991  SH         SOLE         1       540      0     451
GENOME THERAPEUTICS CORP             COM     372430108      3     1000  SH         SOLE         1         0      0    1000
GEORGIA PAC CORP                             373298108     68     2222  SH         SOLE         1      1660      0     562
GETTY IMAGES INC                             374276103      5      115  SH         SOLE         1         0      0     115
GILLETTE CO                                  375766102    103     2806  SH         SOLE         1      2806      0       0
GILLETTE CO                                  375766102    127     3485  SH        DEFINED       1      3485      0       0
GLAXO WELLCOME PLC                 SPONSORED 37733W105     37      797  SH         SOLE         1       305      0     492
                                      ADR
GOLD FIELDS LTD                    SPONS ADR 38059T106      2      155  SH         SOLE         1       155      0       0
GOLDMAN SACHS GROUP                          38141G104     27      282  SH         SOLE         1       178      0     104
GOODYEAR TIRE & RUBBER                       382550101      4      526  SH         SOLE         1       526      0       0
GREAT LAKES CHEM CORP                 COM    390568103     48     1785  SH        DEFINED       1      1785      0       0
GREAT PLAINS ENERGY INC                      391164100     59     1855  SH         SOLE         1      1855      0       0
GUIDANT CORP                          COM    401698105    147     2458  SH         SOLE         1      2398      0      60
GUITAR CENTER INC                            402040109      4      140  SH         SOLE         1         0      0     140
HCA INC.                                     404119109     91     2120  SH         SOLE         1      1943      0     177
HCC INSURANCE HOLDINGS, INC                  404132102      8      265  SH         SOLE         1       155      0     110
HALLIBURTON CO                        COM    406216101    314    12115  SH         SOLE         1      8095      0    4020
HANCOCK FABRICS                              409900107     23     1600  SH         SOLE         1      1600      0       0
HANCOCK HLDG CO CAP VALUE                    410120109    237     4345  SH         SOLE         1      4345      0       0
CEF HANCOCK JOHN PFD                         41013X106     10      400  SH         SOLE         1       400      0       0
JOHN HANCOCK                                 41014S106     10      285  SH         SOLE         1       285      0       0
HARLEY DAVIDSON INC                   COM    412822108     24      511  SH         SOLE         1       355      0     156
HARMAN INTL INDS INC                         413086109     11      150  SH         SOLE         1         0      0     150






                                                                                                        VOTING AUTHORITY
                                   TITLE OF              VALUE  SHRS OR SH/ PUT/ INVESTMENT  OTHER     -------------------
       NAMES OF ISSUER              CLASS      CUSIP   [X$1000] PRN AMT PRN CALL DISCRETION MANAGERS   SOLE  SHARED   NONE
       ---------------             --------  --------- -------- ------- --- ---- ---------- --------   ----  ------   ----
                                                                                     
HARRIS CORP                                  413875105     53     1400  SH         SOLE         1      1400      0       0
HARTFORD FNCL SV GRP INC              COM    416515104      2       49  SH         SOLE         1         0      0      49
HARTFORD FNCL SV GRP INC              COM    416515104     14      250  SH        DEFINED       1       250      0       0
HASBRO, INC                                  418056107     16      787  SH        DEFINED       1       787      0       0
HEADWATERS INC                               42210P102     10      525  SH         SOLE         1       305      0     220
HEINZ H J CO                          COM    423074103      9      273  SH         SOLE         1       273      0       0
HERSHEY FOODS CORP                           427866108    222     2895  SH         SOLE         1      1860      0    1035
HEWLETT PACKARD CO                           428236103    757    32988  SH         SOLE         1     26713      0    6275
HEWLETT PACKARD CO                           428236103      9      400  SH        DEFINED       1         0      0     400
HIBERNIA CORP                                428656102   7232   307778  SH         SOLE         1    306878      0     900
HIBERNIA CORP                                428656102     21      900  SH        DEFINED       1       900      0       0
HIGH INCOME OPPORTUNITY FD                   42967Q105     17     2500  SH         SOLE         1      2500      0       0
HILB ROGAL & HAMILTON COMPANY                431294107      5      177  SH         SOLE         1       102      0      75
HOME DEPOT                                   437076102    817    23050  SH         SOLE         1     20410      0    2640
HOME DEPOT                                   437076102     54     1532  SH        DEFINED       1      1532      0       0
HOMESTORE INC COM                            437852106      0      180  SH         SOLE         1       180      0       0
HUBBELL INC                           CL B   443510201     44     1000  SH         SOLE         1      1000      0       0
HUDSON UNITED BANCORP                        444165104      2       80  SH         SOLE         1        45      0      35
ING PRIME RATE TR BEN INT                    44977W106    110    13907  SH         SOLE         1     13907      0       0
ILLINOIS TOOL WORKS INC                      452308109      6       76  SH         SOLE         1        76      0       0
IMATION CORP                                 45245A107      5      170  SH         SOLE         1       100      0      70
IMAX CORP                                    45245E109      1      215  SH         SOLE         1         0      0     215
IMPERIAL TOBACCO PLC                SPON ADR 453142101      3       90  SH         SOLE         1        90      0       0
ING GROEP N V                                456837103     20      866  SH         SOLE         1       548      0     318
INSIGHT ENTERPRISES INC               COM    45765U103     52     2775  SH         SOLE         1      2775      0       0
INPUT/OUTPUT INC                             457652105      6     1450  SH         SOLE         1       835      0     615
INTERGRATED CIRCUIT SYSTEMS NEW,             45811K208      8      295  SH         SOLE         1         0      0     295
INC
INTEGRATED DEVICE TECHNOLOGY                 458118106      3      225  SH         SOLE         1         0      0     225
INTEGRATED SILICON                           45812P107      7      480  SH         SOLE         1         0      0     480
INTEL CORP CAP                               458140100   1606    50135  SH         SOLE         1     44772      0    5363
INTEL CORP CAP                               458140100    121     3780  SH        DEFINED       1      2980      0     800
IBM CORP                                     459200101   1620    17484  SH         SOLE         1     15634      0    1850
IBM CORP                                     459200101     44      475  SH        DEFINED       1       475      0       0
INTL PAPER CO                                460146103    419     9742  SH         SOLE         1      6784      0    2958
INTL PAPER CO                                460146103     38      900  SH        DEFINED       1         0    900       0
INTERPORE INTERNATIONAL                      46062W107      2      225  SH         SOLE         1         0      0     225
INVESTORS FINANCIAL SERVICE CORP             461915100      3      100  SH         SOLE         1         0      0     100
IONICS, INC                                  462218108      8      260  SH         SOLE         1       155      0     105
JDS UNIPHASE CORP                     COM    46612J101      0      120  SH         SOLE         1       120      0       0
J P MORGAN CHASE & CO                        46625H100    131     3577  SH         SOLE         1      3182      0     395
J P MORGAN CHASE & CO                        46625H100     55     1500  SH        DEFINED       1      1500      0       0
JANUS CAPITAL GROUP INC.                     47102X105      9      600  SH         SOLE         1       600      0       0
JEFFERSON PILOT CORPORATION                  475070108     10      215  SH         SOLE         1         0      0     215
JOHNSON & JOHNSON                            478160104   2075    40193  SH         SOLE         1     38527      0    1666
JOHNSON & JOHNSON                            478160104    448     8675  SH        DEFINED       1      5000   1200    2475
JOHNSON CONTROLS INC                         478366107    368     3170  SH         SOLE         1      2120      0    1050
KLA TENCOR CORP                              482480100      5      100  SH         SOLE         1       100      0       0
KELLOGG CO                                   487836108      7      200  SH         SOLE         1       200      0       0
KERR-MCGEE CORPORATION INC                   492386107     10      235  SH         SOLE         1         0      0     235
KEYCORP                               NEW    493267108     21      745  SH         SOLE         1         0      0     745
KEYSPAN CORP                          COM    49337W100     10      285  SH         SOLE         1         0      0     285
KIMBERLY-CLARK CORP                          494368103     11      200  SH         SOLE         1       200      0       0
KIMBERLY-CLARK CORP                          494368103     23      400  SH        DEFINED       1       400      0       0
KINDER MORGAN ENERGY PARTNERS, L.P           494550106     11      232  SH         SOLE         1       232      0       0
KNIGHT TRANSPORTATION INC                    499064103      3      120  SH         SOLE         1         0      0     120
KOHL'S CORP                                  500255104    161     3600  SH         SOLE         1      3600      0       0
KONINKLIJKE PHLPS ELECTRS N V SP    ADR NEW  500472303      4      159  SH         SOLE         1        95      0      64
KROGER CO                                    501044101    224    12153  SH         SOLE         1      8023      0    4130
LSI LOGIC CORP                        COM    502161102      3      400  SH         SOLE         1       400      0       0
LAFARGE SPONSORED                     ADR    505861401      4      180  SH         SOLE         1       180      0       0
ESTEE LAUDER CO                              518439104      3      100  SH         SOLE         1       100      0       0
ESTEE LAUDER CO                              518439104     23      600  SH        DEFINED       1       600      0       0
LEHMAN BROTHERS HOLDINGS              COM    524908100    310     4015  SH         SOLE         1      2760      0    1255
LEVEL 3 COMMUNICATIONS INC                   52729N100     34     6037  SH         SOLE         1      6037      0       0
LEXMARK INTL                        NEW CL A 529771107    448     5701  SH         SOLE         1      3573      0    2128
THE LIBERTY CORPORATION                      530370105    108     2400  SH         SOLE         1      2400      0       0
ELI LILLY & CO                               532457108    628     8935  SH         SOLE         1      7560      0    1375
ELI LILLY & CO                               532457108    105     1500  SH        DEFINED       1      1500      0       0
LIMITED BRANDS, INC                          532716107     25     1425  SH         SOLE         1       515      0     910
LINCOLN NATIONAL CORP IND                    534187109     12      300  SH         SOLE         1         0      0     300
LIONBRIDGE TECHNOLOGIES INC                  536252109      3      405  SH         SOLE         1         0      0     405
LOCKHEED MARTIN CORP                         539830109      5      100  SH         SOLE         1       100      0       0
LOWES CO INC                                 548661107    243     4400  SH         SOLE         1      4400      0       0
LUCENT TECHNOLOGIES                          549463107     65    23205  SH         SOLE         1     23005      0     200
LUCENT TECHNOLOGIES                          549463107      5     2000  SH        DEFINED       1      1000      0    1000
M & T BANK CORP                              55261F104    196     2000  SH         SOLE         1      2000      0       0
MFS INTER INCOME TR BENINT                   55273C107      6     1000  SH         SOLE         1      1000      0       0
MI DEVS INC                                  55304X104      1       50  SH         SOLE         1        50      0       0
MSC INDL DIRECT CO A                         553530106      4      170  SH         SOLE         1         0      0     170
MAGELLAN MIDSTREAM PARTNERS LP               559080106     10      200  SH         SOLE         1       200      0       0
MGNA ENTMT CORP                              559211107      0       20  SH         SOLE         1        20      0       0
MANULIFE FINANCIAL CORP                      56501R106   1236    38281  SH         SOLE         1     38281      0       0
MARATHON OIL CORP                            565849106     12      379  SH         SOLE         1         0      0     379
MARVEL ENTERPRISES, INC                      57383M108      8      285  SH         SOLE         1         0      0     285
MASCO CORPORATION                            574599106      2       89  SH         SOLE         1         0      0      89
MAXIM INTEGRATED PRODUCTS INC                57772K101     25      513  SH         SOLE         1       356      0     157
MAY DEPARTMENT STORES CO                     577778103     26      910  SH         SOLE         1       335      0     575
MCDATA CORP                         CLASS A  580031201      0       73  SH        DEFINED       1        73      0       0
MCDONALD'S CORP                              580135101    377    15195  SH         SOLE         1     11145      0    4050
MEADWESTVACO CORP                            583334107     46     1547  SH         SOLE         1      1547      0       0






                                                                                                        VOTING AUTHORITY
                                   TITLE OF              VALUE  SHRS OR SH/ PUT/ INVESTMENT  OTHER     -------------------
       NAMES OF ISSUER              CLASS      CUSIP   [X$1000] PRN AMT PRN CALL DISCRETION MANAGERS   SOLE  SHARED   NONE
       ---------------             --------  --------- -------- ------- --- ---- ---------- --------   ----  ------   ----
                                                                                     
MEDCO HEALTH SOLUTIONS INC                   58405U102      43     1268  SH        SOLE         1       1134       0   134
MEDCO HEALTH SOLUTIONS INC                   58405U102       0       12  SH       DEFINED       1         12       0     0
MEDICINES COMPANY                            584688105       5      175  SH        SOLE         1          0       0   175
MEDIMMUNE INC                         COM    584699102       1       75  SH        SOLE         1         75       0     0
MEDTRONIC INC                         COM    585055106      17      360  SH        SOLE         1        360       0     0
MELLON FINL CORP                             58551A108      25      800  SH        SOLE         1        800       0     0
MERCK & CO INC                               589331107    1373    29730  SH        SOLE         1      27555       0  2175
MERCK & CO INC                               589331107      76     1650  SH       DEFINED       1       1650       0     0
MERRILL LYNCH & CO, INC                      590188108      18      320  SH        SOLE         1        320       0     0
METLIFE INC                           COM    59156R108      89     2660  SH        SOLE         1       2660       0     0
MICROSOFT CORP                               594918104     684    25024  SH        SOLE         1      24367       0   657
MICROSOFT CORP                               594918104      21      800  SH       DEFINED       1          0       0   800
MICROSTRATEGY INC                   CLASS A  594972408       3       75  SH        SOLE         1          0       0    75
MID-AMERICA APARTMENT                CMNTYS  59522J103      33     1000  SH       DEFINED       1       1000       0     0
MIDATLANTIC MEDICAL SERVICES INC             59523C107       4       75  SH        SOLE         1          0       0    75
MIDAS GROUP INC                              595626102       9      666  SH        SOLE         1        666       0     0
MILLER HERMAN INC                     COM    600544100      76     3145  SH        SOLE         1       3145       0     0
MINDSPEED TECNOLOGIES                        602682106       0       58  SH        SOLE         1         58       0     0
MIRANT CORP                                  604675108       1     2698  SH        SOLE         1       2698       0     0
MITSUBISHI TOKYO FNCL GROUP INC     SPND ADR 606816106       2      330  SH        SOLE         1        330       0     0
MONSANTO CO.                         (NEW)   61166W101       5      187  SH        SOLE         1        187       0     0
MONSANTO CO.                         (NEW)   61166W101       6      235  SH       DEFINED       1        150       0    85
MOODYS CORP                                  615369105      43      725  SH        SOLE         1        602       0   123
MORGAN STANLEY DEAN WITTER                   617446448     474     8196  SH        SOLE         1       6610       0  1586
DISCOVER & CO
MORGAN STANLEY DEAN WITTER                   617446448      15      260  SH       DEFINED       1        260       0     0
DISCOVER & CO
MOTOROLA INC                                 620076109     138     9908  SH        SOLE         1       9703       0   205
MOTOROLA INC                                 620076109     104     7466  SH       DEFINED       1       7166       0   300
MULTIMEDIA GAMES INC                         625453105      18      450  SH        SOLE         1        450       0     0
MUNICIPAL MORTGAGE & EQUITY LLC -            62624B101      99     4000  SH        SOLE         1       4000       0     0
GROWTH
MUNIVEST FD INC                       COM    626295109      45     5000            SOLE         1       5000       0     0
MURPHY OIL CORP                       COM    626717102    4668    71483  SH        SOLE         1      71483       0     0
MURPHY OIL CORP                       COM    626717102 3037114  4650306  SH       DEFINED       1    2068366 2581940
MYLAN LABORATORIES INC                       628530107      48     1908  SH        SOLE         1       1908       0     0
NBC CAP CORP                                 628729105     142     5333  SH        SOLE         1       5333       0     0
NIC INC                                      62914B100       6      840  SH        SOLE         1          0       0   840
NASDAQ 100 TRUST                             631100104       7      200  SH        SOLE         1        200       0     0
NATIONAL COMM FINL CORP                      63545P104      70     2600  SH        SOLE         1       2600       0     0
NEWPORT INC                                  651824104       3      215  SH        SOLE         1          0       0   215
NEWS CORP LTD                         ADR    652487703       1       44  SH        SOLE         1          0       0    44
NICOR INC                             COM    654086107      17      500  SH        SOLE         1        500       0     0
NIKE INC                            CLASS B  654106103      47      700  SH        SOLE         1        700       0     0
NIPPON TEL & TEL SPON                 ADR    654624105       3      155  SH        SOLE         1        155       0     0
NISOURCE INC                                 65473P105     204     9310  SH        SOLE         1       6000       0  3310
NOKIA CORP SPND                       ADR    654902204     279    16441  SH        SOLE         1      11453       0  4988
NOBLE ENERGY INC                             655044105      44     1000  SH        SOLE         1       1000       0     0
NOMURA HOLDINGS INC                   ADR    65535H208       4      270  SH        SOLE         1        270       0     0
NORFOLK SO CORP                              655844108      33     1434  SH        SOLE         1       1434       0     0
NORTEL NETWORK CORP                   NEW    656568102      21     5000  SH        SOLE         1       5000       0     0
NORTHERN TRUST COMPANYNTRS                   665859104      82     1780  SH        SOLE         1       1780       0     0
NORTHERN TRUST COMPANYNTRS                   665859104     166     3600  SH       DEFINED       1       3600       0     0
NORTHRUP GRUMMAN                             666807102       1       14  SH        SOLE         1          0       0    14
NORTHWESTERN CORPORATION                     668074107       0      330  SH        SOLE         1        330       0     0
NOVARTIS AG SPONSORED                 ADR    66987V109       3       80  SH        SOLE         1         80       0     0
NU SKIN ENTERPRISES INC             CLASS A  67018T105      11      670  SH        SOLE         1        395       0   275
NUVEEN INSD PREMIUM INCOME MUNI FD           6706D8104       4      338            SOLE         1        338       0     0
NUVEEN MUNICIPAL MARKET OPP                  67062W103      51     3529  SH        SOLE         1       3529       0     0
OKLAHOMA GAS & ELEC ENERGYCORP               670837103      24     1000  SH        SOLE         1       1000       0     0
NUVEEN QUALITY INCOME MUNI                   670977107       7      500  SH        SOLE         1        500       0     0
NUVEEN PREMIER MUNICIPAL INC                 670988104      23     1565  SH        SOLE         1       1565       0     0
OSI PHARMACEUTICALSINC                COM    671040103       0        5  SH        SOLE         1          5       0     0
OCCIDENTAL PETE COR                   DEL    674599105      31      755  SH        SOLE         1        500       0   255
OCWEN FINANCIAL CORP                         675746101      10     1205  SH        SOLE         1        710       0   495
OHIO CASUALTY CORP                           677240103       6      385  SH        SOLE         1        225       0   160
OLIN CORP                                    680665205       3      166  SH       DEFINED       1        166       0     0
OMNICOM GROUP                                681919106      26      300  SH        SOLE         1        300       0     0
OMNIVISION TECHNOLOGIES                      682128103       3       70  SH        SOLE         1          0       0    70
ORACLE SYSTEMS CORP                          68389X105     182    13810  SH        SOLE         1       9180       0  4630
PNC BANK CORP                                693475105       1       29  SH        SOLE         1          0       0    29
PPG INDUSTRIES INC                           693506107      40      626  SH        SOLE         1        600       0    26
PACIFIC CAPITAL BANCORP                      69404P101       4      131  SH        SOLE         1         76       0    55
PACTIV COPR                                  695257105      57     2399  SH        SOLE         1       2146       0   253
PATTERSON UTI ENERGY INC                     703481101       3      105  SH        SOLE         1          0       0   105
PAYCHEX INC                                  704326107       5      150  SH        SOLE         1        150       0     0
PCCW LTD SONSORED                     ADR    70454G207       3      494  SH       DEFINED       1        494       0     0
PENTAIR INC                                  709631105       7      165  SH        SOLE         1        105       0    60
PEOPLES ENERGY CORP                   COM    711030106      21      500  SH       DEFINED       1        500       0     0
PEOPLES HLDG CO                       COM    711148106      42     1300  SH        SOLE         1       1300       0     0
PEPCO HLDGS INC                              713291102       8      457  SH        SOLE         1        457       0     0
PEPSIAMERICAS INC                            71343P200      68     4000  SH        SOLE         1       4000       0     0
PEPSICO INC                           COM    713448108    1477    31691  SH        SOLE         1      31426       0   265
PEPSICO INC                           COM    713448108      99     2130  SH       DEFINED       1        430    1100   600
PETSMART INC                                 716768106       7      305  SH        SOLE         1          0       0   305
PFIZER INC                                   717081103    1876    53122  SH        SOLE         1      52486       0   636
PFIZER INC                                   717081103     191     5417  SH       DEFINED       1       3817       0  1600
PHARMACEUTICAL RES INC                       717125108       7      110  SH        SOLE         1          0       0   110
PHELPS DODGE CORP                     COM    717265102      38      500  SH       DEFINED       1        500       0     0
THE PHOENIX COMPANIES                        71902E109      12     1051  SH        SOLE         1       1051       0     0
PITNEY BOWES INC                      COM    724479100      13      330  SH        SOLE         1        220       0   110
PLACER DOME INC                              725906101       3      170  SH        SOLE         1        170       0     0






                                                                                                        VOTING AUTHORITY
                                   TITLE OF              VALUE  SHRS OR SH/ PUT/ INVESTMENT  OTHER     -------------------
       NAMES OF ISSUER              CLASS      CUSIP   [X$1000] PRN AMT PRN CALL DISCRETION MANAGERS   SOLE  SHARED   NONE
       ---------------             --------  --------- -------- ------- --- ---- ---------- --------   ----  ------   ----
                                                                                     
POPE & TALBOT INC DELAWARE                   732827100     6        343  SH        SOLE         1       203       0    140
PORTFOLIO RECOVERY ASSOCIATES INC            73640Q105     2         95  SH        SOLE         1         0       0     95
POTLATCH CORP                         COM    737628107     5        150  SH        SOLE         1       150       0      0
POWER TECHNOLOGIES                           739363109     8       1140  SH        SOLE         1       665       0    475
PRAXAIR INC                           COM    74005P104    22        600  SH       DEFINED       1       600       0      0
PRINCIPAL FINANCIAL GROUP                    74251V102    53       1621  SH        SOLE         1      1621       0      0
PRIORITY HEALTHCARE INC               CL B   74264T102     3        165  SH        SOLE         1         0       0    165
PROCTER & GAMBLE CO                   COM    742718109  1389      13916  SH        SOLE         1     12596       0   1320
PROCTER & GAMBLE CO                   COM    742718109   139       1400  SH       DEFINED       1      1400       0      0
PROGRESS ENERGY INC                   COM    743263105    10        232  SH        SOLE         1       232       0      0
PRUDENTIAL FINANCIAL                         744320102   162       3886  SH        SOLE         1      3886       0      0
PUBLIC SVC ENTERPRISE GROUP INC              744573106     2         48  SH        SOLE         1         0       0     48
PUBLIC STORAGE, INC                   REIT   74460D109     7        180  SH        SOLE         1       180       0      0
PUTNAM MANAGED MUNICIPAL INCOME              746823103     3        500           DEFINED       1         0       0    500
TRUST
PUTNAM MASTER INTER INCR                     746909100     7       1150            SOLE         1      1150       0      0
QLOGIC CORP                           COM    747277101    54       1053  SH        SOLE         1      1053       0      0
QUALCOMM INC                                 747525103    10        200  SH        SOLE         1       200       0      0
QUANTA SERVICES, INC                         74762E102     8       1225  SH        SOLE         1       730       0    495
QWEST COMMUNICATIONS INTL INC         COM    749121109     8       1865  SH        SOLE         1      1865       0      0
CEF RMK HIGH INCOME FUND                     74963B105    16       1008  SH        SOLE         1      1008       0      0
RADISYS CORP                                 750459109     3        185  SH        SOLE         1         0       0    185
RALCORP HOLDINGS                    NEW COM  751028101     2         66  SH       DEFINED       1         0       0     66
RARE HOSPITALITY INTL INC                    753820109     2         90  SH        SOLE         1        90       0      0
RAYOVAC CORP                                 755081106     8        415  SH        SOLE         1       245       0    170
RAYTHEON CO                           NEW    755111507   201       6701  SH        SOLE         1      4505       0   2196
REGIONS FNCL CORP                            758940100   662      17800  SH        SOLE         1     16600       0   1200
REGIONS FNCL CORP                            758940100    66       1786  SH       DEFINED       1         0    1786      0
RELIANT RESOURCES INC                        75952B105     2        394  SH        SOLE         1       394       0      0
RELIANT RESOURCES INC                        75952B105    14       2022  SH       DEFINED       1      2022       0      0
REMINGTON OIL & GAS CORP              COM    759594302    15        800  SH        SOLE         1       800       0      0
REYNOLDS R J TOB HLDGS INC                   76182K105    10        180  SH        SOLE         1         0       0    180
RIO TINTO GBP                                767204100     2         22  SH        SOLE         1        22       0      0
RIVERSTONE NETWORKS INC                      769320102     0        102  SH        SOLE         1       102       0      0
ROCKWELL INTL CORP                    NEW    773903109     6        177  SH        SOLE         1       177       0      0
ROCKWELL COLLINS INC                         774341101     5        177  SH        SOLE         1       177       0      0
ROWAN COMPANIES INC                          779382100     6        265  SH        SOLE         1       155       0    110
ROXIE INC                                    780008108     0         65  SH        SOLE         1        65       0      0
ROYAL DUTCH PETE CO                 NY REG   780257804   115       2203  SH        SOLE         1      2203       0      0
                                    GLD1.25
ROYAL DUTCH PETE CO                  NY REG  780257804   167       3200  SH       DEFINED       1      3200       0      0
                                    GLD1.25
RUBY TUESDAY INC                             781182100    35       1260  SH       DEFINED       1         0       0   1260
SBC COMMUNICATIONS, INC                      78387G103   791      30383  SH        SOLE         1     25935       0   4448
SBC COMMUNICATIONS, INC                      78387G103    20        780  SH       DEFINED       1       780       0      0
ST JUDE MEDICAL                              790849103   316       5160  SH        SOLE         1      3265       0   1895
ST PAUL COS INC                              792860108    10        275  SH        SOLE         1         0       0    275
SANMINA CORP                                 800907107     3        306  SH        SOLE         1       306       0      0
SARA LEE CORP                         COM    803111103    80       3703  SH        SOLE         1      3361       0    342
SCANA CORP                            NEW    80589M102   215       6297  SH        SOLE         1      4032       0   2265
SCHERING PLOUGH CORP                  COM    806605101   444      25569  SH        SOLE         1     23009       0   2560
SCHERING PLOUGH CORP                  COM    806605101   330      19000  SH       DEFINED       1         0   19000      0
SCHLUMBERGER LTD                      COM    806857108   386       7067  SH        SOLE         1      5036       0   2031
SCRIPPS EW INC                      NEW CL A 811054204    28        300  SH        SOLE         1       300       0      0
SEARS ROEBUCK & CO                    COM    812387108    86       1900  SH        SOLE         1      1900       0      0
SEARS ROEBUCK & CO                    COM    812387108     7        167  SH       DEFINED       1       167       0      0
SELECT COMFORT CORP                          81616X103     3        155  SH        SOLE         1         0       0    155
SELIGMAN SELECT MUN FD INC                   816344105    13       1250  SH        SOLE         1      1250       0      0
SEMTECH CORP                                 816850101     5        230  SH        SOLE         1         0       0    230
SEMPRA ENERGY                         COM    816851109    10        365  SH        SOLE         1         0       0    365
SEROLOGICALS CORP                            817523103     7        410  SH        SOLE         1       235       0    175
SERVICEMASTER COMPANY                 COM    81760N109    88       7593  SH        SOLE         1      7593       0      0
SHELL TRANS & TRADING PLC NEW YRK     NEW    822703609    81       1800  SH       DEFINED       1       500       0      0
SHERWIN WILLIAMS CO                   COM    824348106    38       1100  SH        SOLE         1      1100       0      0
SIEMENS AG                           SPONS   826197501     4         55  SH        SOLE         1        55       0      0
                                      ADR
SIMMONS 1ST NATL CORP               CL A $5  828730200   363      13200  SH        SOLE         1     13200       0      0
                                     PAR
SIMMONS 1ST NATL CORP               CL A $5  828730200    13        500  SH       DEFINED       1       500       0      0
                                     PAR
SIRIUS SATTELITE RADIO                       82966U103    31      10000  SH        SOLE         1     10000       0      0
SKYWEST INC                                  830879102     3        215  SH        SOLE         1         0       0    215
SKYWORKS SOLUTIONS                           83088M102     0         61  SH        SOLE         1        61       0      0
SMUCKER J M CO                               832696405     0          7  SH        SOLE         1         7       0      0
SMURFIT-STONE CONTAINER CORP                 832727101     9        495  SH        SOLE         1       495       0      0
SNAP ON INC                                  833034101     7        240  SH        SOLE         1       145       0     95
SOLUTIA INC                           COM    834376105     0        500  SH        SOLE         1       500       0      0
SONIC WALL INC                               835470105    11       1535  SH        SOLE         1       910       0    625
SONY CORP                                    835699307    34       1000  SH       DEFINED       1      1000       0      0
SOUTHERN CO                           COM    842587107   566      18739  SH        SOLE         1     18739       0      0
SOUTHERN CO                           COM    842587107    78       2600  SH       DEFINED       1      2600       0      0
SOUTHWEST AIRLS CO                    COM    844741108     8        505  SH        SOLE         1       505       0      0
SOUTHWEST BANCORPATION                       84476R109     3         85  SH        SOLE         1         0       0     85
SPINNAKER EXPLORATION CO                     84855W109     7        230  SH        SOLE         1       135       0     95
SPRINT CORP                        COM FON   852061100   929      56670  SH        SOLE         1     56000       0    670
                                     GROUP
SPRINT CORP PCS SR 1                         852061506    12       2161  SH        SOLE         1      1337       0    824
STANCORP FINANCIAL GROUP                     852891100     5         85  SH        SOLE         1        50       0     35
STARBUCKS CORP                               855244109    34       1039  SH        SOLE         1       744       0    295
STEWART ENTERPRISES                          860370105    22       4000  SH        SOLE         1      4000       0      0
STONE ENERGY CORP                            861642106     7        165  SH        SOLE         1        95       0     70
SUN LIFE FINANCIAL                           866796105   340      13617  SH        SOLE         1     13617       0      0
SUN MICROSYSTEMS                             866810104     7       1700  SH        SOLE         1      1700       0      0
SUNOCO INC                                   86764P109    46        900  SH        SOLE         1       900       0      0






                                                                                                        VOTING AUTHORITY
                                   TITLE OF              VALUE  SHRS OR SH/ PUT/ INVESTMENT  OTHER     -------------------
       NAMES OF ISSUER              CLASS      CUSIP   [X$1000] PRN AMT PRN CALL DISCRETION MANAGERS   SOLE  SHARED   NONE
       ---------------             --------  --------- -------- ------- --- ---- ---------- --------   ----  ------   ----
                                                                                     
SUNTRUST BANKS INC                    COM    867914103    70       993   SH        SOLE         1       993      0       0
SUPER VALU INC                               868536103    11       415   SH        SOLE         1         0      0     415
SUPPORTSOFT INC                              868587106     5       380   SH        SOLE         1         0      0     380
SYNOVUS FINL CORP                            87161C105    32      1125   SH        SOLE         1      1125      0       0
TDC A/S SPONSORED                     ADR    87236N102     3       210   SH        SOLE         1       210      0       0
TECO ENERGY INC                       COM    872375100     4       300   SH        SOLE         1       300      0       0
TTM TECHNOLOGIES                             87305R109     3       205   SH        SOLE         1         0      0     205
TXU CORP                                     873168108    35      1500   SH        SOLE         1      1500      0       0
TARGET CORP                                  87612E106   335      8727   SH        SOLE         1      6392      0    2335
TARGET CORP                                  87612E106    15       400   SH       DEFINED       1       400      0       0
TELEFONICA SA SPONSORED               ADR    879382208     3        90   SH        SOLE         1        90      0       0
TELLABS INC DELAWARE                         879664100     5       600   SH        SOLE         1       600      0       0
TELLABS INC DELAWARE                         879664100     1       200   SH       DEFINED       1       200      0       0
TENNECO AUTOMOTIVE NW                        880349105     1       150   SH        SOLE         1       150      0       0
TEVA PHARMACEUTICAL IND              ADR'S   881624209    20       365   SH        SOLE         1       249      0     116
TEXAS GENCO HOLDINGS INC.                    882443104     0        25   SH        SOLE         1        25      0       0
TEXAS GENCO HOLDINGS INC.                    882443104     4       128   SH       DEFINED       1       128      0       0
TEXAS INSTRUMENTS                            882508104   218      7430   SH        SOLE         1      5210      0    2220
TEXTRON INCORPORATED                  COMM   883203101   410      7198   SH        SOLE         1      4610      0    2588
THOMAS & BETTS CORP                   COM    884315102     4       200   SH        SOLE         1       200      0       0
THORATEC CORP                                885175307     3       260   SH        SOLE         1         0      0     260
THORNBURG MORTGAGE INC                       885218107     8       300   SH        SOLE         1       300      0       0
3M CO                                        88579Y101   465      5472   SH        SOLE         1      4642      0     830
TIFFANY & CO                          NEW    886547108    99      2200   SH        SOLE         1      2200      0       0
TOTAL FINA ELF S.A.                   ADR    89151E109     3        40   SH        SOLE         1        40      0       0
TOYOTA MOTOR CORP                   ADR NEW  892331307     4        60   SH        SOLE         1        60      0       0
TRADESTATION GROUP INC                       89267P105     2       265   SH        SOLE         1         0      0     265
TRAVELERS PROPERTY CASUALTY CORP      CL A   89420G109    18      1123   SH        SOLE         1       710      0     413
TRAVELERS PROPERTY CASUALTY CORP      CL A   89420G109     5       350   SH       DEFINED       1       350      0       0
TRAVELERS PPTY & CAS CORP          NEW CLASS 89420G406     4       289   SH        SOLE         1       289      0       0
                                       B
TRAVELERS PPTY & CAS CORP          NEW CLASS 89420G406    12       720   SH       DEFINED       1       720      0       0
                                       B
TRIAD HOSPS INC                              89579K109     5       175   SH        SOLE         1       105      0      70
TRIBUNE COMPANY                              896047107    61      1200   SH        SOLE         1      1200      0       0
TRUSTMARK CORP                        COM    898402102   595     20336   SH        SOLE         1     20336      0       0
TYCO INTL LTD                       NEW COM  902124106     9       350   SH        SOLE         1       350      0       0
TYSON FOODS INC                       CL A   902494103     9       750   SH        SOLE         1         0      0     750
TYSON FOODS INC                       CL A   902494103   132     10000   SH       DEFINED       1     10000      0       0
UCBH HOLDINGS INC                            90262T308     4       105   SH        SOLE         1         0      0     105
UST INC                             COMMON   902911106     1        34   SH        SOLE         1         0      0      34
                                    STOCK
USA TRUCK INC-RESTRICTED                     902925106   706     71498   SH        SOLE         1     71498      0       0
US BANCORP DEL                        NEW    902973304    18       609   SH        SOLE         1       359      0     250
ULTRA PETROLEUM CORP-CAD                     903914109     8       330   SH        SOLE         1         0      0     330
ULTRATECH STEPPER INC                        904034105     3       122   SH        SOLE         1        37      0      85
UNIFI INC                                    904677101     6      1025   SH        SOLE         1       605      0     420
UNION PACIFIC CORP                           907818108    15       222   SH        SOLE         1       200      0      22
UNION PACIFIC CORP                           907818108   274      3950   SH       DEFINED       1       150   3800       0
UNION PLANTERS CORP                          908068109  1226     38951   SH        SOLE         1     38266      0     685
UNION PLANTERS CORP                CONV PFD  908068307    65      1000   SH        SOLE         1      1000      0       0
                                   SER E 8%
UNISYS CORP                                  909214108     5       353   SH        SOLE         1       353      0       0
UNITED STATIONERS INC                        913004107     5       135   SH        SOLE         1        75      0      60
UNITED THERA PEUTICS CORP                    91307C102     3       145   SH        SOLE         1         0      0     145
UNIVERSAL ELECTRONICS INC                    913483103     2       165   SH        SOLE         1       165      0       0
UNUMPROVIDENT CORP                           91529Y106    11       700   SH        SOLE         1         0      0     700
VF CORPORATION                               918204108    21       505   SH        SOLE         1         0      0     505
VERIZON COMMUNICATIONS                       92343V104   842     24019   SH        SOLE         1     20938      0    3081
VERIZON COMMUNICATIONS                       92343V104    84      2419   SH       DEFINED       1      2419      0       0
VIAD CORP                                    92552R109     8       348   SH        SOLE         1       348      0       0
VIACOM INC                            CL B   925524308   123      2781   SH        SOLE         1      2615      0     166
VIACOM INC                            CL B   925524308    14       325   SH       DEFINED       1       325      0       0
VISTEON CORP                                 92839U107     0        75   SH        SOLE         1        75      0       0
VODAFONE GROUP PLC                    NEW    92857W100    94      3759   SH        SOLE         1      3759      0       0
W.P.CAREY & CO., LLC                         92930Y107    75      2474   SH        SOLE         1      2474      0       0
WACHOVIA CORP 2ND                     NEW    929903102   732     15715   SH        SOLE         1     13744      0    1971
WACHOVIA CORP 2ND                     NEW    929903102    23       500   SH       DEFINED       1       500      0       0
WAL MART STORES INC                   COM    931142103  2466     46511   SH        SOLE         1     42002      0    4509
WAL MART STORES INC                   COM    931142103   243      4586   SH       DEFINED       1      1486   3000     100
WALGREEN CO                           COM    931422109   333      9155   SH        SOLE         1      6669      0    2486
WASHINGTON MUTUAL INC                        939322103    47      1184   SH        SOLE         1       600      0     584
WASTE CONNECTIONS INC                        941053100     2        70   SH        SOLE         1         0      0      70
WASTE MANAGEMENT INC                  NEW    94106L109   148      5013   SH        SOLE         1      2475      0    2538
WASTE MANAGEMENT INC                  NEW    94106L109     0         1   SH       DEFINED       1         0      0       1
WATSON WYATT & CO HLDGS             CLASS A  942712100     6       290   SH        SOLE         1       170      0     120
WEBSTER FINANCIAL CORP                       947890109     7       155   SH        SOLE         1        90      0      65
WEINGARTEN RLTY INVS                SH BEN   948741103    66      1500   SH        SOLE         1      1500      0       0
                                      INT
WELLS FARGO & CO.                     NEW    949746101   258      4385   SH        SOLE         1      4080      0     305
WELLS FARGO & CO.                     NEW    949746101    11       200   SH       DEFINED       1       200      0       0
WEST MARINE INC                              954235107     5       215   SH        SOLE         1         0      0     215
WESTAR ENERGY INC                            95709T100     4       200   SH        SOLE         1       200      0       0
WESTELL TECHNOLOGIES INC              CL A   957541105     1       310   SH        SOLE         1         0      0     310
WEYERHAEUSER CO                       COM    962166104    32       500   SH        SOLE         1       500      0       0
WHITNEY HOLDING CORP                 COMMON  966612103   130      3180   SH        SOLE         1      3180      0       0
WILD OATS MKTS INC                           96808B107     8       635   SH        SOLE         1       365      0     270
WILLIAMS COMPANY                     COMMON  969457100    17      1757   SH        SOLE         1      1757      0       0
WYETH                                        983024100   569     13421   SH        SOLE         1     10036      0    3385
WYETH                                        983024100    12       300   SH       DEFINED       1       300      0       0
XM SATELLITE                                 983759101   657     25000   SH        SOLE         1     25000      0       0
XCEL ENERGY INC                              98389B100     2       154   SH        SOLE         1       154      0       0
XILINX INC                                   983919101     3       100   SH        SOLE         1       100      0       0
YANKEE CANDLE CO INC                         984757104     8       300   SH        SOLE         1       175      0     125






                                                                                                          VOTING AUTHORITY
                                 TITLE OF                VALUE   SHRS OR  SH/ PUT/ INVESTMENT  OTHER     -------------------
       NAMES OF ISSUER             CLASS       CUSIP   [X$1000]  PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE  SHARED   NONE
       ---------------           --------    --------- --------  -------  --- ---- ---------- --------   ----  ------   ----
                                                                                      
YUM BRANDS INC                               988498101     90        2626 SH         SOLE         1      2626    0           0
ZIMMER HLDGS INC                             98956P102     32         462 SH         SOLE         1       328    0         134
ZOLL MEDICAL CORP                            989922109      6         195 SH         SOLE         1       115    0          80
AMDOCS LIMITED                 ISIN          G02602103      7         325            SOLE                   0    0         325
                               #GB0022569080
FLEXTRONICS INTL INC           ISIN          Y2573F102     12         800            SOLE                   0    0         800
                               #SG9999000020
ALLIANT TECHSYSTEMS INC                      018804104     12         210            SOLE                   0    0         210
ALLSTATE CORP                                020002101      6         150            SOLE                   0    0         150
ALLTEL CORP NEW                              20039103      10         225            SOLE                   0    0         225
AMER INTL GROUP INC                          026874107      4          67            SOLE                   0    0          67
AMGEN INC                                    31162100      11         175            SOLE                   0    0         175
AMSOUTH BANCORP                              032165102    336       13724            SOLE                   0    0       13724
AUTOMATIC DATA  PROCESSING INC               053015103      4         100            SOLE                   0    0         100
BANCORPSOUTH  INC                            059692103    293       12373            SOLE                   0    0       12373
BANK OF AMERICA  CORP INC.                   060505104     12         150            SOLE                   0    0         150
BERKSHIRE HATHAWAY INC         DEL CL B      084670207     28          10            SOLE                   0    0          10
BEST BUY INC                                 86516101      10         200            SOLE                   0    0         200
BOMBAY COMPANY INC                           097924104      2         200            SOLE                   0    0         200
BOSTON SCIENTIFIC                            101137107      9         240            SOLE                   0    0         240
CORP
CAREER EDUCATION CRP                         141665109      4         100            SOLE                   0    0         100
CITIGROUP INC                                172967101    119        2450            SOLE                   0    0        2450
COCA COLA CO                                 191216100     61        1200            SOLE                   0    0        1200
COVENTRY HEALTH CARE                         222862104     13         200            SOLE                   0    0         200
EATON VANCE TAX MGD            CLASS B       277911848     39    1981.506            SOLE                   0    0    1981.506
GENERAL DYNAMICS CRP                         369550108     10         110            SOLE                   0    0         110
GENERAL ELECTRIC CO                          369604103    235        7585            SOLE                   0    0        7585
GENERAL MOTORS CORP                          370442105     13         240            SOLE                   0    0         240
HEWLETT-PACKARD CO             DE            428236103     12         540            SOLE                   0    0         540
HOLOGIC INC                                  436440101      5         300            SOLE                   0    0         300
HOME DEPOT INC                               437076102      5         127            SOLE                   0    0         127
INTEL CORP                                   458140100    140        4380            SOLE                   0    0        4380
ISHARES TR DOW JONES                         464287788    278        3157            SOLE                   0    0        3157
JOHNSON & JOHNSON                            478160104      5         100            SOLE                   0    0         100
L-3 COMMUNICATIONS HLDGS                     502424104     14         280            SOLE                   0    0         280
INC
LANDSTAR SYSTEMS INC                         515098101      4         100            SOLE                   0    0         100
LUCENT TECH INC                              549463107      1     500.178            SOLE                   0    0     500.178
MAGNA-LAB INC CL A                           559235106      0        2000            SOLE                   0    0        2000
MERCK & CO INC                               589331107      5         100            SOLE                   0    0         100
MICROSOFT CORP                               594918104     50        1834            SOLE                   0    0        1834
MYLAN LABS INC                               628530107      9         345            SOLE                   0    0         345
NASDAQ 100 TR                  UNIT SER 1    631100104     13         370            SOLE                   0    0         370
NOKIA CORP ADR                               654902204      2         100            SOLE                   0    0         100
OPEN TEXT CORP                               683715106      4         200            SOLE                   0    0         200
OXFORD HEALTH PLANS INC                      691471106      4         100            SOLE                   0    0         100
PEOPLES HLDG CO  TUPELO MS                   711148106     71        2158            SOLE                   0    0        2158
PFIZER INC                                   717081103     17         468            SOLE                   0    0         468
PROCTER & GAMBLE CO                          742718109    147        1470            SOLE                   0    0        1470
RF MICRO DEVICES INC                         749941100      4         400            SOLE                   0    0         400
RESPIRONICS INC                              761230101      5         100            SOLE                   0    0         100
SYSCO CORP                                   871829107      4         100            SOLE                   0    0         100
TAIWAN SEMICONDUCTOR                         874039100      7         680            SOLE                   0    0         680
MANUFACTURING CO LTD
TEMPLETON FOREIGN              CLASS A       880196209    539   50648.565            SOLE                   0    0    50648.57
TEXAS INSTRUMENTS INC                        882508104      9         300            SOLE                   0    0         300
US BANCORP DEL                 COM NEW       902973304      6         215            SOLE                   0    0         215
VANGUARD HEALTH CARE                         921908307    280    2321.981            SOLE                   0    0    2321.981
WAL-MART STORES INC                          931142103     13         240            SOLE                   0    0         240
WALGREEN COMPANY                             931422109      5         150            SOLE                   0    0         150
WEITZ VALUE                                  949045108    378   10555.947            SOLE                   0    0    10555.95
CISCO SYS INC                                17275R102     27        1100            SOLE                   0    0        1100
COLUMBIA SMALL  COMPANY INDEX  CL Z          19764L232      5     275.028            SOLE                   0    0     275.028
COLUMBIA SMALL CAP OPPORTUNITY CL A          19764W626     52    3074.738            SOLE                   0    0    3074.738
FEDERAL NATL MTG  ASSN         DISC NT       313588UQ6    200      200000            SOLE                   0    0      200000
FEDERAL NATL MTG  ASSN         DISC NT       313588XK6    100      100000            SOLE                   0    0      100000
FEDERAL NATL MTG  ASSN                       31359MDU4    831      750000            SOLE                   0    0      750000
FEDERAL NATL MTG  ASSN                       31359MML4    104      100000            SOLE                   0    0      100000
FORD MOTOR CR CO               GLBL NT       345397UA9     21       20000            SOLE                   0    0       20000
GENERAL MTRS ACCEP                           3704A0DP4     20       20000            SOLE                   0    0       20000
CORP
HOSPITALITY  PROPERTIES TRUST                44106M102      4         100            SOLE                   0    0         100
JDS UNIPHASE CORP                            46612J101      1         250            SOLE                   0    0         250
JUNIPER NETWORKS INC                         48203R104      2         100            SOLE                   0    0         100
KRAFT FOODS INC                CL A          50075N104      3         100            SOLE                   0    0         100
LABORATORY CORP AMER HLDGS COM NEW           50540R409      4         100            SOLE                   0    0         100
MBNA CORP                                    55262L100      2         100            SOLE                   0    0         100
MERISTAR HOSPITALITY                         58984Y103      6         847            SOLE                   0    0         847
CORP
NAUTILUS GROUP INC             COM           63910B102      4         300            SOLE                   0    0         300
PRIVATE EXPT FDG  CORP                       742651CU4    537      500000            SOLE                   0    0      500000
S & P 500 DEPOSITORY                         78462F103     17         150            SOLE                   0    0         150
SONIC AUTOMOTIVE INC                         83545G102      5         200            SOLE                   0    0         200
STUDENT LN MARKETING ASSN GLBL               86387UAV7    533      500000            SOLE                   0    0      500000
TRAVELERS PPTY CAS CORP        NEW CL A      89420G109      0          10            SOLE                   0    0          10
TRAVELERS PPTY CAS CORP        NEW CL B      89420G406      0          22            SOLE                   0    0          22






                                                                                                          VOTING AUTHORITY
                               TITLE OF             VALUE     SHRS OR   SH/ PUT/ INVESTMENT  OTHER    ------------------------
       NAMES OF ISSUER           CLASS    CUSIP   [X$1000]    PRN AMT   PRN CALL DISCRETION MANAGERS  SOLE   SHARED       NONE
       ---------------         -------- --------- --------    -------   --- ---- ---------- --------  ----   ------       ----
                                                                                     
WORLDCOM INC GA NEW WORLDCOM     COM    98157D106       0          1095             SOLE                   0       0         1095
GROUP
WORLDCOM INC GA (MCI GROUP)             98157D304       0            55             SOLE                   0       0           55
                                                  -------  ------------                              ------- -------  -----------
GRAND TOTALS                                      3216442  13025303.943                              7425100 3030012  2405542.951
                                                  =======  ============                              ======= =======  ===========