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

                                    FORM 13F

                               FORM 13F COVER PAGE

      Report for the Calendar Year or Quarter Ended: March 31, 2005

      Check here if Amendment [ ]; Amendment Number _______________________

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

                                          [ ] adds new holdings entries.

      Institutional Investment Manager Filing this Report:

      Name:      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    May 13, 2005
      --------------------    -------------------    ------------
      [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:  777

      Form 13F Information Table Value Total:  $658,781
                                               (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


                                        2



                           FORM 13F INFORMATION TABLE



                                                                                                      **VOTING AUTHORITY**
                              TITLE OF               MKT VAL         SH/  PUT/  INVESTMENT   OTHER    --------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000   QTY   PRN  CALL  DESCRETION  MANAGERS  SOLE   SHARED   NONE
--------------------------  ------------  ---------  -------  -----  ---  ----  ----------  --------  -----  ------  ------
                                                                                    
DEUTSCHE BANK-EUR                         D18190898      10     120  SH            SOLE        1          0      0     120
ACE LIMITED                               G0070K103      62    1506  SH            SOLE        1        253      0    1253
AMERICAN SAFETY                           G02995101       2     200  SH            SOLE        1          0      0     200
INSURANCE HOLDINGS LTD
ARLINGTON TANKERS LTD                     G04899103      10     440  SH            SOLE        1        440      0       0
ASSURED GUARANTY LTD-USD                  G0585R106       8     465  SH            SOLE        1        465      0       0
INGSOLL-RAND CO             CL A BERMUDA  G4776G101     234    2950  SH            SOLE        1       2950      0       0
AUDIOCODES LTD                            M15342104       8     795  SH            SOLE        1          0      0     795
GIVEN IMAGING LTD                         M52020100       5     175  SH            SOLE        1          0      0     175
MIND C.T.I. LTD                 COM       M70240102       7    2000  SH            SOLE        1       2000      0       0
ABN AMRO HLDG NV              SPON ADR    000937102      11     450  SH            SOLE        1          0      0     450
A F L A C INC                             001055102      89    2400  SH            SOLE        1       2400      0       0
AGL RESOURCES, INC                        001204106      38    1090  SH            SOLE        1       1090      0       0
AT&T CORP                     COM NEW     001957505      12     680  SH            SOLE        1        380      0     300
AT&T CORP                     COM NEW     001957505       5     297  SH           DEFINED      1         49    248       0
ABBOTT LAB                                002824100     443    9511  SH            SOLE        1       9511      0       0
ABBOTT LAB                                002824100     195    4200  SH           DEFINED      1        200   4000       0
ABERDEEN ASIA-                            003009107      26    4300  SH            SOLE        1       4300      0       0
PACIFIC FUND
ADAMS EXPRESS CO                COM       006212104     121    9453  SH            SOLE        1       9453      0       0
ADAPTEC INC                               00651F108       1     400  SH            SOLE        1        400      0       0
ADVANCED MICRO DEVICES INC                007903107       3     200  SH           DEFINED      1        200      0       0
AEGEON N V ORD                            007924103      23    1750  SH            SOLE        1          0      0    1750
AETNA INC                       COM       00817Y108      14     200  SH           DEFINED      1          0      0     200
AGILENT TECHNOLOGIES, INC.                00846U101       1      59  SH            SOLE        1         59      0       0
AGNICO EAGLE MINES                        008474108       7     500  SH            SOLE        1        500      0       0
AIR PRODS & CHEMS INC           COM       009158106      45     714  SH            SOLE        1        129      0     585
AIRTRAN HLDGS INC               COM       00949P108       2     245  SH            SOLE        1          0      0     245
AIXTRON                         ADR       009606104       2     510  SH            SOLE        1        510      0       0
AKTIENGELELLSCHAFT
ALBERTSONS, INC                           013104104      10     485  SH            SOLE        1          0      0     485
ALCOA INC                                 013817101     247    8134  SH            SOLE        1       3580      0    4554
ALLIANCE CAP MGMT HLDG L P                01855A101      94    2000  SH           DEFINED      1       2000      0       0
ALLIED CAP CO FUND                        01903Q108       8     315  SH            SOLE        1        315      0       0
ALLSTATE CORP                  COMMON     020002101     740   13689  SH            SOLE        1       8715      0    4974
ALLSTATE CORP                  COMMON     020002101      16     310  SH           DEFINED      1        310      0       0
ALLTEL CORP                               020039103     230    4210  SH            SOLE        1       3990      0     220
ALLTEL CORP                               020039103     553   10100  SH           DEFINED      1      10100      0       0
ALPHA NATURAL                             02076X102       8     285  SH            SOLE        1          0      0     285
RESOURCES INC
ALTERA CORP                               021441100       3     200  SH            SOLE        1        200      0       0
ALTRIA GROUP INC                          02209S103    1194   18274  SH            SOLE        1      13120      0    5154
AMBAC FINANCIAL GROUP                     023139108       3      50  SH            SOLE        1         50      0       0
AMERICA SVC GROUP INC                     02364L109       5     230  SH            SOLE        1          0      0     230
AMERICAN ELECTRIC POWER                   025537101     165    4850  SH            SOLE        1       1350      0    3500
AMER EXPRESS CO                           025816109     143    2800  SH            SOLE        1       2800      0       0
AMERICAN                                  026874107     470    8500  SH            SOLE        1       4910      0    3590
INTERNATIONAL GROUP, INC
AMERICAN                                  026874107       9     175  SH           DEFINED      1        175      0       0
INTERNATIONAL GROUP, INC
AMERUS LIFE HOLDINGS                      03072M108      89    1889  SH            SOLE        1       1889      0       0
AMGEN INC                                 031162100     123    2121  SH            SOLE        1        511      0    1610
AMGEN INC                                 031162100      11     200  SH           DEFINED      1        200      0       0
AMSOUTH BANCORPORATION                    032165102    1048   40402  SH            SOLE        1      40402      0       0
ANADARKO PETE CORP                        032511107     111    1464  SH           DEFINED      1          0   1464       0
ANGLO AMERICAN PLC SP           ADR       03485P102      13     560  SH            SOLE        1          0      0     560
ANHEUSER-BUSCH COMPANIES                  035229103     468    9884  SH            SOLE        1       9084      0     800
ANHEUSER-BUSCH COMPANIES                  035229103     170    3600  SH           DEFINED      1       3600      0       0
ANNALY MTG MGMT                           035710409      19    1060  SH            SOLE        1       1060      0       0
ANTEON INTERNATIONAL CORP                 03674E108       4     125  SH            SOLE        1          0      0     125
ANWORTH MTG ASSET CORP         COMMON     037347101      19    2015  SH            SOLE        1       2015      0       0






                                                                                                         **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED   NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------  -----
                                                                                        
APPLE COMP INC                            037833100      58      1400  SH           DEFINED      1         1400       0      0
APPLERA CORP CELERA              COM      038020202       5       500  SH            SOLE        1          500       0      0
GENOMICS GRP
APPLIED MATERIALS INC                     038222105     733     45119  SH            SOLE        1        25771       0  19348
ARCH COAL, INC                            039380100       6       155  SH            SOLE        1          155       0      0
ARCHER-DANIELS-MIDLAND                    039483102       6       279  SH            SOLE        1          279       0      0
COMPANY
ARGONAUT GROUP INC                        040157109       5       270  SH            SOLE        1            0       0    270
ARRIS GROUP INC                           04269Q100       3       500  SH            SOLE        1          500       0      0
ARVINMERITOR                              043353101       0        44  SH            SOLE        1           44       0      0
ASTORIA FINANCIAL CORP                    046265104       3       157  SH            SOLE        1          157       0      0
AUGUST TECHNOLOGY CORP                    05106U105       2       210  SH            SOLE        1            0       0    210
AUTOLIV INC                      COM      052800109      15       334  SH            SOLE        1          334       0      0
AUTO DATA PROCESS                         053015103     204      4550  SH            SOLE        1         4550       0      0
AUTO DATA PROCESS                         053015103      98      2200  SH           DEFINED      1         2200       0      0
AUTOZONE                                  053332102      17       200  SH            SOLE        1          200       0      0
AUTOZONE                                  053332102      41       480  SH           DEFINED      1          480       0      0
AVAYA INC                                 053499109       2       172  SH            SOLE        1          172       0      0
AVON PRODUCTS INC               COM       054303102      60      1400  SH            SOLE        1         1400       0      0
AXA-UAP                         ADR       054536107       6       236  SH            SOLE        1          236       0      0
BASF AG                         ADR       055262505      23       330  SH            SOLE        1            0       0    330
BCE INC                                   05534B109      15       620  SH            SOLE        1            0       0    620
BEI TECHNOLOGY CORP                       05538P104       3       140  SH            SOLE        1            0       0    140
BJ SERVICES CO                            055482103     283      5471  SH            SOLE        1          313       0   5158
BP AMOCO PLC SPONSORED          ADR       055622104     476      7632  SH            SOLE        1         7213       0    419
BP AMOCO PLC SPONSORED          ADR       055622104     237      3810  SH           DEFINED      1         3810       0      0
BMC SOFTWARE                              055921100       5       359  SH            SOLE        1          296       0     63
BALDOR ELEC CO                  COM       057741100   36781   1425627  SH           DEFINED      1      1425627       0      0
BANCORPSOUTH INC                          059692103   23813   1154334  SH             SOLE       1       891671  261663   1000
BANCORPSOUTH INC                          059692103    2483    120379  SH           DEFINED      1       117450    2592    337
BANK OF AMERICA CORP          NEW COM     060505104     841     19078  SH            SOLE        1        12922       0   6156
BANK OF AMERICA CORP          NEW COM     060505104      26       600  SH           DEFINED      1          600       0      0
BANK OF THE OZARKS, INC                   063904106    2927     92200  SH           DEFINED      1        92200       0      0
BANK OF NEW YORK                          064057102     144      4970  SH            SOLE        1         2850       0   2120
BAXTER INTL INC                           071813109      67      2000  SH            SOLE        1         2000       0      0
BAXTER INTL INC                 PFD       071813406      10       200  SH            SOLE        1          200       0      0
BEAR STEARNS COS INC                      073902108     115      1157  SH            SOLE        1         1157       0      0
BED BATH & BEYOND                         075896100       7       200  SH            SOLE        1          200       0      0
BELLSOUTH CORP                            079860102     665     25299  SH            SOLE        1        21298       0   4001
BELLSOUTH CORP                            079860102      70      2696  SH           DEFINED      1          400    2296      0
BERKSHIRE HATHAWAY "A"                    084670108      87         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                    09247D105      45      3000  SH            SOLE        1         3000       0      0
MUNI TR INC
MF BLACKROCK INCOME TRUST                 09247F100      17      2400  SH            SOLE        1         2400       0      0
BLOCK H & R INC                 COM       093671105       4        80  SH            SOLE        1            0       0     80
BOEING INC                                097023105      64      1100  SH            SOLE        1          500       0    600
BOSTON PROPERTIES INC                     101121101      12       210  SH            SOLE        1            0       0    210
BOSTON SCIENTIFIC                         101137107      56      1916  SH            SOLE        1          100       0   1816
BRINKER INTL INC                          109641100      37      1048  SH            SOLE        1          184       0    864
BRISTOL MYERS SQUIBB CO                   110122108     368     14480  SH            SOLE        1        14480       0      0
BRISTOL MYERS SQUIBB CO                   110122108      50      2000  SH           DEFINED      1         2000       0      0
BROADCOM CORP                             111320107       5       200  SH            SOLE        1          200       0      0
BROOKLINE BANCORP INC                     11373M107       3       265  SH            SOLE        1          265       0      0
CBRL GROUP INC                  COM       12489V106      37       915  SH            SOLE        1          915       0      0
CIGNA CORPORATION                         125509109      53       595  SH            SOLE        1           98       0    497
CNET NETWORKS INC                         12613R104       1       118  SH            SOLE        1          118       0      0
CVS CORP DELAWARE                         126650100      38       741  SH            SOLE        1          137       0    604
CADBURY SCHWEPPES PLC           ADR       127209302      77      1910  SH            SOLE        1         1200       0    710
CADENCE DESIGN SYSTEMS INC                127387108      42      2873  SH            SOLE        1            0       0   2873
CAL MAINE FOODS INC                       128030202       3       500  SH            SOLE        1          500       0      0
CALLAWAY GOLF CO                          131193104       2       200  SH            SOLE        1            0       0    200
CANON INC                    ADR REPSTG   138006309      19       370  SH            SOLE        1            0       0    370
                               5 SHRS
CAPITAL ONE FINL CORP           COM      14040H105      194      2600  SH            SOLE        1         2600       0      0
CARAUSTAR INDUSTRIES, INC                140909102        4       320  SH            SOLE        1          320       0      0
CARNIVAL CORP                            143658300       52      1004  SH            SOLE        1          193       0    811
CARTERS INC                              146229109       17       430  SH            SOLE        1            0       0    430
CATERPILLAR INC                          149123101        9       100  SH            SOLE        1          100       0      0






                                                                                                         **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED   NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------  -----
                                                                                        
CELADON GROUP INC                         150838100       5       300  SH            SOLE        1            0       0    300
CENDANT CORP                    COM       151313103     687     33499  SH            SOLE        1        33200       0    299
CENTERPOINT ENERGY INC                    15189T107       6       500  SH            SOLE        1            0       0    500
CENTURYTEL, INC                           156700106      65      2000  SH            SOLE        1         2000       0      0
CHEVRONTEXACO CORP                        166764100     710     12179  SH            SOLE        1        10166       0   2013
CHEVRONTEXACO CORP                        166764100     131      2254  SH           DEFINED      1         2254       0      0
CINERGY                                   172474108       3        75  SH            SOLE        1           75       0      0
CISCO SYS INC                             17275R102     902     50492  SH            SOLE        1        32332    1650  16510
CISCO SYS INC                             17275R102      17      1000  SH           DEFINED      1         1000       0      0
CITIGROUP, INC                            172967101     916     20394  SH            SOLE        1        15547       0   4847
CITIGROUP, INC                            172967101     346      7707  SH           DEFINED      1         7707       0      0
CITIZENS HOLDING COMPANY                  174715102    3273    158987  SH            SOLE        1       158987       0      0
CLEAR CHANNEL                             184502102       3       100  SH            SOLE        1          100       0      0
COMMUNICATIONS
COCA COLA BOTTLING CO         CONS COM    191098102       2        55  SH            SOLE        1           55       0      0
COCA COLA CO                              191216100     826     19837  SH            SOLE        1        15317       0   4520
COCA COLA CO                              191216100     258      6200  SH           DEFINED      1         5800       0    400
COCA COLA ENTERPRISES INC       COM       191219104      49      2400  SH            SOLE        1         2400       0      0
COEUR D/ALEND MINES CORP        COM       192108108      21      5750  SH            SOLE        1         5750       0      0
IDAHO
COLGATE-PALMOLIVE CO                      194162103     172      3312  SH            SOLE        1         3312       0      0
COLGATE-PALMOLIVE CO                      194162103      10       200  SH           DEFINED      1          200       0      0
COMCAST CORP                NEW CL A COM  20030N101      10       325  SH            SOLE        1          325       0      0
COMCAST CORP                NEW CL A COM  20030N101      13       401  SH           DEFINED      1            0     401      0
COMPUTER ASSOC INTL INC         COM       204912109     303     11200  SH            SOLE        1        11200       0      0
COMPUTER SCIENCES              COMMON     205363104       4        99  SH           DEFINED      1            0       0     99
CORPORATION
COMSTOCK HOMEBUILDING COS                 205684103       3       155  SH            SOLE        1            0       0    155
CONAGRA FOODS INC               COM       205887102      16       620  SH            SOLE        1          250       0    370
CONEXANT SYS INC                COM       207142100       0       176  SH            SOLE        1          176       0      0
CONNETICS CORPORATION                     208192104       8       345  SH            SOLE        1            0       0    345
CONN'S INC                                208242107       6       320  SH            SOLE        1            0       0    320
CONN'S INC                                208242107      15       800  SH           DEFINED      1          800       0      0
CONOCO PHILLIPS                           20825C104     641      5945  SH            SOLE        1         4306       0   1639
CONSECO INC                     NEW       208464883      57      2832  SH            SOLE        1          455       0   2377
CONSOLIDATED EDISON INC         COM       209115104      33       800  SH            SOLE        1          800       0      0
COOPER TIRE & RUBBER CO                   216831107     296     16158  SH            SOLE        1        15158       0   1000
COOPER TIRE & RUBBER CO                   216831107       1       100  SH           DEFINED      1          100       0      0
CORINTHIAN COLLEGES INC                   218868107       4       255  SH            SOLE        1          255       0      0
COSTCO WHOLESALE CORP                     22160K105     148      3350  SH            SOLE        1          945       0   2405
COVENTRY HEALTH CARE INC                  222862104       7       110  SH            SOLE        1            0       0    110
CREDIT SUISSE GROUP             ADR       225401108      23       560  SH            SOLE        1           60       0    500
CRESCENT REAL ESTATE            COM       225756105       3       200  SH            SOLE        1          200       0      0
EQUITIE
CROSS COUNTRY HEALTHCARE,                 227483104       4       283  SH            SOLE        1          283       0      0
INC
DNP SELECT INCOME FD INC                  23325P104      11      1100  SH            SOLE        1         1100       0      0
DTE ENERGY CO                             233331107      12       270  SH            SOLE        1            0       0    270
DEBT STRATEGIES FD INC                    24276Q109      12      1950  SH            SOLE        1         1950       0      0
DEERE & CO                                244199105     100      1500  SH            SOLE        1         1500       0      0
DELL INC                                  24702R101     930     24235  SH            SOLE        1        16280       0   7955
DELPHI AUTO SYSTEMS                       247126105       1       250  SH            SOLE        1          250       0      0
DELTA & PINE LD CO              COM       247357106       6       259  SH            SOLE        1          259       0      0
DELTIC TIMBER INC                         247850100     247      6324  SH            SOLE        1         6324       0      0
DELTIC TIMBER INC                         247850100   25231    645471  SH           DEFINED      1       242423  403048      0
DELUXE CORP                               248019101      11       285  SH            SOLE        1            0       0    285
DIAGEO P L C                SPON ADR NEW  25243Q205      31       560  SH            SOLE        1           60       0    500
DIAMONDS TRUST FUND                       252787106      10       100  SH            SOLE        1          100       0      0
DIGITAS INC                               25388K104       2       275  SH            SOLE        1            0       0    275
DIRECTTV GROUP INC                        25459L106      46      3248  SH            SOLE        1          358       0   2890
WALT DISNEY CO                            254687106     532     18545  SH            SOLE        1        11421       0   7124
DOW CHEMICAL CO                           260543103     129      2605  SH            SOLE        1         2350       0    255
DOW CHEMICAL CO                           260543103      24       483  SH           DEFINED      1          483       0      0
DREYFUS STRATEGIC                         261932107       0         9                SOLE        1            9       0      0
MUNICIPALS INC
DU PONT EI D NEMOURS                      263534109     269      5269  SH            SOLE        1         2540       0   2729






                                                                                                         **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED   NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------  -----
                                                                                        
& CO
DUKE ENERGY CORP                COM       264399106      54      1936  SH            SOLE        1         1936       0      0
DUKE REALTY CORP                          264411505      10       345  SH            SOLE        1            0       0    345
DYCOM INDUSTRIES INC                      267475101       3       135  SH            SOLE        1            0       0    135
E-LOAN INC                                26861P107       2      1000  SH            SOLE        1         1000       0      0
EMC CORP                                  268648102      52      4250  SH            SOLE        1         3900     350      0
EMC CORP                                  268648102      46      3800  SH           DEFINED      1         3800       0      0
ENI S P A SPONSORED             ADR       26874R108      22       170  SH            SOLE        1            0       0    170
E TRADE FINANCIAL CORP                    269246104      48      4000  SH            SOLE        1         4000       0      0
EVCI CAREER COLLEGES                      26926P100       2       375  SH            SOLE        1            0       0    375
HOLDING
EAGLE HOSPITALITY                         26959T102       2       260  SH            SOLE        1          260       0      0
PROPERTIES
EASTGROUP PROPERTIES INC                  277276101      15       400  SH            SOLE        1          400       0      0
EASTMAN KODAK CO                          277461109      32      1000  SH            SOLE        1         1000       0      0
EATON CORP                      COM       278058102     485      7429  SH            SOLE        1         2865       0   4564
EBAY INC                                  278642103     106      2846  SH            SOLE        1          466       0   2380
ECHOSTAR                       COMMUN     278762109      11       400  SH            SOLE        1          400       0      0
EDWARDS LIFESCIENCES CORP                 28176E108      10       240  SH            SOLE        1          240       0      0
EL PASO CORPORATION                       28336L109       1       166  SH            SOLE        1          166       0      0
ELAN CORP PLC                   ADR       284131208       0       100  SH            SOLE        1          100       0      0
ELECTRONIC ARTS INC                       285512109     390      7536  SH            SOLE        1          258       0   7278
EMERSON ELECTRIC CO                       291011104      90      1400  SH            SOLE        1         1400       0      0
ENCANA CORP-CAD                           292505104      16       240  SH            SOLE        1            0       0    240
ENCORE WIRE CORP                COM       292562105     325     31948  SH            SOLE        1         1348       0  30600
ENDESA SA SPONSORED             ADR       29258N107      15       670  SH            SOLE        1            0       0    670
ENEL SOCIETA PER ARZION         ADR       29265W108      19       400  SH            SOLE        1           40       0    360
ENERPLUS RESOURCE FD                      29274D604      50      1400  SH            SOLE        1         1400       0      0
ENTERGY CORP                              29364G103     330      4678  SH            SOLE        1         1678       0   3000
ENTERGY CORP                              29364G103      41       593  SH           DEFINED      1          593       0      0
EPICOR SOFTWARE CORP                      29426L108       5       400  SH            SOLE        1            0       0    400
EQUITY INNS, INC                          294703103       4       400  SH            SOLE        1            0       0    400
EQUITY INNS, INC                          294703103      16      1500  SH           DEFINED      1         1500       0      0
ERICSSON (LM) TELE CO        ADR (NEW)    294821608       2        90  SH            SOLE        1           90       0      0
ESCO TECHNOLOGIES INC                     296315104       5        70  SH            SOLE        1            0       0     70
EXELON CORP                               30161N101      27       600  SH           DEFINED      1          600       0      0
EXPEDITORS INTL WASH INC        COM       302130109     127      2376  SH            SOLE        1          381       0   1995
EXXON MOBIL CORP                          30231G102    6528    109564  SH            SOLE        1       104209       0   5355
EXXON MOBIL CORP                          30231G102    1586     26626  SH           DEFINED      1        17226    8600    800
FPL GROUP INC                             302571104       8       222  SH            SOLE        1            0       0    222
FNMA                            COM       313586109       3        65  SH            SOLE        1            0       0     65
FEDEX CORPORATION                         31428X106     103      1100  SH            SOLE        1         1100       0      0
FIFTH THIRD BANCORP                       316773100      52      1228  SH            SOLE        1            0       0   1228
FIRST CASH FINANCIAL SVC                  31942D107       4       195  SH            SOLE        1            0       0    195
INC
FIRST DATA CORP                 COM       319963104     372      9479  SH            SOLE        1          552       0   8927
FIRST HORIZON NATIONAL                    320517105       3        82  SH            SOLE        1           82       0      0
FIRST M & F CORP                          320744105      53      1578  SH            SOLE        1         1293     285      0
FIRSTMERIT CORP                           337915102     215      8069  SH            SOLE        1         8069       0      0
FIRST ENERGY CORP              COMMON     337932107     192      4600  SH            SOLE        1         4600       0      0
FORD MOTOR COMPANY             COMMON     345370860      17      1518  SH            SOLE        1          660       0    858
FORD MOTOR COMPANY             COMMON     345370860       7       700  SH           DEFINED      1          700       0      0
FORRESTER RESEARCH INC                    346563109       3       259  SH            SOLE        1          259       0      0
40/86 STRATEGIC INCOME                    349739102       8       866  SH            SOLE        1          866       0      0
FUND
FOX ENTERTAINMENT GROUP                   35138T107      26       731  SH            SOLE        1          672       0     59
INC
FREESCALE SEMICONDUCTOR                   35687M206       4       283  SH            SOLE        1          283       0      0
FREESCALE SEMICONDUCTOR                   35687M206       0        33  SH           DEFINED      1           33       0      0
FUJI PHOTO                    NEW ADR     359586302      31       870  SH            SOLE        1            0       0    870
FULTON FINANCIAL CORP - PA                360271100       5       260  SH            SOLE        1          260       0      0
GAP INC DEL                     COM       364760108       4       187  SH            SOLE        1            0       0    187
GENERAL ELECTRIC CO                       369604103    2484     68911  SH            SOLE        1        68088       0    823
GENERAL ELECTRIC CO                       369604103     302      8400  SH           DEFINED      1         8400       0      0
GENERAL MLS INC                 COM       370334104       9       200  SH            SOLE        1          200       0      0
GEN MTR CORP                              370442105      32      1113  SH            SOLE        1          553       0    560
GENLYTE GROUP INC                         372302109       5        65  SH            SOLE        1            0       0     65
GILLETTE CO                               375766102     377      7486  SH            SOLE        1         5071       0   2415
GILLETTE CO                               375766102      55      1095  SH           DEFINED      1         1095       0      0
GLAXOSMITHKLINE PLC             ADR       37733W105     118      2571  SH            SOLE        1          439       0   2132
GOLDMAN SACHS GROUP                       38141G104      10        95  SH            SOLE        1            0       0     95
GOODYEAR TIRE & RUBBER                    382550101       7       526  SH            SOLE        1          526       0      0






                                                                                                         **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED   NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------  -----
                                                                                        
GREAT LAKES CHEM CORP           COM       390568103       8       250  SH           DEFINED      1          250       0      0
GUIDANT CORP                    COM       401698105     139      1882  SH            SOLE        1         1882       0      0
HCA INC.                                  404119109      85      1592  SH            SOLE        1          412       0   1180
HCC INSURANCE HOLDINGS,                   404132102       5       155  SH            SOLE        1          155       0      0
INC
HRPT PROPERTIES TRST          COM SBI     40426W101      33      2830  SH            SOLE        1         2830       0      0
HSBC HLDGS PLC SPONSORED        ADR       404280406      12       160  SH            SOLE        1            0       0    160
HAEMONETICS CORP                          405024100      12       285  SH            SOLE        1            0       0    285
HALLIBURTON CO                  COM       406216101     521     12069  SH            SOLE        1         6075       0   5994
HANCOCK FABRICS                           409900107      11      1600  SH            SOLE        1         1600       0      0
HANCOCK HLDG CO CAP VALUE                 410120109      50      1550  SH            SOLE        1         1550       0      0
JOHN HANCOCK PFD INC II                   41013X106       9       400  SH            SOLE        1          400       0      0
HARLEY DAVIDSON INC             COM       412822108     176      3050  SH            SOLE        1          507       0   2543
HARRIS CORP                               413875105      45      1400  SH            SOLE        1         1400       0      0
HARTFORD FNCL SV GRP INC        COM       416515104      10       147  SH            SOLE        1            0       0    147
HAWAIIAN ELEC INDS INC                    419870100      28      1130  SH           DEFINED      1         1130       0      0
HEADWATERS INC                            42210P102      12       385  SH            SOLE        1          185       0    200
HEALTH CARE REIT INC                      42217K106       1        32  SH            SOLE        1            0       0     32
HEINZ H J CO                    COM       423074103      10       273  SH            SOLE        1          273       0      0
HEWLETT PACKARD CO                        428236103     125      5728  SH            SOLE        1         4792       0    936
HEWLETT PACKARD CO                        428236103       8       400  SH           DEFINED      1          400       0      0
HIBERNIA CORP                             428656102    8648    270250  SH            SOLE        1       268350       0   1900
HIBERNIA CORP                             428656102      28       900  SH           DEFINED      1          900       0      0
HIGH INCOME OPPORTUNITY FD                42967Q105      15      2500  SH            SOLE        1         2500       0      0
HILB ROGAL & HOBBS COMPANY                431294107       3       102  SH            SOLE        1          102       0      0
HITACHI LTD                               433578507       9       160  SH            SOLE        1            0       0    160
HOLLYWOOD MEDIA CORP                      436233100       3       755  SH            SOLE        1            0       0    755
HOME DEPOT                                437076102     852     22289  SH            SOLE        1        14635       0   7654
HOME DEPOT                                437076102      58      1532  SH           DEFINED      1         1532       0      0
HONEYWELL INTL INC                        438516106      26       704  SH            SOLE        1          704       0      0
HOSPITALITY PROPERTIES                    44106M102       1        26  SH            SOLE        1            0       0     26
HOSPIRA, INC                              441060100      14       450  SH           DEFINED      1           50     400      0
HUBBELL INC                     CL B      443510201      51      1000  SH            SOLE        1            0       0   1000
HUMANA INC                                444859102      42      1319  SH            SOLE        1          324       0    995
JB HUNT TRANSPORT SVC INC                 445658107       7       175  SH            SOLE        1            0       0    175
ING PRIME RATE TR SH BEN                  44977W106      50      6907  SH            SOLE        1         6907       0      0
INT
ILLINOIS TOOL WORKS INC                   452308109      55       621  SH            SOLE        1          148       0    473
IMATION CORP                              45245A107       5       145  SH            SOLE        1          145       0      0
ING GROEP N V                             456837103      68      2282  SH            SOLE        1          311       0   1971
INPUT/OUTPUT INC                          457652105       3       590  SH            SOLE        1          590       0      0
INSITUFORM TECHNOLOGIES         CL A      457667103       7       500  SH            SOLE        1          500       0      0
INC
INTEL CORP CAP                            458140100    1104     47552  SH            SOLE        1        30912       0  16640
INTEL CORP CAP                            458140100      83      3600  SH           DEFINED      1         3600       0      0
IBM CORP                                  459200101     869      9514  SH            SOLE        1         6151       0   3363
IBM CORP                                  459200101     384      4203  SH           DEFINED      1         4203       0      0
INTERNATIONAL DISPLAYWORKS                459412102       3       350  SH            SOLE        1            0       0    350
INTL PAPER CO                             460146103      11       300  SH            SOLE        1          300       0      0
INTL PAPER CO                             460146103      33       900  SH           DEFINED      1            0     900      0
ISHARES S& P 500/BARRA                    464287408      54       900  SH            SOLE        1          900       0      0
VALUE
ISHARES TR RUSSELL 2000                   464287630     127       690  SH            SOLE        1           95       0    595
VALUE INDEX FD
IXYS CORP                                 46600W106       5       500  SH            SOLE        1            0       0    500
JDS UNIPHASE CORP               COM       46612J101       0       120  SH            SOLE        1          120       0      0
JLG INDUSTRIES INC                        466210101       7       365  SH            SOLE        1            0       0    365
JPMORGAN CHASE & CO             COM       46625H100     633     18307  SH            SOLE        1        12166       0   6141
JPMORGAN CHASE & CO             COM       46625H100     119      3456  SH           DEFINED      1         1500    1956      0
JACOBS ENGINEERING GROUP                  469814107      39       759  SH            SOLE        1          180       0    579
INC
JEFFERSON PILOT                           475070108      11       230  SH            SOLE        1            0       0    230
CORPORATION
JOHNSON & JOHNSON                         478160104    2793     41601  SH            SOLE        1        35967       0   5634
JOHNSON & JOHNSON                         478160104     636      9475  SH           DEFINED      1         7000    1200   1275
JOHNSON CONTROLS INC                      478366107     249      4468  SH            SOLE        1         2750       0   1718
KLA TENCOR CORP                           482480100       4       100  SH            SOLE        1          100       0      0
KT CORP                      SPONSORED    48268K101      17       820  SH            SOLE        1            0       0    820
                                ADR
KERR-MCGEE CORPORATION INC                492386107      16       210  SH            SOLE        1            0       0    210
KEYCORP                         NEW       493267108      60      1855  SH            SOLE        1         1100       0    755
KEYSPAN CORP                    COM       49337W100      11       285  SH            SOLE        1            0       0    285






                                                                                                         **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED   NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------  -----
                                                                                        
KIMBERLY-CLARK CORP                       494368103      17       265  SH            SOLE        1          100       0    165
KIMBERLY-CLARK CORP                       494368103      16       250  SH           DEFINED      1          250       0      0
KINDER MORGAN ENERGY                      494550106      10       232  SH            SOLE        1          232       0      0
PARTNERS, L.P
KONINKLIJKE PHLPS ELECTRS     ADR NEW     500472303      11       410  SH            SOLE        1            0       0    410
N V SP
KOREA ELECTRIC POWER            ADR       500631106       8       650  SH            SOLE        1            0       0    650
LTX CORP                                  502392103       2       500  SH            SOLE        1            0       0    500
ESTEE LAUDER CO                           518439104      26       600  SH           DEFINED      1          600       0      0
LEHMAN BROTHERS HOLDINGS        COM       524908100     297      3160  SH            SOLE        1         1810       0   1350
LEVEL 3 COMMUNICATIONS INC                52729N100      12      6037  SH            SOLE        1         6037       0      0
LEXMARK INTL                  NEW CL A    529771107     112      1408  SH            SOLE        1          233       0   1175
THE LIBERTY CORPORATION                   530370105      77      1900  SH            SOLE        1         1900       0      0
LIGAND PHARMACEUTICALS INC      CL B      53220K207       1       250  SH            SOLE        1          250       0      0
ELI LILLY & CO                            532457108     171      3300  SH            SOLE        1         3300       0      0
ELI LILLY & CO                            532457108      78      1500  SH           DEFINED      1         1500       0      0
LIMITED BRANDS, INC                       532716107      75      3116  SH            SOLE        1          358       0   2758
LINCOLN NATIONAL CORP IND                 534187109      11       265  SH            SOLE        1            0       0    265
LLOYDS TSB GROUP PLC            ADR       539439109      10       300  SH            SOLE        1          300       0      0
LOCKHEED MARTIN CORP                      539830109     607      9955  SH            SOLE        1         5925       0   4030
LOWES CO INC                              548661107     371      6516  SH            SOLE        1         4726       0   1790
LUCENT TECHNOLOGIES                       549463107      12      4724  SH            SOLE        1         3824       0    900
LUCENT TECHNOLOGIES                       549463107       2      1000  SH           DEFINED      1         1000       0      0
M & T BANK CORP                           55261F104     204      2000  SH            SOLE        1         2000       0      0
MBNA CORP                                 55262L100       4       193  SH            SOLE        1            0       0    193
MFS INTER INCOME TR          SH BEN INT   55273C107       6      1000  SH            SOLE        1         1000       0      0
MAGELLAN MIDSTREAM                        559080106      12       200  SH            SOLE        1          200       0      0
PARTNERS LP
MANULIFE FINANCIAL CORP                   56501R106    1800     37586  SH            SOLE        1        37586       0      0
MAPINFO CORP                              565105103       3       250  SH            SOLE        1            0       0    250
MARATHON OIL CORP                         565849106      13       280  SH            SOLE        1            0       0    280
MARTEN TRANSPORT LTD                      573075108       7       340  SH            SOLE        1            0       0    340
MASCO CORPORATION                         574599106     240      6928  SH            SOLE        1         3715       0   3213
MATRIXX INITIATIVES INC                   57685L105       4       400  SH            SOLE        1            0       0    400
MATTELL INC                               577081102      54      2531  SH            SOLE        1          509       0   2022
MAXIM INTEGRATED PRODUCTS                 57772K101      97      2396  SH            SOLE        1          356       0   2040
INC
MAY DEPARTMENT STORES CO                  577778103      28       775  SH            SOLE        1            0       0    775
MCCORMICK & SCHMICKS                      579793100       5       300  SH            SOLE        1            0       0    300
SEAFOOD
MCDATA CORP                   CLASS A     580031201       0        73  SH           DEFINED      1           73       0      0
MCDONALD'S CORP                           580135101     571     18352  SH            SOLE        1        11527       0   6825
MCKESSON CORP                             58155Q103     251      6655  SH            SOLE        1         3765       0   2890
MEADWESTVACO CORP                         583334107      49      1547  SH            SOLE        1         1547       0      0
MEDCO HEALTH SOLUTIONS INC                58405U102      17       361  SH            SOLE        1          361       0      0
MEDICAL ACTION INDUSTRIES                 58449L100       1       100  SH            SOLE        1            0       0    100
INC
MEDIMMUNE INC                   COM       584699102       1        75  SH            SOLE        1           75       0      0
MEDTRONIC INC                   COM       585055106      23       460  SH            SOLE        1          460       0      0
MELLON FINL CORP                          58551A108      31      1105  SH            SOLE        1          800       0    305
MERCK & CO INC                            589331107     250      7742  SH            SOLE        1         7062       0    680
MERISTAR HOSPITALITY CORP                 58984Y103       4       625  SH            SOLE        1          625       0      0
MERIT MED SYS INC                         589889104       3       300  SH            SOLE        1            0       0    300
MERRILL LYNCH & CO, INC                   590188108      18       320  SH            SOLE        1          320       0      0
METLIFE INC                     COM       59156R108      39      1022  SH            SOLE        1         1022       0      0
MICROS SYSTEMS INC                        594901100       8       240  SH            SOLE        1            0       0    240
MICROSOFT CORP                            594918104     560     23216  SH            SOLE        1        21970       0   1246
MICROSOFT CORP                            594918104      19       800  SH           DEFINED      1          800       0      0
MICROSEMI CORP                            595137100      11       735  SH            SOLE        1            0       0    735
MID-AMERICA APARTMENT                     59522J103      36      1000  SH           DEFINED      1         1000       0      0
CMNTYS
MIDAS GROUP INC                           595626102      15       666  SH            SOLE        1          666       0      0
MILLEA HLDGS INC                ADR       60032R106      11       160  SH            SOLE        1            0       0    160
MILLER HERMAN INC               COM       600544100      28       950  SH            SOLE        1          950       0      0
MINDSPEED TECNOLOGIES                     602682106       0        58  SH            SOLE        1           58       0      0
MONEYGRAM INTERNATIONAL                   60935Y109       6       348  SH            SOLE        1          348       0      0
INC
MONSANTO CO.                   (NEW)      61166W101      12       187  SH            SOLE        1          187       0      0
MOODYS CORP                               615369105     171      2117  SH            SOLE        1          602       0   1515
MORGAN STANLEY                            617446448     508      8876  SH            SOLE        1         5698       0   3178






                                                                                                          **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    -----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED    NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------   -----
                                                                                         
DEAN WITTER
DISCOVER & CO
MORGAN STANLEY DEAN                       617446448      14       260  SH           DEFINED      1          260        0      0
WITTER DISCOVER & CO
THE MOSIAIC COMPANY         COMMON STOCK  61945A107       0        15  SH            SOLE        1           15        0      0
MOTOROLA INC                              620076109      43      2896  SH            SOLE        1         2578        0    318
MOTOROLA INC                              620076109       4       300  SH           DEFINED      1          300        0      0
MUNICIPAL MORTGAGE &                      62624B101      97      4000  SH            SOLE        1         4000        0      0
EQUITY LLC - GROWTH SH
MUNIVEST FD INC                 COM       626295109      45      5000                SOLE        1         5000        0      0
MUNIYIELD INSURED                         62630E107     106      7500               DEFINED      1         7500        0      0
MURPHY OIL CORP                 COM       626717102    7080     71713  SH            SOLE        1        71713        0      0
MURPHY OIL CORP                 COM       626717102  459124   4650306  SH           DEFINED      1      2068366  2581940      0
MYLAN LABORATORIES INC                    628530107      33      1908  SH            SOLE        1         1908        0      0
NBC CAP CORP                              628729105     116      4833  SH            SOLE        1         4833        0      0
NMS COMMUNICATIONS CORP                   629248105       1       450  SH            SOLE        1            0        0    450
NANOPHASE TECHNOLOGY COPR       COM       630079101       6      1200  SH            SOLE        1         1200        0      0
NAPSTER INC                               630797108       0        65  SH            SOLE        1           65        0      0
NASDAQ 100 TRUST                          631100104      29       800  SH            SOLE        1          800        0      0
NATIONAL AUSTRALIA BK LTD       ADR       632525408      21       200  SH            SOLE        1            0        0    200
NAUTILUS GROUP, INC.                      63910B102       4       200  SH            SOLE        1            0        0    200
NAVARRE CORP                              639208107       4       600  SH            SOLE        1            0        0    600
NEIGHBORCARE INC                          64015Y104       1        35  SH            SOLE        1            0        0     35
NET BANK INC                              640933107       4       510  SH            SOLE        1          510        0      0
NETGURU INC                               64111K107       2      2136  SH            SOLE        1         2136        0      0
NEWPARK RESOURCES, INC                    651718504       0         8  SH            SOLE        1            8        0      0
NEWS CORP                                 65248E104      42      2525  SH            SOLE        1          200        0   2325
NEWS CORP                     CL B NEW    65248E203       4       265  SH            SOLE        1            0        0    265
NIKE INC                      CLASS B     654106103      58       700  SH            SOLE        1          700        0      0
NIPPON TEL & TEL              SPON ADR    654624105      21       972  SH            SOLE        1          102        0    870
NISOURCE INC                              65473P105       6       300  SH            SOLE        1            0        0    300
NOKIA CORP                    SPND ADR    654902204      46      3020  SH            SOLE        1         1100        0   1920
NOMURA HOLDINGS INC             ADR       65535H208      14      1019  SH            SOLE        1          109        0    910
NORFOLK SO CORP                           655844108      53      1434  SH            SOLE        1         1434        0      0
NORTEL NETWORK CORP             NEW       656568102      17      6300  SH            SOLE        1         6300        0      0
NORTHERN TRUST COMPANY          NTRS      665859104      77      1780  SH            SOLE        1         1780        0      0
NORTHERN TRUST COMPANY          NTRS      665859104     156      3600  SH           DEFINED      1         3600        0      0
NOVARTIS AG                  SPONSORE     66987V109      37       793  SH            SOLE        1           83        0    710
                              D ADR
NUVEEN INSD PREMIUM                       6706D8104       4       338                SOLE        1          338        0      0
INCOME MUNI FD
NUVEEN PREMIUM INCOME MUN      FUND 4     6706K4105      24      2000               DEFINED      1         2000        0      0
OKLAHOMA GAS & ELEC                       670837103      26      1000  SH            SOLE        1         1000        0      0
ENERGY CORP      
NUVEEN QUALITY INCOME MUNI                670977107       6       500  SH            SOLE        1          500        0      0
NUVEEN PREMIER INSURED                    670987106      14      1000               DEFINED      1         1000        0      0
MUN INCOME FUND INC
NUVEEN PREMIER MUNICIPAL                  670988104      21      1565                SOLE        1         1565        0      0
INC
OCCIDENTAL PETE COR             DEL       674599105      49       700  SH            SOLE        1          500        0    200
OCWEN FINANCIAL CORP                      675746101       5       697  SH            SOLE        1          697        0      0
OHIO CASUALTY CORP                        677240103       5       235  SH            SOLE        1          235        0      0
OLIN CORP                                 680665205       8       400  SH            SOLE        1          400        0      0
OLIN CORP                                 680665205       3       166  SH           DEFINED      1          166        0      0
OMNICOM GROUP                             681919106      17       200  SH            SOLE        1          200        0      0
OMNIVISION TECHNOLOGIES                   682128103       6       440  SH            SOLE        1            0        0    440
ORACLE SYSTEMS CORP                       68389X105     199     16025  SH            SOLE        1         9220        0   6805
ORANGE                                    685317109       2       350  SH            SOLE        1            0        0    350
PNC BANK CORP                             693475105       2        48  SH            SOLE        1            0        0     48
PPG INDUSTRIES INC                        693506107       5        78  SH            SOLE        1            0        0     78
PACIFIC CAPITAL BANCORP                   69404P101       3       101  SH            SOLE        1          101        0      0
PACKAGING CORP AMER                       695156109       1        48  SH            SOLE        1            0        0     48
PACTIV COPR                               695257105      72      3122  SH            SOLE        1         1285        0   1837
PALMONE INC                     COM       69713P107       2       100  SH            SOLE        1          100        0      0
PALMSOURCE INC                            697154102       0       100  SH            SOLE        1          100        0      0
PAR PHARMACEUTICAL                        69888P106       5       170  SH            SOLE        1          170        0      0
COMPANIES INC
PARKWAY PROPERTIES INC                    70159Q104       9       200  SH            SOLE        1          200        0      0






                                                                                                          **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    -----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED    NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------   -----
                                                                                         
PATTERSON COMPANIES INC                   703395103     508     10173  SH            SOLE        1          350        0   9823
PAYCHEX INC                               704326107       4       150  SH            SOLE        1          150        0      0
PCCW LTD SONSORED               ADR       70454G207       2       494  SH           DEFINED      1          494        0      0
PEETS COFFEE & TEA INC                    705560100       8       360  SH            SOLE        1            0        0    360
PEOPLES HLDG CO                 COM       711148106      40      1300  SH            SOLE        1         1300        0      0
PEPSIAMERICAS INC                         71343P200      90      4000  SH            SOLE        1         4000        0      0
PEPSICO INC                     COM       713448108    1356     25586  SH            SOLE        1        25306        0    280
PEPSICO INC                     COM       713448108     112      2130  SH           DEFINED      1         1030     1100      0
PETROCHINA CO LTD                         71646E100       9       150  SH            SOLE        1            0        0    150
PETROBRAS                                 71654V408      12       290  SH            SOLE        1            0        0    290
PFIZER INC                                717081103    1428     54372  SH            SOLE        1        39084        0  15288
PFIZER INC                                717081103     109      4185  SH           DEFINED      1         3485      700      0
PILGRIMS PRIDE CORP             COM       721467108      24       680  SH            SOLE        1          680        0      0
PIMCO MUNI INCOME FUND III                72201A103      19      1333                SOLE        1         1333        0      0
PINNACLE WEST CAP CORP                    723484101     344      8105  SH            SOLE        1         4560        0   3545
PITNEY BOWES INC                COM       724479100      38       846  SH            SOLE        1          139        0    707
PLACER DOME INC                           725906101       2       170  SH            SOLE        1          170        0      0
PLUM CREEK TIMBER CO INC                  729251108     249      6987  SH            SOLE        1         6987        0      0
PORTUGAL TELECOM                ADR       737273102      14      1200  SH            SOLE        1            0        0   1200
POST PROPERTIES INC                       737464107       2        80  SH            SOLE        1           80        0      0
POWER-ONE INC                             739308104       5      1170  SH            SOLE        1            0        0   1170
POWER TECHNOLOGIES                        739363109       5       665  SH            SOLE        1          665        0      0
PRINCIPAL FINANCIAL GROUP                 74251V102      34       896  SH            SOLE        1          896        0      0
PROCTER & GAMBLE CO             COM       742718109    1359     25642  SH            SOLE        1        23727        0   1915
PROCTER & GAMBLE CO             COM       742718109     371      7000  SH           DEFINED      1         7000        0      0
PROVIDER COMMERCE INC                     74373W103       3       110  SH            SOLE        1            0        0    110
PROVIDENCE SYC CORP                       743815102       7       340  SH            SOLE        1            0        0    340
PROVIDENT BANKSHARES, INC                 743859100       3       115  SH            SOLE        1          115        0      0
PUBLIC SVC ENTERPRISE                     744573106       7       145  SH            SOLE        1            0        0    145
GROUP INC
PUTNAM MANAGED MUNICIPAL                  746823103       3       500                SOLE        1            0        0    500
INCOME TRUST
QLOGIC CORP                     COM       747277101      20       500  SH            SOLE        1          500        0      0
QWEST COMMUNICATIONS INTL       COM       749121109       4      1094  SH            SOLE        1         1094        0      0
INC
CEF RMK HIGH INCOME FUND                  74963B105      16      1008  SH            SOLE        1         1008        0      0
RAYTHEON CO                     NEW       755111507       1        31  SH            SOLE        1           31        0      0
REED ELSEVIER PLC             SPON ADR    758205108      32       790  SH            SOLE        1            0        0    790
REGENERON PHARACEUTICALS        COM       75886F107       2       500  SH            SOLE        1          500        0      0
INC
REGIONS FINANCIAL CORP          NEW       7591EP100    1582     48844  SH            SOLE        1        48144        0    700
REGIONS FINANCIAL CORP          NEW       7591EP100      71      2205  SH           DEFINED      1            0     2205      0
RELIANT ENERGY INC                        75952B105       4       394  SH            SOLE        1            0        0    394
RELIANT ENERGY INC                        75952B105      19      1712  SH           DEFINED      1         1712        0      0
REPSOL YPF                      ADR       76026T205      14       560  SH            SOLE        1            0        0    560
REYNOLDS AMERICAN INC                     761713106      13       165  SH            SOLE        1            0        0    165
RICHARDSON ELECTRONICS LTD                763165107       2       265  SH            SOLE        1            0        0    265
ROCKWELL AUTOMATION, INC                  773903109      10       177  SH            SOLE        1          177        0      0
ROCKWELL COLLINS INC                      774341101       8       177  SH            SOLE        1          177        0      0
ROHM & HAAS CO                  COM       775371107      17       361  SH            SOLE        1          361        0      0
ROWAN COMPANIES INC                       779382100       3       120  SH            SOLE        1          120        0      0
ROWE COMPANIES                            779528108       2       600  SH            SOLE        1            0        0    600
ROYAL DUTCH PETE CO NY                    780257804     122      2043  SH            SOLE        1         2043        0      0
REG GLD1.25
ROYAL DUTCH PETE CO NY                    780257804     245      4096  SH           DEFINED      1         4096        0      0
REG GLD1.25
RUBIO'S RESTAURANTS INC                   78116B102       3       350  SH            SOLE        1            0        0    350
RUBY TUESDAY INC                          781182100      25      1060  SH           DEFINED      1          430        0    630
RUSH ENTERPRISES INC                      781846209       8       565  SH            SOLE        1            0        0    565
SBC COMMUNICATIONS, INC                   78387G103     963     40673  SH            SOLE        1        29037        0  11636
SBC COMMUNICATIONS, INC                   78387G103      63      2677  SH           DEFINED      1          780     1897      0
ST PAUL TRAVELERS CO.'S                   792860108      79      2168  SH            SOLE        1          394        0   1774
INC
SAN JUAN BASIN ROYALTY TR       COM       798241105      25       700  SH            SOLE        1          700        0      0
UNIT
SANMINA CORP                              800907107       1       306  SH            SOLE        1          306        0      0
SARA LEE CORP                   COM       803111103      44      2000  SH            SOLE        1         2000        0      0
SCANA CORP                      NEW       80589M102       8       222  SH            SOLE        1          222        0      0






                                                                                                          **VOTING AUTHORITY**
                              TITLE OF               MKT VAL           SH/  PUT/  INVESTMENT   OTHER    -----------------------
NAME OF ISSUER                 CLASS        CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED    NONE
--------------------------  ------------  ---------  -------  -------  ---  ----  ----------  --------  -------  ------   -----
                                                                                         
SCHERING PLOUGH CORP            COM       806605101     300     16584  SH            SOLE        1        16584        0      0
SCHLUMBERGER LTD                COM       806857108      49       700  SH            SOLE        1          700        0      0
SCOTTISH POWER PLC SP           ADR       81013T705      14       450  SH            SOLE        1            0        0    450
SCRIPPS EW INC                NEW CL A    811054204      29       600  SH            SOLE        1          600        0      0
SELIGMAN SELECT MUN FD INC                816344105      12      1250  SH            SOLE        1         1250        0      0
SEMPRA ENERGY                   COM       816851109      12       310  SH            SOLE        1            0        0    310
SERACARE LIFE SCIENCES INC                81747Q100       2       215  SH            SOLE        1            0        0    215
SERVICEMASTER COMPANY           COM       81760N109     102      7593  SH            SOLE        1         7593        0      0
SHELL TRANS & TRADING PLC       NEW       822703609      10       200  SH            SOLE        1            0        0    200
NEW YRK SH
SHELL TRANS & TRADING PLC       NEW       822703609      97      1800  SH           DEFINED      1         1800        0      0
NEW YRK SH
SIMMONS 1ST NATL CORP       CL A $1 PAR   828730200     327     13200  SH            SOLE        1        13200        0      0
SIMMONS 1ST NATL CORP       CL A $1 PAR   828730200      12       500  SH           DEFINED      1          500        0      0
SKYWORKS SOLUTIONS                        83088M102       1       166  SH            SOLE        1          166        0      0
SMUCKER J M CO                            832696405       0         3  SH            SOLE        1            3        0      0
SNAP ON INC                               833034101       4       145  SH            SOLE        1          145        0      0
SONIC WALL INC                            835470105       3       775  SH            SOLE        1          775        0      0
SONY CORP                                 835699307      14       370  SH            SOLE        1            0        0    370
SONY CORP                                 835699307      40      1000  SH           DEFINED      1         1000        0      0
SOUTHERN CO                     COM       842587107     281      8837  SH            SOLE        1         8837        0      0
SOUTHERN CO                     COM       842587107     140      4426  SH           DEFINED      1         4426        0      0
SPINNAKER EXPLORATION CO                  84855W109       4       115  SH            SOLE        1          115        0      0
SPORTS AUTHORITY INC                      84917U109       6       225  SH            SOLE        1          225        0      0
SPRINT CORP                   COM FON     852061100    1274     56000  SH            SOLE        1        56000        0      0
STANLEY WORKS                             854616109      13       290  SH            SOLE        1            0        0    290
STARBUCKS CORP                            855244109     214      4159  SH            SOLE        1          744        0   3415
STATOIL ASA                   SPON ADR    85771P102      16       950  SH            SOLE        1            0        0    950
STORA ENSO OYJ                  ADR       86210M106      22      1580  SH            SOLE        1            0        0   1580
STRATASYS INC                             862685104       6       245  SH            SOLE        1            0        0    245
SUN LIFE FINANCIAL                        866796105     200      6161  SH            SOLE        1         6161        0      0
SUNGARD DATA SYSTEMS                      867363103       6       195  SH            SOLE        1            0        0    195
SUNOCO INC                                86764P109      20       200  SH            SOLE        1          200        0      0
SUNTRUST BANKS INC              COM       867914103     142      1980  SH            SOLE        1         1980        0      0
SUPERIOR ENERGY SERVICES                  868157108       2       170  SH            SOLE        1            0        0    170
INC
SYNOVUS FINL CORP                         87161C105      31      1125  SH            SOLE        1         1125        0      0
SYSCO CORP                                871829107      30       863  SH            SOLE        1          863        0      0
TECO ENERGY INC                 COM       872375100       3       200  SH            SOLE        1          200        0      0
TXU CORP                                  873168108     119      1500  SH            SOLE        1            0        0   1500
TAIWAN SEMICONDUCTOR MFG       ADR'S      874039100      12      1480  SH            SOLE        1            0        0   1480
CO LTD
TALK AMERICA HOLDING INC        NEW       87426R202       3       475  SH            SOLE        1          475        0      0
TARGET CORP                               87612E106     131      2626  SH            SOLE        1         1785        0    841
TARGET CORP                               87612E106      20       400  SH           DEFINED      1          400        0      0
TELEFONOS DE MEXICO SA DE    SPONS ADR    879403780      20       580  SH            SOLE        1            0        0    580
CV
TELLABS INC DELAWARE                      879664100       1       200  SH           DEFINED      1          200        0      0
TEMPLE INLAND INC               COM       879868107      65       900  SH            SOLE        1          900        0      0
TEMPLETON DRAGON FD                       88018T101      20      1227  SH            SOLE        1         1227        0      0
TEMPLETON GLOBAL INCOME                   880198106      23      2730  SH            SOLE        1         2730        0      0
FUND
TERAYON COMMUNICATIONS                    880775101       0       200  SH            SOLE        1          200        0      0
TERRA INDUSTRIES INC                      880915103       0        15  SH            SOLE        1           15        0      0
TEVA PHARMACEUTICAL IND        ADR'S      881624209     109      3548  SH            SOLE        1          428        0   3120
TESSERA TECHNOLOGIES INC                  88164L100       5       125  SH            SOLE        1            0        0    125
TEXAS INSTRUMENTS                         882508104      44      1750  SH            SOLE        1         1750        0      0
THORNBURG MORTGAGE INC                    885218107       8       300  SH            SOLE        1          300        0      0
3 COM CORP                                885535104       2       691  SH            SOLE        1          691        0      0
3M CO                                     88579Y101     681      7957  SH            SOLE        1         4847        0   3110
TIFFANY & CO                    NEW       886547108      75      2200  SH            SOLE        1         2200        0      0
TIME WARNER INC                           887317105     426     24295  SH            SOLE        1        23920        0    375
TOTAL FINA ELF S.A.             ADR       89151E109      23       201  SH            SOLE        1           21        0    180
TOYOTA MOTOR CORP             ADR NEW     892331307      18       245  SH            SOLE        1           25        0    220
TPG N V                      SPONS ADR    892339102      21       740  SH            SOLE        1            0        0    740
TRADESTATION GROUP INC                    89267P105       6      1000  SH            SOLE        1            0        0   1000
TRIAD HOSPS INC                           89579K109       1        30  SH            SOLE        1           30        0      0
TRIBUNE COMPANY                           896047107      47      1200  SH            SOLE        1         1200        0      0




                                                                                                     
                                                                                                      ** VOTING AUTHORITY **
                           TITLE OF                MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER              CLASS         CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS  SOLE   SHARED   NONE
-----------------------  -------------  ---------  -------  -------  ---  ----  ----------  --------  -----  ------  -------
                                                                                    
TRUSTMARK CORP               COM        898402102     472     16310   SH            SOLE        1     16310       0        0
TYCO INTL LTD              NEW COM      902124106      20       609   SH            SOLE        1       350       0      259
TYSON FOODS INC             CL A        902494103      12       750   SH            SOLE        1         0       0      750
USA TRUCK INC                           902925106     952     41498   SH            SOLE        1     41498       0        0
RESTRICTED
US BANCORP                 DEL NEW      902973304      58      2040   SH            SOLE        1       323       0     1717
U S HOME SYS INC                        90335C100       1       330   SH            SOLE        1         0       0      330
 LTRATECH STEPPER INC                   904034105       5       345   SH            SOLE        1       345       0        0
UNION PACIFIC CORP                      907818108      13       200   SH            SOLE        1       200       0        0
UNION PACIFIC CORP                      907818108     264      3800   SH          DEFINED       1         0    3800        0
UNITED UTILITIES PLC                    91311Q105       1        59   SH            SOLE        1         0       0       59
SP
UNIVERSAL TRUCKLOAD                     91388P105      11       535   SH            SOLE        1         0       0      535
SVCS INC
UNOCAL CORP                  COM        915289102       9       156   SH            SOLE        1       156       0        0
UPM KYMMENE CORP           SPN ADR      915436109      13       590   SH            SOLE        1         0       0      590
VF CORPORATION                          918204108      12       215   SH            SOLE        1         0       0      215
VALASSIS                                918866104       5       165   SH            SOLE        1       165       0        0
COMMUNICATIONS INC
VARIAN MEDICAL SYSTEMS                  92220P105      91      2672   SH            SOLE        1       382       0     2290
VARIAN SEMICONDUCTOR                    922207105      12       320   SH            SOLE        1         0       0      320
EQUIP
VERIZON COMMUNICATIONS                  92343V104     629     17731   SH            SOLE        1     11121       0     6610
VERIZON COMMUNICATIONS                  92343V104      89      2517   SH          DEFINED       1      1719     798        0
VIAD CORPORATION                        92552R406       2        87   SH            SOLE        1        87       0        0
VIACOM INC                  CL B        925524308     512     14728   SH            SOLE        1     12369       0     2359
VIACOM INC                  CL B        925524308      11       325   SH          DEFINED       1       325       0        0
VISTEON CORP                            92839U107       0        10   SH            SOLE        1        10       0        0
VITRAN CORP                             92850E107       4       335   SH            SOLE        1         0       0      335
VODAFONE GROUP             PLC NEW      92857W100      99      3729   SH            SOLE        1      3729       0        0
VODAFONE GROUP             PLC NEW      92857W100      15       565   SH          DEFINED       1         0     565        0
W H ENERGY SERVICES                     92925E108       7       305   SH            SOLE        1         0       0      305
WACHOVIA CORP              2ND NEW      929903102     664     13048   SH            SOLE        1     10854       0     2194
WACHOVIA CORP              2ND NEW      929903102      25       500   SH          DEFINED       1       500       0        0
WAL MART STORES INC          COM        931142103    2151     42930   SH            SOLE        1     36720       0     6210
WAL MART STORES INC          COM        931142103     202      4036   SH          DEFINED       1      1036    3000        0
WALGREEN CO                  COM        931422109     224      5059   SH            SOLE        1      2274       0     2785
WASHINGTON MUTUAL INC                   939322103      22       560   SH            SOLE        1         0       0      560
WASTE MANAGEMENT INC         NEW        94106L109     121      4209   SH            SOLE        1      1465       0     2744
WASTE MANAGEMENT INC         NEW        94106L109       0         1   SH          DEFINED       1         0       0        1
WATSON WYATT & CO          CLASS A      942712100       5       210   SH            SOLE        1       210       0        0
HLDGS
WEBSTER FINANCIAL CORP                  947890109       4       105   SH            SOLE        1       105       0        0
WEINGARTEN RLTY INVS                    948741103      77      2250   SH            SOLE        1      2250       0        0
SH BEN INT
WELLS FARGO & CO.            NEW        949746101     105      1757   SH            SOLE        1      1455       0      302
WELLS FARGO & CO.            NEW        949746101      11       200   SH          DEFINED       1       200       0        0
WESTAR ENERGY INC                       95709T100       8       379   SH            SOLE        1       379       0        0
WEYERHAEUSER CO              COM        962166104      34       500   SH            SOLE        1         0       0      500
WHIRLPOOL CORP                          963320106      25       380   SH            SOLE        1         0       0      380
WHITNEY HOLDING CORP       COMMON       966612103      89      2000   SH            SOLE        1      2000       0        0
WITNESS SYSTEM INC                      977424100       7       425   SH            SOLE        1         0       0      425
WYETH                                   983024100     729     17292   SH            SOLE        1      9766       0     7526
XM SATELLITE                            983759101     790     25000   SH            SOLE        1     25000       0        0
XCEL ENERGY INC                         98389B100       2       154   SH            SOLE        1       154       0        0
XILINX INC                              983919101       2       100   SH            SOLE        1       100       0        0
YANKEE CANDLE CO INC                    984757104       6       215   SH            SOLE        1       215       0        0
YUM BRANDS INC                          988498101      99      1926   SH            SOLE        1      1926       0        0
ZIMMER HLDGS INC                        98956P102     107      1376   SH            SOLE        1       226       0     1150
AFLAC INC                                 1055102      19       500   SH            SOLE                  0       0      500
AMR CORP DELAWARE        COMMON           1765106      10      1000   SH            SOLE                  0       0     1000
                         STOCK
AT&T CORP COM            NEW              1957505      11       600   SH            SOLE                  0       0      600
ABBOTT LABS              COM              2824100      23       500   SH            SOLE                  0       0      500
ALCOA INC                COM             13817101       2        73   SH            SOLE                  0       0       73
ALLIANT TECHSYSTEMS                      18804104      15       210   SH            SOLE                  0       0      210
INC
ALLSTATE CORP                            20002101       8       150   SH            SOLE                  0       0      150
ALLTEL CORP                              20039103      12       225   SH            SOLE                  0       0      225
ALLTEL CORP              CORP UNITS      20039822       3        50   SH            SOLE                  0       0       50
AMERICAN CAP             COM             24937104      93      2950   SH            SOLE                  0       0     2950
STRATEGIES LTD
AMERICAN                                 26874107       5        99   SH            SOLE                  0       0       99
INTERNATIONAL GROUP
INC
AMGEN INC                                31162100      51       890   SH            SOLE                  0       0      890
AMSOUTH                  COM             32165102     361     14104   SH            SOLE                  0       0    14104






                                                                                                      ** VOTING AUTHORITY **
                           TITLE OF                MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER              CLASS         CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS  SOLE   SHARED   NONE
-----------------------  -------------  ---------  -------  -------  ---  ----  ----------  --------  -----  ------  -------
                                                                                    
BANCORPORATION
ANHEUSER-BUSCH COS INC                   35229103      47      1000   SH            SOLE                  0       0     1000
ANNALY MTG MGMT INC      COM             35710409     172      9160   SH            SOLE                  0       0     9160
APPLE COMPUTER INC                       37833100      41      1000   SH            SOLE                  0       0     1000
APPLIED MATERIALS INC                    38222105      16      1000   SH            SOLE                  0       0     1000
ASTRAZENECA PLC          SPONSORED       46353108      20       500   SH            SOLE                  0       0      500
                         ADR
AUTOMATIC DATA           COM             53015103       4       100   SH            SOLE                  0       0      100
PROCESSING INC
BANCORPSOUTH INC                         59692103     270     13123   SH            SOLE                  0       0    13123
BANK OF AMERICA          COM             60505104      18       420   SH            SOLE                  0       0      420
BAXTER INTL INC                          71813406       4        75   SH            SOLE                  0       0       75
CORPORATE UNIT 7.00%
BED BATH & BEYOND INC                    75896100      18       500   SH            SOLE                  0       0      500
BERKSHIRE HATHAWAY       CL B COM        84670207      34        12   SH            SOLE                  0       0       12
HLDG CO
BEST BUY COMPANY INC                     86516101      26       515   SH            SOLE                  0       0      515
BIOMET INC                               90613100      18       500   SH            SOLE                  0       0      500
BOSTON SCIENTIFIC CORP                  101137107       8       290   SH            SOLE                  0       0      290
CVB FINANCIAL CORP                      126600105      12       687   SH            SOLE                  0       0      687
CENDANT CORP             COM            151313103       3       132   SH            SOLE                  0       0      132
CENTURYTEL INC                          156700403       4       150   SH            SOLE                  0       0      150
CORPORATE UNITS PFD
CONV
CHEVRONTEXACO CORP COM                  166764100       9       150   SH            SOLE                  0       0      150
CITIGROUP INC            COM            172967101     185      4152   SH            SOLE                  0       0     4152
CITRIX SYSTEMS INC                      177376100      12       500   SH            SOLE                  0       0      500
CLEVELAND CLIFFS INC                    185896107      37       500   SH            SOLE                  0       0      500
COCA-COLA COMPANY                       191216100      25       600   SH            SOLE                  0       0      600
COMPANHIA VALE DO RIO    ADR            204412209      64      2000   SH            SOLE                  0       0     2000
DOCE
COMPUTER ASSOCIATES                     204912109       2        82   SH            SOLE                  0       0       82
INTERNATIONAL INC
CONSOLIDATED EDISON      COM            209115104      13       300   SH            SOLE                  0       0      300
INC
COVENTRY HEALTH CARE     COM            222862104       7       100   SH            SOLE                  0       0      100
INC
CREE INC                 COM            225447101      11       500   SH            SOLE                  0       0      500
DELUXE CORP                             248019101      38       960   SH            SOLE                  0       0      960
DIAMONDS                 TR UNIT        252787106      47       450   SH            SOLE                  0       0      450
                         SER 1
DOW CHEM CO                             260543103      94      1915   SH            SOLE                  0       0     1915
EMC CORP (MASS)          COM            268648102      25      2000   SH            SOLE                  0       0     2000
ELECTRONIC DATA SYS      NEW            285661104       3       126   SH            SOLE                  0       0      126
CORP
EMULEX CORP              COM NEW        292475209      10       500   SH            SOLE                  0       0      500
ENGINEERED SUPPORT                      292866100      27       500   SH            SOLE                  0       0      500
SYS INC
EQUITY OFFICE            PPTYS TR       294741509       5       100   SH            SOLE                  0       0      100
                         PFD CONV
                         SER B
FEDERAL SIGNAL CORP                     313855108      15      1000   SH            SOLE                  0       0     1000
FORD MOTOR CO            CAP TR II      345395206       7       145   SH            SOLE                  0       0      145
                         TR ORG PFD
                         SECS
FORD MOTOR CR CO         SR UNSECD      345397202      23      1000   SH            SOLE                  0       0     1000
                         NT 7.375%
                         CALLABLE
                         10/11/06
                         MTY
                         10/15/31
GAP INC                                 364760108       3       124   SH            SOLE                  0       0      124
GENERAL ELECTRIC CO                     369604103     344      9710   SH            SOLE                  0       0     9710
COM
GENERAL MTRS CORP        SR DEB         370442741       5       215   SH            SOLE                  0       0      215
                         CONV SER A
                         4.5%_CALLABLE
HOUSTON EXPLORATION      COM            442120101      18       300   SH            SOLE                  0       0      300
CO
ICOS CORP                               449295104      22      1000   SH            SOLE                  0       0     1000
INTEL CORP               COM            458140100     138      5990   SH            SOLE                  0       0     5990
INTERNATIONAL            COM            459200101      43       470   SH            SOLE                  0       0      470
BUSINESS MACHS CORP
ISHARES INC MSCI                        464286665     160      1780   SH            SOLE                  0       0     1780
PACIFIC EX JAPAN
INDEX FD
ISHARES TR GOLDMAN                      464287523      25       500   SH            SOLE                  0       0      500
SACHS SEMICONDUCTOR
INDEX FD






                                                                                                      ** VOTING AUTHORITY **
                           TITLE OF                MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER              CLASS         CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS  SOLE   SHARED   NONE
-----------------------  -------------  ---------  -------  -------  ---  ----  ----------  --------  -----  ------  -------
                                                                                    
ISHARES TR DOW JONES                    464287788     283      3154   SH            SOLE                  0       0     3154
US FINL SECTOR INDEX
FD
JOHNSON & JOHNSON        COM            478160104     104      1550   SH            SOLE                  0       0     1550
KING PHARMACEUTICALS     COM            495582108       4       500   SH            SOLE                  0       0      500
INC
KNIGHT TRANSPORTATION                   499064103      37      1500   SH            SOLE                  0       0     1500
LANCE INC                               514606102       8       500   SH            SOLE                  0       0      500
LANDSTAR SYSTEMS INC     COM            515098101       6       200   SH            SOLE                  0       0      200
ELI LILLY & CO                          532457108      20       400   SH            SOLE                  0       0      400
LINEAR TECHNOLOGY CORP                  535678106      19       500   SH            SOLE                  0       0      500
LOWES COS INC                           548661107      28       500   SH            SOLE                  0       0      500
LUCENT TECHNOLOGIES      COM            549463107      18   6500.18   SH            SOLE                  0       0  6500.18
INC
MAGELLAN MIDSTREAM       COM UNIT       559080106      11       175   SH            SOLE                  0       0      175
PARTNERS LP              REPSTG LTD
                         PARTNER INT
MEADWESTVACO CORP        COM            583334107      16       500   SH            SOLE                  0       0      500
MENTOR GRAPHICS CORP                    587200106       2       130   SH            SOLE                  0       0      130
MERITOR SAVINGS BK                      590007100     119     27600   SH            SOLE                  0       0    27600
MERRILL LYNCH & CO INC                  590188108       4        80   SH            SOLE                  0       0       80
MICROSOFT CORP           COM            594918104     148      6150   SH            SOLE                  0       0     6150
MILLENNIUM               COM            599902103       8      1000   SH            SOLE                  0       0     1000
PHARMACEUTICALS INC
MOTOROLA INC                            620076109       6       390   SH            SOLE                  0       0      390
MYLAN LABORATORIES INC                  628530107      25      1420   SH            SOLE                  0       0     1420
NASDAQ                   100 TR         631100104      75      2080   SH            SOLE                  0       0     2080
                         UNIT SER 1
NATIONAL AUSTRALIA BK    LTD CAP        632525309       4       100   SH            SOLE                  0       0      100
                         UNIT
                         EXCHANGEABLE
                         CALLABLE
NIKE INC                 CLASS B        654106103       2        26   SH            SOLE                  0       0       26
NORTHROP GRUMMAN CORP                   666807102       3        47   SH            SOLE                  0       0       47
(PREVIOUSLY KNOWN AS
NORTHROP CORP)
NOVAMERICAN STEEL INC    COM            669959108      30       600   SH            SOLE                  0       0      600
OPEN TEXT CORP           COM            683715106       4       200   SH            SOLE                  0       0      200
PEOPLES HOLDING CO       COM            711148106      66      2158   SH            SOLE                  0       0     2158
PEPSICO INC                             713448108      46       872   SH            SOLE                  0       0      872
PETRO QUEST INC          COM  NON       716908108       0      1000   SH            SOLE                  0       0     1000
                         TRANS > 6
                         YEARS
PFIZER INC               COM            717081103      63      2400   SH            SOLE                  0       0     2400
PROCTER & GAMBLE CO                     742718109     177      3370   SH            SOLE                  0       0     3370
PRUDENTIAL FINL INC      COM            744320102       4        66   SH            SOLE                  0       0       66
RF MICRO DEVICES INC     COM            749941100       7      1400   SH            SOLE                  0       0     1400
RAYTHEON CO              COM NEW        755111507       3        86   SH            SOLE                  0       0       86
REYNOLDS AMERN INC COM                  761713106      48       600   SH            SOLE                  0       0      600
SAINT PAUL COMPANIES                    792860108       0         0   SH            SOLE                  0       0        0
INC
SANMINA SCI CORP         COM            800907107      15      3000   SH            SOLE                  0       0     3000
SCHERING-PLOUGH CORP     COM            806605101      32      1800   SH            SOLE                  0       0     1800
SCHLUMBERGER LTD         COM            806857108       5        75   SH            SOLE                  0       0       75
                         ISIN#AN806
                         8571086
SMUCKER J M CO           COM NEW        832696405       0         4   SH            SOLE                  0       0        4
SONUS NETWORKS INC       COM            835916107      20      4875   SH            SOLE                  0       0     4875
SOUTHERN CO                             842587107      28       875   SH            SOLE                  0       0      875
SOUTHWEST AIRLINES CO                   844741108      21      1500   SH            SOLE                  0       0     1500
SYSCO CORP                              871829107      59      1665   SH            SOLE                  0       0     1665
TEVA PHARMACEUTICAL      ADR            881624209       3        93   SH            SOLE                  0       0       93
INDUSTRIES LTD
TEXAS INSTRUMENTS INC                   882508104      25      1000   SH            SOLE                  0       0     1000
THOR INDS INC                           885160101      15       500   SH            SOLE                  0       0      500
TORCH ENERGY             RTY TR         891013104       8      1000   SH            SOLE                  0       0     1000
                         UNIT OF
                         BEN INT
TRUSTMARK CORP                          898402102      14       500   SH            SOLE                  0       0      500
TYCO INTL LTD            NEW            902124106       2        71   SH            SOLE                  0       0       71
US BANCORP DEL           COM NEW        902973304      14       500   SH            SOLE                  0       0      500
UNITED PARCEL SVC INC    CL B           911312106      36       500   SH            SOLE                  0       0      500






                                                                                                      ** VOTING AUTHORITY **
                           TITLE OF                MKT VAL           SH/  PUT/  INVESTMENT   OTHER    ----------------------
NAME OF ISSUER              CLASS         CUSIP     x 1000    QTY    PRN  CALL  DESCRETION  MANAGERS  SOLE   SHARED   NONE
-----------------------  -------------  ---------  -------  -------  ---  ----  ----------  --------  -----  ------  -------
                                                                                    
UNITED TECHNOLOGIES      DEL COM        913017109      40       400   SH            SOLE                  0       0      400
CORP
VCA ANTECH INC           COM            918194101      18       900   SH            SOLE                  0       0      900
                         ISIN#US918
                         1941017
VANGUARD INDEX FDS                      922908769      19       170   SH            SOLE                  0       0      170
VANGUARD TOTAL STK
MKT VIPERS
WACHOVIA CORP            (NEW) COM      929903102       3        60   SH            SOLE                  0       0       60
WAL MART STORES INC                     931142103       0         0   SH            SOLE                  0       0        0
WALGREEN CO                             931422109      94      2150   SH            SOLE                  0       0     2150
WASHINGTON MUTUAL INC                   939322103      20       500   SH            SOLE                  0       0      500
WASHINGTON MUT INC       UNIT 1 TR      939322848       5        90   SH            SOLE                  0       0       90
                         PFD INCOME
                         EQTY
                         REDEEMABLE
                         SEC PIERS
                         WASH MUT
                         CAP TR & 1
                         WT EXP
WORLD FUEL SERVICES      COMMON         981475106      20       600   SH            SOLE                  0       0      600
CORP                     STOCK
XEROX CORP               PFD CONV       984121509       4        30   SH            SOLE                  0       0       30
                         SER C
YAHOO INC                COM            984332106      21       600   SH            SOLE                  0       0      600
TARGET CORP                             87612E106       2        47   SH            SOLE                  0       0       47
BARCLAYS PLC             ADRS           06738E206       3        75   SH            SOLE                  0       0       75
ALTRIA GROUP INC         COM            02209S103      56       865   SH            SOLE                  0       0      865
AMSURG CORP              COM            03232P405      19       750   SH            SOLE                  0       0      750
BACKYARD BURGERS INC     COM            05635W101      12      2000   SH            SOLE                  0       0     2000
BENCHMARK ELECTRONICS                   08160H101      24       750   SH            SOLE                  0       0      750
INC
BONANZA RES CORP         COM            09784P107       0       122   SH            SOLE                  0       0      122
                         ISIN#CA097
                         84P1071
CAPITAL ONE FINL CORP    COM            14040H105       7       100   SH            SOLE                  0       0      100
CISCO SYSTEMS INC                       17275R102     103      5825   SH            SOLE                  0       0     5825
EATON VANCE MUN          SH BEN INT     27826U108       0         3   SH            SOLE                  0       0        3
INCOME TR
ERESEARCHTECHNOLOGY      COM            29481V108       9       750   SH            SOLE                  0       0      750
INC
EXXON MOBIL CORP         COM            30231G102     179      2948   SH            SOLE                  0       0     2948
FEDEX CORP               COM            31428X106      39       420   SH            SOLE                  0       0      420
GOLDMAN SACHS GROUP      COM            38141G104      11       100   SH            SOLE                  0       0      100
INC
HRPT PPTYS TR            COM SH BEN     40426W101      48      4000   SH            SOLE                  0       0     4000
                         INT
HOSPITALITY PPTYS        COMMON         44106M102      48      1190   SH            SOLE                  0       0     1190
TRUST                    SHARES OF
                         BENEFICIAL
                         INTEREST
JDS UNIPHASE CORP                       46612J101       0       250   SH            SOLE                  0       0      250
JUNIPER NETWORKS INC     COM            48203R104      45      2100   SH            SOLE                  0       0     2100
MBNA CORP                               55262L100      34      1400   SH            SOLE                  0       0     1400
MKS INSTRS INC           COM            55306N104       3       200   SH            SOLE                  0       0      200
MELLON FINL CORP         COM            58551A108       2        70   SH            SOLE                  0       0       70
MERISTAR HOSPITALITY     COM            58984Y103       6       847   SH            SOLE                  0       0      847
CORP
NOVARTIS                 AG             66987V109       5       100   SH            SOLE                  0       0      100
                         SPONSORED
                         ADR
NVIDIA CORP              COM            67066G104       3       125   SH            SOLE                  0       0      125
NUVEEN QUALITY           PFD INCOME     67071S309      50         2   SH            SOLE                  0       0        2
                         FD PFD SHS
                         SER T 0.0%
                         CALLABLE
NUVEEN QUALITY           PFD INCOME     67071S606     200         8   SH            SOLE                  0       0        8
                         FD PFD SHS
                         SER
                         CALLABLE
NUVEEN QUALITY           PFD INCOME     67072C204    1000        40   SH            SOLE                  0       0       40
                         FD 2 PFD
                         SHS SER M
                         CALLABLE
NUVEEN QUALITY           PFD INCOME     67072C808    1000        40   SH            SOLE                  0       0       40
                         FD 2 PFD
                         SHS SER
                         TH2
                         CALLABLE






                                                                                                                                    
                                                                                                            ** VOTING AUTHORITY **
                           TITLE OF                MKT VAL               SH/  PUT/  INVESTMENT   OTHER    --------------------------
NAME OF ISSUER              CLASS         CUSIP     x 1000      QTY      PRN  CALL  DESCRETION  MANAGERS   SOLE    SHARED    NONE
-----------------------  -------------  ---------  -------  -----------  ---  ----  ----------  --------  -------  ------- ---------
                                                                                          
NUVEEN QUALITY           PFD INCOME     67072W309     750            30   SH            SOLE                    0        0        30
                         FD 3 FUND
                         PFD SHS
                         SER TH
NUVEEN                   PFD & CONV     67073B205     150             6   SH            SOLE                    0        0         6
                         INCOME FD
                         FUNDPREFERRED
                         SHS SER M
NUVEEN                   PFD & CONV     67073B601     250            10   SH            SOLE                    0        0        10
                         INCOME FD
                         AUCTION RT
                         PREFERRED
                         SHS SER F
                         CALLABLE
NUVEEN                   PFD & CONV     67073D201      50             2   SH            SOLE                    0        0         2
                         INCOME FD
                         2 PFD SER
                         M CALLABLE
                         AUCTION
                         RATE PFD
NUVEEN                   PFD & CONV     67073D300      25             1   SH            SOLE                    0        0         1
                         INCOME FD
                         2 PFD SER
                         M2 2.03%
NUVEEN                   PFD & CONV     67073D607     175             7   SH            SOLE                    0        0         7
                         INCOME FD
                         2 COM PFD
                         SER W
OPEN JT STK CO VIMPEL    SPONSORED      68370R109      17           500   SH            SOLE                    0        0       500
COMMUNICATION            ADR
POTASH CORP OF           COM            73755L107       3            32   SH            SOLE                    0        0        32
SASKATCHEWAN INC
PRAXAIR INC                             74005P104       2            42   SH            SOLE                    0        0        42
REGIONS FINL CORP        NEW COM        7591EP100      26           800   SH            SOLE                    0        0       800
RESOURCES CONNECTION     COM            76122Q105      21          1000   SH            SOLE                    0        0      1000
INC
STANDARD & POORS         DEPOSITARY     78462F103     481          4095   SH            SOLE                    0        0      4095
                         RECEIPTS
                         (SPDR'S)
                         UNITS OF
                         UNDIVIDED
                         BENEFICIAL
                         INTEREST
SANOFI-AVENTIS           SPONS ADR      80105N105       2            50   SH            SOLE                    0        0        50
                         ISIN#US801
                         05N1054
SELECT SECTOR            SPDR FD        81369Y100     185          6149   SH            SOLE                    0        0      6149
                         MATERIALS
SECTOR                   SPDR TR        81369Y605     387         13833   SH            SOLE                    0        0     13833
                         SHS BEN
                         INT
                         FINANCIAL
TRAVELERS PPTY CAS       NEW JR SUB     89420G307       2           115   SH            SOLE                    0        0       115
CORP                     NT CONV
                         CALLABLE
UNITEDHEALTH GROUP       COM            91324P102      95           992   SH            SOLE                    0        0       992
INC
VALERO ENERGY                           91913Y100       9           120   SH            SOLE                    0        0       120
CORPORATION
VERTEX                   COM            92532F100       2           200   SH            SOLE                    0        0       200
PHARMACEUTICALS INC
ZIMMER HLDGS INC         COM            98956P102       7           100   SH            SOLE                    0        0       100
AMDOCS LTD               SHS            G02602103       9           325   SH            SOLE                    0        0       325
                         ISIN#GB002
                         2569080
SEVEN SEAS PETROLEUM     ORD SHS        G80550109       0          5000   SH            SOLE                    0        0      5000
INC                      ISIN#KYG80
                         5501098
ROYAL CARIBBEAN          ISIN#LR000     V7780T103       5           105   SH            SOLE                    0        0       105
CRUISES LTD              8862
FLEXTRONICS INTL LTD     ORD SHS        Y2573F102       2           200   SH            SOLE                    0        0       200
GRAND TOTALS                                       658781   11000794.18                                   7009973  3287058 703763.18