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

                                    FORM 13F

                               FORM 13F COVER PAGE

      Report for the Calendar Year or Quarter Ended: June 30, 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 Freeman     Tupelo, Mississippi      August 12, 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: 757

      Form 13F Information Table Value Total: $697,363
                                              (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





                                                       MKT                                                ** VOTING AUTHORITY **
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT OTHER
     NAME OF ISSUER             CLASS      CUSIP      1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
DEUTSCHE BANK-EUR                         D18190898       19        252  SH            SOLE         1        0          0        252
ACE LIMITED                               G0070K103       76       1705  SH            SOLE         1      338          0       1367
AMERICAN SAFETY INSURANCE                 G02995101        4        290  SH            SOLE         1        0          0        290
HOLDINGS LTD
ARLINGTON TANKERS LTD                     G04899103       54       2515  SH            SOLE         1      855          0       1660
INGSOLL-RAND CO               CL A        G4776G101      210       2950  SH            SOLE         1     2950          0          0
                              BERMUDA
SEAGATE TECHNOLOGY            SHS         G7945J104       11        660  SH            SOLE         1        0          0        660
GIVEN IMAGING LTD                         M52020100        5        255  SH            SOLE         1        0          0        255
MIND C.T.I. LTD               COM         M70240102        5       2000  SH            SOLE         1     2000          0          0
ABN AMRO HLDG NV              SPON ADR    000937102       26       1089  SH            SOLE         1        0          0       1089
A F L A C INC                             001055102      103       2400  SH            SOLE         1     2400          0          0
AGL RESOURCES, INC                        001204106       42       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
ATMI INC                                  00207R101       30       1045  SH            SOLE         1      220          0        825
ABBOTT LAB                                002824100      402       8211  SH            SOLE         1     8211          0          0
ABBOTT LAB                                002824100      205       4200  SH          DEFINED        1      200       4000          0
ADAMS EXPRESS CO              COM         006212104      121       9453  SH            SOLE         1     9453          0          0
ADVANCED MICRO DEVICES INC                007903107        3        200  SH          DEFINED        1      200          0          0
AEGEON N V ORD                            007924103       38        966  SH            SOLE         1        0          0       2966
AETNA INC CO                              00817Y108       16        200  SH          DEFINED        1        0          0        200
AGILENT TECHNOLOGIES, INC.                00846U101        1         59  SH            SOLE         1       59          0          0
AGNICO EAGLE MINES                        008474108        6        500  SH            SOLE         1      500          0          0
AIR PRODS & CHEMS INC         COM         009158106        6        104  SH            SOLE         1        0          0        104
AIRTRAN HLDGS INC             COM         00949P108        3        350  SH            SOLE         1        0          0        350
AIXTRON AKTIENGELELLSCHAFT    ADR         009606104        1        510  SH            SOLE         1      510          0          0
ALBERTSONS, INC                           013104104       12        610  SH            SOLE         1        0          0        610
ALCOA INC                                 013817101      207       7949  SH            SOLE         1     3170          0       4779
ALLIANCE CAP MGMT HLDG L P                01855A101       93       2000  SH          DEFINED        1     2000          0          0
ALLIANCE GAMING CORP                      01859P609        9        700  SH            SOLE         1        0          0        700
ALLIANT TECHSYSTEMS, INC                  018804104       51        725  SH            SOLE         1      145          0        580
ALLIED CAP CO FUND                        01903Q108        9        315  SH            SOLE         1      315          0          0
ALLAMERICA FINANCIAL CORP                 019754100       42       1155  SH            SOLE         1      230          0        925
ALLSTATE CORP                 COMMON      020002101      798      13364  SH            SOLE         1     8525          0       4839
ALLSTATE CORP                 COMMON      020002101       18        310  SH          DEFINED        1      310          0          0
ALLTEL CORP                               020039103      254       4087  SH            SOLE         1     2690        177       1220
ALLTEL CORP                               020039103      628      10100  SH          DEFINED        1    10100          0          0
ALPHA NATURAL RESOURCES INC               02076X102        9        390  SH            SOLE         1        0          0        390
ALTERA CORP                               021441100        3        200  SH            SOLE         1      200          0          0
ALTRIA GROUP INC                          02209S103     1249      19330  SH            SOLE         1    11007          0       8323
AMBAC FINANCIAL GROUP                     023139108        3         50  SH            SOLE         1       50          0          0
AMERCO                                    023586100       37        705  SH            SOLE         1      145          0        560
AMERICA SVC GROUP INC                     02364L109        2        175  SH            SOLE         1        0          0        175
AMERICAN ELECTRIC POWER                   025537101      178       4850  SH            SOLE         1     1350          0       3500
AMER EXPRESS CO                           025816109      141       2650  SH            SOLE         1     1650          0       1000
AMERICAN FIN REALTY                       02607P305       32       2100  SH            SOLE         1      410          0       1690
AMERICAN INTERNATIONAL                    026874107      502       8659  SH            SOLE         1     4905          0       3754
GROUP, INC
AMERICAN INTERNATIONAL                    026874107       10        175  SH          DEFINED        1      175          0          0
GROUP, INC
AMERUS LIFE HOLDINGS                      03072M108       90       1889  SH            SOLE         1     1889          0          0
AMGEN INC                                 031162100      125       2071  SH            SOLE         1      311          0       1760
AMGEN INC                                 031162100       12        200  SH          DEFINED        1      200          0          0
AMSOUTH BANCORPORATION                    032165102     1037      39897  SH            SOLE         1    39897          0          0
AMSURG CORP                               03232P405       46       1695  SH            SOLE         1      340          0       1355
ANADARKO PETE CORP                        032511107        2         27  SH            SOLE         1       27          0          0
ANADARKO PETE CORP                        032511107      120       1464  SH          DEFINED        1        0       1464          0
ANGLO AMERICAN PLC SP         ADR         03485P102       23       1017  SH            SOLE         1        0          0       1017
ANHEUSER-BUSCH COMPANIES                  035229103      493      10784  SH            SOLE         1     9984          0        800
ANHEUSER-BUSCH COMPANIES                  035229103      164       3600  SH          DEFINED        1     3600          0          0
ANTEON INTERNATIONAL CORP                 03674E108        7        175  SH            SOLE         1        0          0        175
AON CORP                                  037389103       10        407  SH            SOLE         1        0          0        407
APPLE COMP INC                            037833100       51       1400  SH          DEFINED        1     1400          0          0
APPLIED MATERIALS INC                     038222105      716      44272  SH            SOLE         1    24387          0      19885
ARCHER-DANIELS-MIDLAND                    039483102        5        279  SH            SOLE         1      279          0          0
COMPANY






                                                      MKT                                                  ** VOTING AUTHORITY **
                               TITLE OF              VAL x              SH/   PUT/ INVESTMENT OTHER
     NAME OF ISSUER             CLASS       CUSIP    1000       QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
ARGONAUT GROUP INC                        040157109        8        385  SH            SOLE         1        0          0        385
ARRIS GROUP INC                           04269Q100        4        500  SH            SOLE         1      500          0          0
ARVINMERITOR                              043353101        0         44  SH            SOLE         1       44          0          0
ASHFORD HOSPITALITY TRUST INC             044103109       60       5595  SH            SOLE         1     1145          0       4450
AUGUST TECHNOLOGY CORP                    05106U105        3        300  SH            SOLE         1        0          0        300
AUTOLIV INC                   COM         052800109       14        334  SH            SOLE         1      334          0          0
AUTO DATA PROCESS                         053015103      190       4550  SH            SOLE         1     4550          0          0
AUTO DATA PROCESS                         053015103       92       2200  SH          DEFINED        1     2200          0          0
AUTOZONE                                  053332102       18        200  SH            SOLE         1      200          0          0
AUTOZONE                                  053332102       44        480  SH          DEFINED        1      480          0          0
AVAYA INC                                 053499109        1        172  SH            SOLE         1      172          0          0
AVON PRODUCTS INC             COM         054303102       52       1400  SH            SOLE         1     1400          0          0
BASF AG                       ADR         055262505       33        504  SH            SOLE         1        0          0        504
BCE INC                                   05534B109       30       1290  SH            SOLE         1        0          0       1290
BEI TECHNOLOGY CORP                       05538P104        5        200  SH            SOLE         1        0          0        200
BJ SERVICES CO                            055482103      283       5407  SH            SOLE         1      372          0       5035
BP AMOCO PLC SPONSORED        ADR         055622104      501       8032  SH            SOLE         1     7569          0        463
BP AMOCO PLC SPONSORED        ADR         055622104      237       3810  SH          DEFINED        1     3810          0          0
BALDOR ELEC CO                COM         057741100    34656    1425627  SH          DEFINED        1  1425627          0          0
BANCORPSOUTH INC                          059692103    29394    1246071  SH            SOLE         1   980781     262290       3000
BANCORPSOUTH INC                          059692103     1772      75144  SH          DEFINED        1    71249       3558        337
BANK OF AMERICA CORP          NEW COM     060505104      825      18109  SH            SOLE         1     9704          0       8405
BANK OF AMERICA CORP          NEW COM     060505104       27        600  SH          DEFINED        1      600          0          0
BANK OF THE OZARKS, INC                   063904106     3027      92200  SH          DEFINED        1    92200          0          0
BAXTER INTL INC                           071813109       74       2000  SH            SOLE         1     2000          0          0
BAXTER INTL INC PFD                       071813406       11        200  SH            SOLE         1      200          0          0
BEAR STEARNS COS INC                      073902108      120       1157  SH            SOLE         1     1157          0          0
BELLSOUTH CORP                            079860102      655      24698  SH            SOLE         1    20718          0       3980
BELLSOUTH CORP                            079860102       71       2696  SH          DEFINED        1      400       2296          0
BERKSHIRE HATHAWAY "A"                    084670108       83          1  SH            SOLE         1        1          0          0
BERKSHIRE HATHAWAY INC        DEL CL B    084670207        8          3  SH          DEFINED        1        3          0          0
BLACKROCK INVT QUALITY MUNI               09247D105       50       3000  SH            SOLE         1     3000          0          0
TR INC
BLOCK H & R INC               COM         093671105        5        102  SH            SOLE         1        0          0        102
BOEING INC                                097023105       72       1100  SH            SOLE         1      500          0        600
BOSTON SCIENTIFIC                         101137107       60       2239  SH            SOLE         1      234          0       2005
BRIGGS & STRATTON CORP                    109043109       44       1300  SH            SOLE         1      265          0       1035
BRINKER INTL INC                          109641100       36        921  SH            SOLE         1      197          0        724
BRISTOL MYERS SQUIBB CO                   110122108      341      13680  SH            SOLE         1    12180          0       1500
BRISTOL MYERS SQUIBB CO                   110122108       49       2000  SH          DEFINED        1     2000          0          0
BROADCOM CORP                             111320107        7        200  SH            SOLE         1      200          0          0
BROOKFIELD HOMES CORP         COM         112723101       12        275  SH            SOLE         1        0          0        275
BUILD-A-BEAR WORK SHOP INC                120076104        4        200  SH            SOLE         1        0          0        200
CBRL GROUP INC                COM         12489V106       29        750  SH            SOLE         1      750          0          0
CB RICHARD ELLIS GROUP        CLASS A     12497T101       57       1315  SH            SOLE         1      270          0       1045
CIGNA CORPORATION                         125509109       71        670  SH            SOLE         1      127          0        543
CVS CORP DELAWARE                         126650100       48       1666  SH            SOLE         1      352          0       1314
CADBURY SCHWEPPES PLC         ADR         127209302       87       2294  SH            SOLE         1     1200          0       1094
CADENCE DESIGN SYSTEMS INC                127387108       45       3363  SH            SOLE         1      220          0       3143
CALLAWAY GOLF CO                          131193104        3        200  SH            SOLE         1        0          0        200
CANON INC  REPSTG 5 SHRS      ADR         138006309       29        558  SH            SOLE         1        0          0        558
CAPITAL ONE FINL CORP         COM         14040H105      208       2600  SH            SOLE         1     2600          0          0
CARNIVAL CORP                             143658300       61       1135  SH            SOLE         1      253          0        882
CARTERS INC                               146229109       30        520  SH            SOLE         1        0          0        520
CATERPILLAR INC                           149123101        9        100  SH            SOLE         1      100          0          0
CELADON GROUP INC                         150838100        7        440  SH            SOLE         1        0          0        440
CENDANT CORP                  COM         151313103      973      43531  SH            SOLE         1    43150          0        381
CENTERPOINT ENERGY INC                    15189T107        6        500  SH            SOLE         1        0          0        500
CENTURYTEL, INC                           156700106       69       2000  SH            SOLE         1     2000          0          0
CHEVRON CORPORATION                       166764100     1164      20825  SH            SOLE         1     9988          0      10837
CHEVRON CORPORATION                       166764100      126       2254  SH          DEFINED        1     2254          0          0
CINERGY                                   172474108        3         75  SH            SOLE         1       75          0          0
CISCO SYS INC                             17275R102      937      49167  SH            SOLE         1    30292       1650      17225
CISCO SYS INC                             17275R102       19       1000  SH          DEFINED        1     1000          0          0
CITIGROUP, INC                            172967101      858      18574  SH            SOLE         1    11644          0       6930
CITIGROUP, INC                            172967101      356       7707  SH          DEFINED        1     7707          0          0
CITIZENS HOLDING COMPANY                  174715102     3663     158987  SH            SOLE         1   158987          0          0
COCA COLA BOTTLING CO CONS    COM         191098102        2         55  SH            SOLE         1       55          0          0
COCA COLA CO                              191216100      813      19485  SH            SOLE         1    13965          0       5520






                                                       MKT                                                ** VOTING AUTHORITY **
                               TITLE OF              VAL x              SH/   PUT/ INVESTMENT OTHER
     NAME OF ISSUER             CLASS      CUSIP     1000       QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                            
COCA COLA CO                              191216100      258       6200  SH          DEFINED        1     5800          0        400
COCA COLA ENTERPRISES INC     COM         191219104       44       2000  SH            SOLE         1     2000          0          0
COLGATE-PALMOLIVE CO                      194162103      165       3312  SH            SOLE         1     3312          0          0
COLGATE-PALMOLIVE CO                      194162103        9        200  SH          DEFINED        1      200          0          0
COLONIAL PPTYS TR             COM SH BEN  195872106        1         26  SH            SOLE         1        0          0         26
                              INT
COMCAST CORP                  NEW CL A                     9        325  SH            SOLE         1      325          0          0
                              COM         20030N101
COMCAST CORP                  NEW CL A                    12        401  SH          DEFINED        1        0        401          0
                              COM         20030N101
COMPUTER ASSOC INTL INC       COM         204912109     1060      38600  SH            SOLE         1    38600          0          0
COMPUTER SCIENCES             COMMON      205363104        4         99  SH          DEFINED        1        0          0         99
CORPORATION
COMSTOCK HOMEBUILDING COS                 205684103        9        395  SH            SOLE         1        0          0        395
COMSTOCK RES INC              NEW         205768203       59       2360  SH            SOLE         1      475          0       1885
CONAGRA FOODS INC             COM         205887102       11        485  SH            SOLE         1        0          0        485
CONEXANT SYS INC              COM         207142100        0        176  SH            SOLE         1      176          0          0
CONNETICS CORPORATION                     208192104        8        490  SH            SOLE         1        0          0        490
CONN'S INC                                208242107       11        455  SH            SOLE         1        0          0        455
CONN'S INC                                208242107       19        800  SH          DEFINED        1      800          0          0
CONOCO PHILLIPS                           20825C104      673      11708  SH            SOLE         1     8432          0       3276
CONSECO INC                   NEW         208464883       81       3734  SH            SOLE         1      606        549       2579
CONSOLIDATED EDISON INC       COM         209115104       37        800  SH            SOLE         1      800          0          0
CONSOLIDATED GRAPHICS INC                 209341106       34        840  SH            SOLE         1      170          0        670
COOPER TIRE & RUBBER CO                   216831107      296      15953  SH            SOLE         1    14953          0       1000
COOPER TIRE & RUBBER CO                   216831107        1        100  SH          DEFINED        1      100          0          0
CORN PRODUCTS INTERNATIONAL               219023108       35       1485  SH            SOLE         1      300          0       1185
INC
COSTCO WHOLESALE CORP                     22160K105      159       3575  SH            SOLE         1      945          0       2630
COVENTRY HEALTH CARE INC                  222862104        8        115  SH            SOLE         1        0          0        115
CREDIT SUISSE GROUP           ADR         225401108       32        824  SH            SOLE         1       60          0        764
CYBERSOURCE CORP              COM         23251J106        4        675  SH            SOLE         1        0          0        675
DNP SELECT INCOME FD INC                  23325P104       12       1100  SH            SOLE         1     1100          0          0
DRS TECHNOLOGIES INC                      23330X100       61       1195  SH            SOLE         1      245          0        950
DTE ENERGY CO                             233331107       12        270  SH            SOLE         1        0          0        270
DEERE & CO                                244199105       98       1500  SH            SOLE         1     1500          0          0
DELL INC                                  24702R101      909      23050  SH            SOLE         1    14690          0       8360
DELPHI AUTO SYSTEMS                       247126105        2        599  SH            SOLE         1      599          0          0
DELTIC TIMBER INC                         247850100      240       6324  SH            SOLE         1     6324          0          0
DELTIC TIMBER INC                         247850100    24540     645471  SH          DEFINED        1        0     645471          0
DELUXE CORP                               248019101       11        285  SH            SOLE         1        0          0        285
DIAGEO P L C SPON             ADR NEW     25243Q205       43        727  SH            SOLE         1       52          0        675
DIAMONDS TRUST FUND                       252787106       10        100  SH            SOLE         1      100          0          0
DIGITAS INC                               25388K104        4        405  SH            SOLE         1        0          0        405
DIRECTTV GROUP INC                        25459L106       73       4715  SH            SOLE         1      812          0       3903
WALT DISNEY CO                            254687106      429      17042  SH            SOLE         1     9590          0       7452
DOLLAR THRIFTY AUTO GROUP INC             256743105       44       1180  SH            SOLE         1      255          0        925
DOW CHEMICAL CO                           260543103      115       2605  SH            SOLE         1     1350          0       1255
DOW CHEMICAL CO                           260543103       21        483  SH          DEFINED        1      483          0          0
DREYFUS STRATEGIC MUNICIPALS              261932107        0          9                SOLE         1        9          0          0
INC
DU PONT EI D NEMOURS & CO                 263534109      229       5328  SH            SOLE         1     2510          0       2818
DUKE ENERGY CORP              COM         264399106      107       3616  SH            SOLE         1     3616          0          0
DUKE REALTY CORP                          264411505       12        405  SH            SOLE         1        0          0        405
DYCOM INDUSTRIES INC                      267475101        3        190  SH            SOLE         1        0          0        190
EMC CORP                                  268648102       56       4150  SH            SOLE         1     3800        350          0
EMC CORP                                  268648102       52       3800  SH          DEFINED        1     3800          0          0
ENI S P A SPONSORED           ADR         26874R108       31        244  SH            SOLE         1        0          0        244
E TRADE FINANCIAL CORP                    269246104       55       4000  SH            SOLE         1     4000          0          0
EASTGROUP PROPERTIES INC                  277276101       19        460  SH            SOLE         1      460          0          0
EASTMAN KODAK CO                          277461109       26       1000  SH            SOLE         1     1000          0          0
EATON CORP                    COM         278058102      435       7270  SH            SOLE         1     2685          0       4585
EBAY INC                                  278642103      112       3411  SH            SOLE         1      491          0       2920
EDWARDS LIFESCIENCES CORP                 28176E108       10        240  SH            SOLE         1      240          0          0
EL PASO CORPORATION                       28336L109        1        166  SH            SOLE         1      166          0          0
ELECTRONIC ARTS INC                       285512109      518       9158  SH            SOLE         1      288          0       8870
EMERSON ELECTRIC CO                       291011104       87       1400  SH            SOLE         1     1400          0          0
ENCANA CORP-CAD                           292505104       28        732  SH            SOLE         1        0          0        732
ENCORE WIRE CORP              COM         292562105      370      31948  SH            SOLE         1     1348          0      30600
ENDESA SA SPONSORED           ADR         29258N107       23       1021  SH            SOLE         1        0          0       1021
ENEL SOCIETA PER ARZION       ADR         29265W108       25        593  SH            SOLE         1       40          0        553
ENTERGY CORP                              29364G103      350       4638  SH            SOLE         1     1638          0       3000






                                                       MKT                                                ** VOTING AUTHORITY **
                               TITLE OF              VAL x              SH/   PUT/ INVESTMENT OTHER
     NAME OF ISSUER             CLASS      CUSIP     1000      QTY      PRN  CALL  DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                            
ENTERGY CORP                              29364G103       44        593  SH          DEFINED         1     593          0          0
EPICOR SOFTWARE CORP                      29426L108        7        570  SH            SOLE          1       0          0        570
EQUITABLE RESOURCES INC                   294549100       47        705  SH            SOLE          1     145          0        560
EQUITY INNS, INC                          294703103        7        570  SH            SOLE          1       0          0        570
EQUITY INNS, INC                          294703103       19       1500  SH          DEFINED         1    1500          0          0
EQUITY OFFICE PPTYS TRUST                 294741103       33       1000  SH            SOLE          1    1000          0          0
ERICSSON (LM) TELE CO         ADR (NEW)   294821608        2         90  SH            SOLE          1      90          0          0
ESCO TECHNOLOGIES INC                     296315104       10        100  SH            SOLE          1       0          0        100
ESSEX CORP                                296744105        9        400  SH            SOLE          1       0          0        400
ESTERLINE TECHNOLOGIES CORP               297425100       39        985  SH            SOLE          1     195          0        790
EXELON CORP                               30161N101       30        600  SH          DEFINED         1     600          0          0
EXPEDITORS INTL WASH INC      COM         302130109      127       2566  SH            SOLE          1     381          0       2185
EXXON MOBIL CORP                          30231G102     6444     112140  SH            SOLE          1  105083          0       7057
EXXON MOBIL CORP                          30231G102     1530      26626  SH          DEFINED         1   17226       8600        800
FPL GROUP INC                             302571104       11        282  SH            SOLE          1       0          0        282
FEDEX CORPORATION                         31428X106       89       1100  SH            SOLE          1    1100          0          0
FIFTH THIRD BANCORP                       316773100       40        992  SH            SOLE          1      65          0        927
FINANCIAL FED CORP            COM         317492106       37        965  SH            SOLE          1     200          0        765
FIRST CA SH FINANCIAL SVC INC             31942D107        5        275  SH            SOLE          1       0          0        275
FIRST DATA CORP               COM         319963104      480      11968  SH            SOLE          1     811          0      11157
FIRST HORIZON NATIONAL                    320517105       11        277  SH            SOLE          1     277          0          0
FIRST M & F CORP                          320744105       44       1293  SH            SOLE          1    1293          0          0
FIRSTMERIT CORP                           337915102      205       7884  SH            SOLE          1    7884          0          0
FIRST ENERGY CORP             COMMON      337932107      221       4600  SH            SOLE          1    4600          0          0
FLOW INTL CORP                COM         343468104        3        600  SH            SOLE          1       0          0        600
FORD MOTOR COMPANY            COMMON      345370860       11       1160  SH            SOLE          1     660          0        500
FORD MOTOR COMPANY            COMMON      345370860        7        700  SH          DEFINED         1     700          0          0
40/86 STRATEGIC INCOME FUND               349739102        8        866  SH            SOLE          1     866          0          0
FREESCALE SEMICONDUCTOR                   35687M206        2         95  SH            SOLE          1      95          0          0
FREESCALE SEMICONDUCTOR                   35687M206        0         33  SH          DEFINED         1      33          0          0
FUJI PHOTO                    NEW ADR     359586302       47       1470  SH            SOLE          1       0          0       1470
GAP INC                       DEL COM     364760108        4        238  SH            SOLE          1       0          0        238
GENERAL ELECTRIC CO                       369604103     2314      66817  SH            SOLE          1   63994          0       2823
GENERAL ELECTRIC CO                       369604103      277       8000  SH          DEFINED         1    8000          0          0
GENERAL MLS INC               COM         370334104        9        200  SH            SOLE          1     200          0          0
GEN MTR CORP                              370442105       12        353  SH            SOLE          1     353          0          0
GENESEE & WYOMING             CLASS A     371559105       51       1910  SH            SOLE          1     390          0       1520
GENLYTE GROUP INC                         372302109       11        240  SH            SOLE          1       0          0        240
GIBRALTAR INDUSTRIES INC                  374689107       33       1820  SH            SOLE          1     365          0       1455
GILLETTE CO                               375766102      373       7371  SH            SOLE          1    4916          0       2455
GILLETTE CO                               375766102       55       1095  SH          DEFINED         1    1095          0          0
GLAXOSMITHKLINE PLC           ADR         37733W105      159       3286  SH            SOLE          1     511          0       2775
GMX RESOURCES INC                         38011M108       11        765  SH            SOLE          1     150          0        615
GOLD KIST INC                             380614107       17        810  SH            SOLE          1     170          0        640
GOODYEAR TIRE & RUBBER                    382550101        7        526  SH            SOLE          1     526          0          0
GREAT LAKES CHEM CORP         COM         390568103        7        250  SH          DEFINED         1     250          0          0
GREENFIELD ONLINE INC         COM         395150105        5        445  SH            SOLE          1       0          0        445
GUIDANT CORP                  COM         401698105      121       1800  SH            SOLE          1    1800          0          0
HCA INC.                                  404119109       67       1198  SH            SOLE          1     375          0        823
HCC INSURANCE HOLDINGS, INC               404132102       14        395  SH            SOLE          1     265          0        130
HSBC HLDGS PLC SPONSORED      ADR         404280406       19        244  SH            SOLE          1       0          0        244
HAEMONETICS CORP                          405024100       11        285  SH            SOLE          1       0          0        285
HALLIBURTON CO                COM         406216101      569      11902  SH            SOLE          1    5780          0       6122
HANCOCK FABRICS                           409900107       10       1600  SH            SOLE          1    1600          0          0
HANCOCK HLDG CO CAP VALUE                 410120109       29        850  SH            SOLE          1     850          0          0
JOHN HANCOCK PFD INC II                   41013X106        9        400  SH            SOLE          1     400          0          0
JOHN HANCOCK PREFERRED                    41021P103        2        130  SH            SOLE          1     130          0          0
INCOME FUND III
HARLEY DAVIDSON INC           COM         412822108      117       2360  SH            SOLE          1     355          0       2005
HARRIS CORP                               413875105       87       2800  SH            SOLE          1    2800          0          0
HARTFORD FNCL SV GRP INC      COM         416515104       13        187  SH            SOLE          1       0          0        187
HAWAIIAN ELEC INDS INC                    419870100       30       1130  SH          DEFINED         1    1130          0          0
HEALTH CARE SERVICES GROUP                421906108              291485  SH            SOLE          1     290          0       1195
INC
HEALTHCARE REALTY TR                      421946104       51       1330  SH            SOLE          1     270          0       1060
HEADWATERS INC                            42210P102        9        280  SH            SOLE          1       0          0        280
HEALTH CARE REIT INC                      42217K106        1         32  SH            SOLE          1       0          0         32
HEINZ H J CO                  COM         423074103        9        273  SH            SOLE          1     273          0          0
HEWLETT PACKARD CO                        428236103       82       3513  SH            SOLE          1    2577          0        936






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
HEWLETT PACKARD CO                        428236103        9        400  SH          DEFINED        1     400          0          0
HIBERNIA CORP                             428656102     8866     267225  SH            SOLE         1  266225          0       1000
HIBERNIA CORP                             428656102       29        900  SH          DEFINED        1     900          0          0
HIGH INCOME OPPORTUNITY FD                42967Q105       16       2500  SH            SOLE         1    2500          0          0
HIGHLAND HOSPITALITY CORP                 430141101       34       3335  SH            SOLE         1     680          0       2655
HILB ROGAL & HOBBS COMPANY                431294107       12        352  SH            SOLE         1     232          0        120
HITACHI LTD                               433578507       15        250  SH            SOLE         1       0          0        250
HOLLYWOOD MEDIA CORP                      436233100        4       1075  SH            SOLE         1       0          0       1075
HOME DEPOT                                437076102      857      22053  SH            SOLE         1   14361          0       7692
HOME DEPOT                                437076102       59       1532  SH          DEFINED        1    1532          0          0
HONEYWELL INTL INC                        438516106       25        704  SH            SOLE         1     704          0          0
HOSPITALITY PROPERTIES                    44106M102        1         26  SH            SOLE         1       0          0         26
HOSPIRA, INC                              441060100       17        450  SH          DEFINED        1      50        400          0
HUBBELL INC                   CL B        443510201       44       1000  SH            SOLE         1       0          0       1000
HUMANA INC                                444859102       58       1462  SH            SOLE         1     384          0       1078
JB HUNT TRANSPORT SVC INC                 445658107        9        490  SH            SOLE         1       0          0        490
ING PRIME RATE TR SH BEN INT              44977W106       48       6907  SH            SOLE         1    6907          0          0
ILLINOIS TOOL WORKS INC                   452308109       55        698  SH            SOLE         1     185          0        513
ING GROEP N V                             456837103       79       2828  SH            SOLE         1     422          0       2406
INTEL CORP CAP                            458140100     1097      42195  SH            SOLE         1   24895          0      17300
INTEL CORP CAP                            458140100       93       3600  SH          DEFINED        1    3600          0          0
IBM CORP                                  459200101      693       9353  SH            SOLE         1    5990          0       3363
IBM CORP                                  459200101      311       4203  SH          DEFINED        1    4203          0          0
INTERNATIONAL DISPLAYWORKS                459412102        3        490  SH            SOLE         1       0          0        490
INTL PAPER CO                             460146103        9        300  SH            SOLE         1     300          0          0
INTL PAPER CO                             460146103       27        900  SH          DEFINED        1       0        900          0
INVACARE CORP                 COM         461203101       49       1120  SH            SOLE         1     230          0        890
I SHARES S& P 500/BARRA VALUE             464287408       56        900  SH            SOLE         1     900          0          0
IXYS CORP                                 46600W106       10        710  SH            SOLE         1       0          0        710
JDS UNIPHASE CORP             COM         46612J101        0         60  SH            SOLE         1      60          0          0
JLG INDUSTRIES INC                        466210101        7        265  SH            SOLE         1       0          0        265
JPMORGAN CHASE & CO           COM         46625H100      634      17982  SH            SOLE         1   10746          0       7236
JPMORGAN CHASE & CO           COM         46625H100      122       3456  SH          DEFINED        1    1500       1956          0
JACOBS ENGINEERING GROUP INC              469814107       47        853  SH            SOLE         1     222          0        631
JACUZZI BRANDS INC                        469865109       57       5345  SH            SOLE         1    1160          0       4185
JEFFERSON PILOT CORPORATION               475070108       11        230  SH            SOLE         1       0          0        230
JOHNSON & JOHNSON                         478160104     2667      41032  SH            SOLE         1   35206          0       5826
JOHNSON & JOHNSON                         478160104      615       9475  SH          DEFINED        1    7000       1200       1275
JOHNSON CONTROLS INC                      478366107      249       4426  SH            SOLE         1    2630          0       1796
JONES APPAREL GROUP INC                   480074103      260       8397  SH            SOLE         1     554          0       7843
JONES LANG LASALLE INC        COM         48020Q107       10        235  SH            SOLE         1       0          0        235
JOURNAL REGISTER CO                       481138105       38       2220  SH            SOLE         1     450          0       1770
KT CORP SPONSORED             ADR         48268K101       26       1247  SH            SOLE         1       0          0       1247
K2 INC                                    482732104       48       3855  SH            SOLE         1     785          0       3070
KEYCORP                       NEW         493267108       61       1855  SH            SOLE         1    1100          0        755
KEYSPAN CORP                  COM         49337W100       11        285  SH            SOLE         1       0          0        285
KIMBERLY-CLARK CORP                       494368103       18        295  SH            SOLE         1     100          0        195
KIMBERLY-CLARK CORP                       494368103       15        250  SH          DEFINED        1     250          0          0
KINDER MORGAN ENERGY                      494550106       11        232  SH            SOLE         1     232          0          0
PARTNERS, L.P
KONINKLIJKE PHLPS ELECTRS N   ADR NEW     500472303       15        622  SH            SOLE         1       0          0        622
V SP
KOREA ELECTRIC POWER          ADR         500631106       15        976  SH            SOLE         1       0          0        976
LTX CORP                                  502392103        3        705  SH            SOLE         1       0          0        705
LA QUINTA CORP PAIRED CTF     1 COM LA    50419U202       21       2320  SH            SOLE         1     475          0       1845
                              QUINTA
ESTEE LAUDER CO                           518439104       23        600  SH          DEFINED        1     600          0          0
LEVEL 3 COMMUNICATIONS INC                52729N100       11       5587  SH            SOLE         1    5587          0          0
LEXMARK INTL                  NEW CL A    529771107       98       1518  SH            SOLE         1     233          0       1285
THE LIBERTY CORPORATION                   530370105       51       1400  SH            SOLE         1    1400          0          0
LIGAND PHARMACEUTICALS INC    CL B        53220K207        5        800  SH            SOLE         1     800          0          0
ELI LILLY & CO                            532457108      356       6400  SH            SOLE         1    6400          0          0
ELI LILLY & CO                            532457108       83       1500  SH          DEFINED        1    1500          0          0
LIMITED BRANDS, INC                       532716107       77       3633  SH            SOLE         1     667          0       2966
LINCOLN NATIONAL CORP         IND         534187109       12        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      355       5485  SH            SOLE         1    3320          0       2165
LOWES CO INC                              548661107      389       6686  SH            SOLE         1    4726          0       1960
LUCENT TECHNOLOGIES                       549463107       12       4287  SH            SOLE         1    3237          0       1050
LUCENT TECHNOLOGIES                       549463107        2       1000  SH          DEFINED        1    1000          0          0






                                                       MKT                                                ** VOTING AUTHORITY **
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS  SOLE    SHARED      NONE
                                                                                           
LYONDELL CHEMICAL CO                      552078107       13        520  SH            SOLE         1       0          0        520
M & T BANK CORP                           55261F104      210       2000  SH            SOLE         1    2000          0          0
MBIA INC                                  55262C100      298       5029  SH            SOLE         1     333          0       4696
MBNA CORP                                 55262L100       15        590  SH            SOLE         1       0          0        590
MB FINANCIAL INC              NEW         55264U108       27        695  SH            SOLE         1     145          0        550
MTS SYSTEMS CORP                          553777103       28        850  SH            SOLE         1     170          0        680
MANULIFE FINANCIAL CORP                   56501R106     1739      36386  SH            SOLE         1   36386          0          0
MAPINFO CORP                              565105103        3        360  SH            SOLE         1       0          0        360
MARATHON OIL CORP                         565849106       28        525  SH            SOLE         1       0          0        525
MARTEN TRANSPORT LTD                      573075108       10        485  SH            SOLE         1       0          0        485
MASCO CORPORATION                         574599106      216       6805  SH            SOLE         1    3500          0       3305
MATRIXX INITIATIVES INC                   57685L105        6        580  SH            SOLE         1       0          0        580
MATTELL INC                               577081102       52       2871  SH            SOLE         1     677          0       2194
MAXIM INTEGRATED PRODUCTS INC             57772K101       98       2586  SH            SOLE         1     356          0       2230
MAY DEPARTMENT STORES CO                  577778103       13        325  SH            SOLE         1       0          0        325
MCCORMICK & SCHMICKS SEAFOOD              579793100        6        435  SH            SOLE         1       0          0        435
MCDONALD'S CORP                           580135101      489      17636  SH            SOLE         1   10922          0       6714
MCG CAPITAL CORP                          58047P107       43       2555  SH            SOLE         1     525          0       2030
MCGRATH RENTCORP                          580589109       34       1445  SH            SOLE         1     300          0       1145
MCKESSON CORP                             58155Q103      289       6465  SH            SOLE         1    3575          0       2890
MEADWESTVACO CORP                         583334107       43       1547  SH            SOLE         1    1547          0          0
MEDCO HEALTH SOLUTIONS INC                58405U102       19        361  SH            SOLE         1     361          0          0
MEDICAL ACTION INDUSTRIES INC             58449L100        1        100  SH            SOLE         1       0          0        100
MEDTRONIC INC                 COM         585055106       23        460  SH            SOLE         1     460          0          0
MELLON FINL CORP                          58551A108       34       1188  SH            SOLE         1     800          0        388
MERCK & CO INC                            589331107      241       7847  SH            SOLE         1    4562          0       3285
MERIT MED SYS INC                         589889104        6        435  SH            SOLE         1       0          0        435
MERRILL LYNCH & CO, INC                   590188108       17        320  SH            SOLE         1     320          0          0
METLIFE INC                   COM         59156R108       42        947  SH            SOLE         1     947          0          0
MICROS SYSTEMS INC                        594901100       15        340  SH            SOLE         1       0          0        340
MICROSOFT CORP                            594918104     1072      43173  SH            SOLE         1   21871          0      21302
MICROSOFT CORP                            594918104       19        800  SH          DEFINED        1     800          0          0
MICROSEMI CORP                            595137100       13        735  SH            SOLE         1       0          0        735
MID-AMERICA APARTMENT CMNTYS              59522J103       41        920  SH          DEFINED        1     920          0          0
MIDAS GROUP INC                           595626102       15        666  SH            SOLE         1     666          0          0
MILLEA HLDGS INC              ADR         60032R106       16        244  SH            SOLE         1       0          0        244
MILLER HERMAN INC             COM         600544100       23        750  SH            SOLE         1     750          0          0
MINDSPEED TECNOLOGIES                     602682106        0         58  SH            SOLE         1      58          0          0
MONACO COACH CORP                         60886R103       36       2110  SH            SOLE         1     435          0       1675
MONEYGRAM INTERNATIONAL INC               60935Y109        6        348  SH            SOLE         1     348          0          0
MONRO MUFFLER BRAKE INC       COM         610236101       39       1330  SH            SOLE         1     280          0       1050
MONSANTO CO                   (NEW)       61166W101       11        187  SH            SOLE         1     187          0          0
MOODYS CORP                               615369105      202       4514  SH            SOLE         1    1204          0       3310
MOOG INC                      CL A        615394202       23        755  SH            SOLE         1     155          0        600
MORGAN STANLEY DEAN WITTER                617446448      682      13013  SH            SOLE         1    7834          0       5179
DISCOVER & CO
MORGAN STANLEY DEAN WITTER                617446448       13        260  SH          DEFINED        1     260          0          0
DISCOVER & CO
THE MOSIAIC COMPANY           COMMON      61945A107        0         15  SH            SOLE         1      15          0          0
                              STOCK
MOTOROLA INC                              620076109       45       2472  SH            SOLE         1    2068          0        404
MOTOROLA INC                              620076109        5        300  SH          DEFINED        1     300          0          0
MUNICIPAL MORTGAGE & EQUITY               62624B101      103       4000  SH            SOLE         1    4000          0          0
LLC - GROWTH SH
MUNIVEST FD INC               COM         626295109       50       5000                SOLE         1    5000          0          0
MUNIYIELD INSURED                         62630E107      114       7500              DEFINED        1    7500          0          0
MURPHY OIL CORP               COM         626717102     7489     143426  SH            SOLE         1  134426          0       9000
MURPHY OIL CORP               COM         626717102   485521    9297612  SH          DEFINED        1       0    9297612          0
MYLAN LABORATORIES INC                    628530107       36       1908  SH            SOLE         1    1908          0          0
NBC CAP CORP                              628729105      117       4833  SH            SOLE         1    4833          0          0
NMS COMMUNICATIONS CORP                   629248105        1        665  SH            SOLE         1       0          0        665
NASDAQ 100 TRUST                          631100104       29        800  SH            SOLE         1     800          0          0
NATIONAL AUSTRALIA BK LTD     ADR         632525408       35        303  SH            SOLE         1       0          0        303
NAUTILUS GROUP, INC.                      63910B102        8        285  SH            SOLE         1       0          0        285
NAVARRE CORP                              639208107        6        865  SH            SOLE         1       0          0        865
NEWPARK RESOURCES, INC                    651718504        0          8  SH            SOLE         1       8          0          0
NEWS CORP                                 65248E104      400      24774  SH            SOLE         1    1849          0      22925
NEWS CORP                     CL B NEW    65248E203        5        337  SH            SOLE         1       0          0        337
NIKE INC                      CLASS B     654106103       60        700  SH            SOLE         1     700          0          0
NIPPON TEL & TEL SPON         ADR         654624105       30       1414  SH            SOLE         1     102          0       1312
NISOURCE INC                              65473P105       13        561  SH            SOLE         1       0          0        561






                                                       MKT                                                ** VOTING AUTHORITY **
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS  SOLE    SHARED      NONE
                                                                                         
NOKIA CORP SPND               ADR         654902204       58       3524  SH            SOLE         1     600          0       2924
NOMURA HOLDINGS INC           ADR         65535H208       17       1489  SH            SOLE         1     109          0       1380
NORDSON CORP                  COM         655663102       46       1360  SH            SOLE         1     280          0       1080
NORFOLK SO CORP                           655844108       44       1434  SH            SOLE         1    1434          0          0
NORTEL NETWORK CORP           NEW         656568102       16       6300  SH            SOLE         1    6300          0          0
NORTHERN TRUST COMPANY NTRS               665859104       81       1780  SH            SOLE         1    1780          0          0
NORTHERN TRUST COMPANY NTRS               665859104      164       3600  SH          DEFINED        1    3600          0          0
NORTHRUP GRUMMAN                          666807102       12        225  SH            SOLE         1       0          0        225
NOVARTIS AG SPONSORED         ADR         66987V109       55       1161  SH            SOLE         1      83          0       1078
NUVEEN INSD PREMIUM INCOME                6706D8104        4        338                SOLE         1     338          0          0
MUNI FD
NUVEEN PREMIUM INCOME MUN                 6706K4105       22       1800                SOLE         1    1800          0          0
FUND 4
NUVEEN PREMIUM INCOME MUN                 6706K4105       25       2000              DEFINED        1    2000          0          0
FUND 4
OKLAHOMA GAS & ELEC ENERGY                670837103       35       1214  SH            SOLE         1    1214          0          0
CORP
NUVEEN QUALITY INCOME MUNI                670977107        7        500  SH            SOLE         1     500          0          0
NUVEEN TEX QLTY MUN INCOME FD             670983105       28       1750  SH            SOLE         1    1750          0          0
NUVEEN PREMIER INSURED MUN                670987106       15       1000              DEFINED        1    1000          0          0
INCOME FUND INC
NUVEEN PREMIER MUNICIPAL INC              670988104       22       1565                SOLE         1    1565          0          0
OCCIDENTAL PETE COR           DEL         674599105       51        675  SH            SOLE         1     500          0        175
OIL STATES INTERNATIONAL INC              678026105       70       2785  SH            SOLE         1     570          0       2215
OLIN CORP                                 680665205        7        400  SH            SOLE         1     400          0          0
OLIN CORP                                 680665205        3        166  SH          DEFINED        1     166          0          0
OMNIVISION TECHNOLOGIES                   682128103        8        625  SH            SOLE         1       0          0        625
OPENWAVE SYS INC              COM NEW     683718308       12        775  SH            SOLE         1       0          0        775
ORACLE SYSTEMS CORP                       68389X105      201      15240  SH            SOLE         1    8585          0       6655
ORANGE                                    685317109        2        500  SH            SOLE         1       0          0        500
PNC BANK CORP                             693475105        2         48  SH            SOLE         1       0          0         48
PPG INDUSTRIES INC                        693506107        6         99  SH            SOLE         1       0          0         99
PACKAGING CORP AMER                       695156109        1         91  SH            SOLE         1       0          0         91
PACTIV COPR                               695257105       73       3429  SH            SOLE         1    1437          0       1992
PALMONE INC                   COM         69713P107        2        100  SH            SOLE         1     100          0          0
PARKWAY PROPERTIES INC                    70159Q104       10        200  SH            SOLE         1     200          0          0
PATTERSON COMPANIES INC                   703395103      486      10805  SH            SOLE         1     350          0      10455
PCCW LTD SONSORED             ADR         70454G207        3        494  SH          DEFINED        1     494          0          0
PEDIATRIX MEDICAL GROUP INC               705324101       57        780  SH            SOLE         1     160          0        620
PEETS COFFEE & TEA INC                    705560100        6        190  SH            SOLE         1       0          0        190
PEOPLES ENERGY CORP           COM         711030106        1         26  SH            SOLE         1       0          0         26
PEPSIAMERICAS INC                         71343P200      102       4000  SH            SOLE         1    4000          0          0
PEPSICO INC                   COM         713448108     1347      24986  SH            SOLE         1   24706          0        280
PEPSICO INC                   COM         713448108      114       2130  SH          DEFINED        1    1030       1100          0
PETROCHINA CO LTD                         71646E100       14        195  SH            SOLE         1       0          0        195
PETROHAWK ENERGY CORP                     716495106       21       1995  SH            SOLE         1     355          0       1640
PETROBRAS                                 71654V408       15        290  SH            SOLE         1       0          0        290
PFIZER INC                                717081103     1390      50418  SH            SOLE         1   33951          0      16467
PFIZER INC                                717081103      115       4185  SH          DEFINED        1    3485        700          0
PILGRIMS PRIDE CORP           COM         721467108       23        680  SH            SOLE         1     680          0          0
PIMCO MUNI INCOME FUND III                72201A103       20       1333                SOLE         1    1333          0          0
PINNACLE WEST CAP CORP                    723484101      350       7880  SH            SOLE         1    4335          0       3545
PLUM CREEK TIMBER CO INC                  729251108      277       7637  SH            SOLE         1    7637          0          0
PORTUGAL TELECOM              ADR         737273102       13       1458  SH            SOLE         1       0          0       1458
POWER-ONE INC                             739308104       10       1665  SH            SOLE         1       0          0       1665
PRESSTEK INC                  COM         741113104        5        470  SH            SOLE         1       0          0        470
PRINCIPAL FINANCIAL GROUP                 74251V102       37        896  SH            SOLE         1     896          0          0
PROCTER & GAMBLE CO           COM         742718109     1428      27077  SH            SOLE         1   23662          0       3415
PROCTER & GAMBLE CO           COM         742718109      369       7000  SH          DEFINED        1    7000          0          0
PROVIDENCE SYC CORP                       743815102       12        485  SH            SOLE         1       0          0        485
PROVIDENT BANK SHARES, INC                743859100       43       1360  SH            SOLE         1     280          0       1080
PSYCHIATRIC SOLUTIONS                     74439H108       16        340  SH            SOLE         1       0          0        340
PUBLIC SVC ENTERPRISE GROUP               744573106       11        185  SH            SOLE         1       0          0        185
INC
PUTNAM MANAGED MUNICIPAL                  746823103        3        500                SOLE         1       0          0        500
INCOME TRUST
QLOGIC CORP                   COM         747277101       15        500  SH            SOLE         1     500          0          0
QWEST COMMUNICATIONS INTL INC COM         749121109        4       1094  SH            SOLE         1    1094          0          0
CEF RMK HIGH INCOME FUND                  74963B105       17       1008  SH            SOLE         1    1008          0          0
RAYMOND JAMES FINANCIAL CORP              754730109       51       1815  SH            SOLE         1     365          0       1450
REDWOOD TR INC                COM         758075402       26        520  SH            SOLE         1     110          0        410
REED ELSEVIER PLC SPON        ADR         758205108       46       1213  SH            SOLE         1       0          0       1213






                                                       MKT                                                ** VOTING AUTHORITY **
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
REGIS CORPORATION-MN                      758932107       42       1100  SH             SOLE        1      220          0        880
REGIONS FINANCIAL CORP        NEW         7591EP100     1626      47994  SH             SOLE        1    47294          0        700
REGIONS FINANCIAL CORP        NEW         7591EP100       74       2205  SH          DEFINED        1        0       2205          0
RELIANT ENERGY INC                        75952B105        9        767  SH             SOLE        1      373          0        394
RELIANT ENERGY INC                        75952B105       21       1712  SH          DEFINED        1     1712          0          0
RENASANT CORP                 COM         75970E107       39       1300  SH             SOLE        1     1300          0          0
REPSOL YPF                    ADR         76026T205       21        855  SH             SOLE        1        0          0        855
REPUBLIC BANCORP INC                      760282103       55       3710  SH             SOLE        1      755          0       2955
REYNOLDS & REYNOLDS CO        CL A        761695105       32       1185  SH             SOLE        1      245          0        940
REYNOLDS AMERICAN INC                     761713106       13        165  SH             SOLE        1        0          0        165
ROCKWELL AUTOMATION, INC                  773903109        8        177  SH             SOLE        1      177          0          0
ROCKWELL COLLINS INC                      774341101        8        177  SH             SOLE        1      177          0          0
ROHM & HAAS CO                COM         775371107       16        361  SH             SOLE        1      361          0          0
ROWE COMPANIES                            779528108        3        885  SH             SOLE        1        0          0        885
ROYAL DUTCH PETE CO           NY REG      780257804      132       2043  SH             SOLE        1     2043          0          0
                                                                       GD1.25
ROYAL DUTCH PETE CO           NY REG      780257804      265       4096  SH          DEFINED        1     4096          0          0
                                                                       GD1.25
RUBIO'S RESTAURANTS INC                   78116B102        5        510  SH             SOLE        1        0          0        510
RUBY TUESDAY INC                          781182100       27       1060  SH          DEFINED        1      430          0        630
RUSH ENTERPRISES INC                      781846209       10        805  SH             SOLE        1        0          0        805
SBC COMMUNICATIONS, INC                   78387G103      947      39905  SH             SOLE        1    27940          0      11965
SBC COMMUNICATIONS, INC                   78387G103       63       2677  SH          DEFINED        1      780       1897          0
SVB FINL GROUP                COM         78486Q101       12        270  SH             SOLE        1        0          0        270
ST PAUL TRAVELERS CO.'S INC               792860108       84       2150  SH             SOLE        1      463          0       1687
SCANA CORP                    NEW         80589M102        9        222  SH             SOLE        1      222          0          0
SCHERING PLOUGH CORP          COM         806605101      290      15234  SH             SOLE        1    15234          0          0
SCHLUMBERGER LTD              COM         806857108       53        700  SH             SOLE        1      700          0          0
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        4        305  SH             SOLE        1        0          0        305
SERVICEMASTER COMPANY         COM         81760N109       80       6023  SH             SOLE        1     6023          0          0
SHELL TRANS & TRADING PLC     NEW         822703609       17        302  SH             SOLE        1        0          0        302
NEW YRK SH
SHELL TRANS & TRADING PLC     NEW         822703609      104       1800  SH          DEFINED        1     1800          0          0
NEW YRK SH
SIMMONS 1ST NATL CORP         CL A $1 PAR 828730200      357      13200  SH             SOLE        1    13200          0          0
SIMMONS 1ST NATL CORP         CL A $1 PAR 828730200       13        500  SH          DEFINED        1      500          0          0
SIMON PROPERTY GROUP INC                  828806109      144       2000  SH             SOLE        1     2000          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
SONY CORP                                 835699307       19        558  SH             SOLE        1        0          0        558
SONY CORP                                 835699307       34       1000  SH          DEFINED        1     1000          0          0
SOUTHERN CO                   COM         842587107      308       8894  SH             SOLE        1     8837          0         57
SOUTHERN CO                   COM         842587107      153       4426  SH          DEFINED        1     4426          0          0
SOUTHWESTERN ENERGY CO                    845467109       29        630  SH             SOLE        1      130          0        500
SPRINT CORP                   COM FON     852061100     1405      56000  SH             SOLE        1    56000          0          0
STANLEY WORKS                             854616109       13        290  SH             SOLE        1        0          0        290
STARBUCKS CORP                            855244109      183       3555  SH             SOLE        1      515          0       3040
STATOIL ASA                   SPON ADR    85771P102       24       1205  SH             SOLE        1        0          0       1205
STORA ENSO OYJ                ADR         86210M106       30       2372  SH             SOLE        1        0          0       2372
STRATASYS INC                             862685104       11        350  SH             SOLE        1        0          0        350
STRAYED ED INC                COM         863236105        5         65  SH             SOLE        1       25          0         40
SUN LIFE FINANCIAL                        866796105       52       1561  SH             SOLE        1     1561          0          0
SUNOCO INC                                86764P109       22        200  SH             SOLE        1      200          0          0
SUNTRUST BANKS INC            COM         867914103      124       1730  SH             SOLE        1     1730          0          0
SUPERIOR ENERGY SERVICES INC              868157108        4        240  SH             SOLE        1        0          0        240
SYNOVUS FINL CORP                         87161C105       32       1125  SH             SOLE        1     1125          0          0
SYSCO CORP                                871829107       31        863  SH             SOLE        1      863          0          0
TECO ENERGY INC               COM         872375100        3        200  SH             SOLE        1      200          0          0
TEPPCO PARTNERS LP                        872384102       31       1100  SH             SOLE        1     1100          0          0
TNT N V                       SPONSORED   
ADR                                       87260W101       33       1323  SH             SOLE        1        0          0       1323
TXU CORP                                  873168108      157       1900  SH             SOLE        1      400          0       1500
TAIWAN SEMICONDUCTOR MFG CO   ADR'S       874039100       20       2250  SH             SOLE        1        0          0       2250
LTD
TARGET CORP                               87612E106      117       2156  SH             SOLE        1     1242          0        914
TARGET CORP                               87612E106       21        400  SH          DEFINED        1      400          0          0
TEAM INC                                  878155100       36       1675  SH             SOLE        1      325          0       1350
TELEFONOS DE MEXICO SA DE CV  SPONS ADR   879403780       31       1646  SH             SOLE        1        0          0       1646






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
TELLABS INC                   DELAWARE    879664100        1        200  SH          DEFINED         1     200          0          0
TEMPLE INLAND INC             COM         879868107       66       1800  SH            SOLE          1    1800          0          0
TERRA INDUSTRIES INC                      880915103        0         15  SH            SOLE          1      15          0          0
TEVA PHARMACEUTICAL IND       ADR         S881624209     124       4001  SH            SOLE          1     586          0       3415
TESSERA TECHNOLOGIES INC                  88164L100       19        580  SH            SOLE          1       0          0        580
TEXAS INSTRUMENTS                         882508104       49       1750  SH            SOLE          1    1750          0          0
THORNBURG MORTGAGE INC                    885218107       23        800  SH            SOLE          1     800          0          0
3M CO                                     88579Y101      571       7906  SH            SOLE          1    4746          0       3160
TIFFANY & CO                  NEW         886547108       72       2200  SH            SOLE          1    2200          0          0
TIME WARNER INC                           887317105      377      22595  SH            SOLE          1   22220          0        375
TOTAL FINA ELF S.A.           ADR         89151E109       34        297  SH            SOLE          1      21          0        276
TOYOTA MOTOR CORP             ADR NEW     892331307       25        359  SH            SOLE          1      25          0        334
TRADESTATION GROUP INC                    89267P105       12       1470  SH            SOLE          1       0          0       1470
TRIAD HOSPS INC                           89579K109       14        260  SH            SOLE          1     130          0        130
TRIARC COS INC                CL A        895927101       14        925  SH            SOLE          1     195          0        730
TRIARC COMPANIES "B" SR1                  895927309       65       4430  SH            SOLE          1     965          0       3465
TRIBUNE COMPANY                           896047107       42       1200  SH            SOLE          1    1200          0          0
TRUSTMARK CORP                COM         898402102      480      16442  SH            SOLE          1   16442          0          0
TYCO INTL LTD                 NEW COM     902124106        9        330  SH            SOLE          1       0          0        330
TYSON FOODS INC               CL A        902494103      272      15326  SH            SOLE          1     976          0      14350
USA TRUCK INC -RESTRICTED                 902925106     1027      41498  SH            SOLE          1   41498          0          0
US BANCORP                    DEL NEW     902973304       85       2923  SH            SOLE          1     556          0       2367
US CONCRETE INC                           90333L102       35       5415  SH            SOLE          1    1100          0       4315
U S HOME SYS INC                          90335C100        2        470  SH            SOLE          1       0          0        470
ULTRA PETROLEUM CORP-CAD                  903914109       14        480  SH            SOLE          1     100          0        380
UNION PACIFIC CORP                        907818108       12        200  SH            SOLE          1     200          0          0
UNION PACIFIC CORP                        907818108      246       3800  SH          DEFINED         1       0       3800          0
UNITED AUTO GROUP                         909440109       56       1890  SH            SOLE          1     390          0       1500
UNITED UTILITIES PLC SP                   91311Q105        1         59  SH            SOLE          1       0          0         59
UNITED COMPRESSION HOLDINGS               913431102       55       1545  SH            SOLE          1     315          0       1230
UNIVERSAL TRUCKLOAD SVCS INC              91388P105       10        605  SH            SOLE          1       0          0        605
UPM KYMMENE CORP              SPN ADR     915436109       17        901  SH            SOLE          1       0          0        901
VF CORPORATION                            918204108       12        215  SH            SOLE          1       0          0        215
VAN KAMPEN MERRITT VALUE                  921132106        5        370                SOLE          1     370          0          0
MUNICIPAL INCOME TR
VARIAN MEDICAL SYSTEMS                    92220P105      107       2887  SH            SOLE          1     382          0       2505
VARIAN SEMICONDUCTOR EQUIP                922207105       11        320  SH            SOLE          1       0          0        320
VERIZON COMMUNICATIONS                    92343V104      612      17731  SH            SOLE          1   11121          0       6610
VERIZON COMMUNICATIONS                    92343V104       86       2517  SH          DEFINED         1    1719        798          0
VIAD CORPORATION                          92552R406        2         87  SH            SOLE          1      87          0          0
VIACOM INC                    CL B        925524308      394      12329  SH            SOLE          1   11730          0        599
VIACOM INC                    CL B        925524308       10        325  SH          DEFINED         1     325          0          0
VISTEON CORP                              92839U107        0         10  SH            SOLE          1      10          0          0
VITRAN CORP                               92850E107        7        475  SH            SOLE          1       0          0        475
VODAFONE GROUP PLC            NEW         92857W100      149       6165  SH            SOLE          1    3689          0       2476
VODAFONE GROUP PLC            NEW         92857W100       13        565  SH          DEFINED         1       0        565          0
W H ENERGY SERVICES                       92925E108       10        435  SH            SOLE          1       0          0        435
WACHOVIA CORP 2ND             NEW         929903102      894      18036  SH            SOLE          1   13504          0       4532
WACHOVIA CORP 2ND             NEW         929903102       24        500  SH          DEFINED         1     500          0          0
WAL MART STORES INC           COM         931142103     1972      40915  SH            SOLE          1   31770          0       9145
WAL MART STORES INC           COM         931142103      194       4036  SH          DEFINED         1    1036       3000          0
WALGREEN CO                   COM         931422109      244       5314  SH            SOLE          1    2274          0       3040
WASHINGTON MUTUAL INC                     939322103       25        630  SH            SOLE          1       0          0        630
WASTE MANAGEMENT INC          NEW         94106L109      114       4045  SH            SOLE          1    1250          0       2795
WASTE MANAGEMENT INC          NEW         94106L109        0          1  SH          DEFINED         1       0          0          1
WATSCO INC                                942622200       47       1120  SH            SOLE          1     230          0        890
WELLS FARGO & CO.             NEW         949746101      166       2696  SH            SOLE          1    2135          0        561
WELLS FARGO & CO.             NEW         949746101       12        200  SH          DEFINED         1     200          0          0
WESTAR ENERGY INC                         95709T100       60       2515  SH            SOLE          1     670          0       1845
WEYERHAEUSER CO               COM         962166104       31        500  SH            SOLE          1       0          0        500
WHIRLPOOL CORP                            963320106       26        380  SH            SOLE          1       0          0        380
WHITING PETE CORP             NEW COM     966387102       53       1485  SH            SOLE          1     300          0       1185
WHITNEY HOLDING CORP          COMMON      966612103       85       2625  SH            SOLE          1    2625          0          0
WITNESS SYSTEM INC                        977424100       13        730  SH            SOLE          1       0          0        730
WYETH                                     983024100      846      19027  SH            SOLE          1   11517          0       7510
XM SATELLITE                              983759101      841      25000  SH            SOLE          1   25000          0          0
XCEL ENERGY INC                           98389B100        3        154  SH            SOLE          1     154          0          0
YANKEE CANDLE CO INC                      984757104        8        265  SH            SOLE          1     175          0         90
YORK INTL CORP                NEW COM     986670107       31        820  SH            SOLE          1     170          0        650






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER     
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS    SOLE    SHARED      NONE
                                                                                          
YUM BRANDS INC                            988498101       96       1846  SH            SOLE          1    1846          0          0
ZALE CORP                     NEW         988858106       43       1380  SH            SOLE          1     280          0       1100
ZIMMER HLDGS INC                          98956P102      113       1491  SH            SOLE          1     226          0       1265
ABN AMRO/MONTAG & CALDWELL                00078H299       10        456  SH            SOLE                  0          0        456
GROWTH FUND CLASS N
AFLAC INC                                 1055102         22        500  SH            SOLE                  0          0        500
AT&T CORP                     COM NEW     1957505         12        600  SH            SOLE                  0          0        600
ALCOA INC                     COM         13817101        26      1,000  SH            SOLE                  0          0      1,000
TECHNOLOGY FUND CLASS A
RESERVES FUND CLASS B
ALLSTATE CORP                             20002101         9        150  SH            SOLE                  0          0        150
ALLTEL CORP                               20039103        14        225  SH            SOLE                  0          0        225
ALTRIA GROUP INC              COM         02209S103      128      2,005  SH            SOLE                  0          0      2,005
AMEREN CORP                   COM         23608102        11        200  SH            SOLE                  0          0        200
AMERICAN CAP STRATEGIES LTD   COM         24937104       120      3,330  SH            SOLE                  0          0      3,330
AMERICAN INTERNATIONAL GROUP              26874107         4         67  SH            SOLE                  0          0         67
INC
AMGEN INC                                 31162100        68      1,115  SH            SOLE                  0          0      1,115
AMSOUTH BANCORPORATION        COM         32165102       367     14,104  SH            SOLE                  0          0     14,104
AMSURG CORP COM                           03232P405       14        500  SH            SOLE                  0          0        500
AMYLIN PHARMACEUTICALS INC                32346108        10        500  SH            SOLE                  0          0        500
ANHEUSER-BUSCH COS INC                    35229103        37        800  SH            SOLE                  0          0        800
ANNALY MTG MGMT INC           COM         35710409       195     10,810  SH            SOLE                  0          0     10,810
APPLE COMPUTER INC                        37833100        18        500  SH            SOLE                  0          0        500
ASTRAZENECA PLC               SPONSORED   46353108        21        500  SH            SOLE                  0          0        500
                              ADR
AUTOMATIC DATA PROCESSING     COM         53015103         4        100  SH            SOLE                  0          0        100
INC
BACKYARD BURGERS INC          COM         05635W101       11      2,000  SH            SOLE                  0          0      2,000
BANCORPSOUTH INC                          59692103       310     13,123  SH            SOLE                  0          0     13,123
BANK OF AMERICA               COM         60505104        56      1,240  SH            SOLE                  0          0      1,240
BARCLAYS PLC ADRS                         06738c828        3         75  SH            SOLE                  0          0         75
BEST BUY COMPANY INC                      86516101        45        665  SH            SOLE                  0          0        665
BIOMET INC                                90613100        17        500  SH            SOLE                  0          0        500
BONANZA RES CORP COM                      09784P107        0        122  SH            SOLE                  0          0        122
ISIN#CA09784P1071
BOSTON SCIENTIFIC CORP                    101137107       20        740  SH            SOLE                  0          0        740
CVB FINANCIAL CORP                        126600105       14        687  SH            SOLE                  0          0        687
CTFS PARTN-ELEM SCH CORP
4.450% 04/01/20 REG DTD
02/01/03 CLB
CAPITAL ONE FINL CORP         COM         14040H105        8        100  SH            SOLE                  0          0        100
CHEVRON CORP                  COM         166764100       16        300  SH            SOLE                  0          0        300
CINERGY CORP                  COM         172474108       13        280  SH            SOLE                  0          0        280
CISCO SYSTEMS INC                         17275R102      164      8,570  SH            SOLE                  0          0      8,570
CITIGROUP INC                 COM         172967101      276      6,002  SH            SOLE                  0          0      6,002
CLEVELAND CLIFFS INC                      185896107       87      1,500  SH            SOLE                  0          0      1,500
COCA-COLA COMPANY                         191216100       25        600  SH            SOLE                  0          0        600





                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
COLUMBIA HIGH-YIELD FUND                  197708100      242     27,989  SH            SOLE                 0          0     27,989
COMPANHIA VALE DO RIO DOCE                204412209       59      2,000  SH            SOLE                 0          0      2,000
ADR
CONSOLIDATED EDISON INC       COM         209115104       14        300  SH            SOLE                 0          0        300
COOPER COS INC                COM NEW     216648402       30        500  SH            SOLE                 0          0        500
COVENTRY HEALTH CARE INC      COM         222862104        7        100  SH            SOLE                 0          0        100
DELL INC                      COM         24702R101       26        650  SH            SOLE                 0          0        650
DELUXE CORP                               248019101       74      1,860  SH            SOLE                 0          0      1,860
DIEBOLD INC                               253651103        9        200  SH            SOLE                 0          0        200
DOW CHEM CO                               260543103      163      3,640  SH            SOLE                 0          0      3,640
DUKE ENERGY CORP              COM         264399106       12        400  SH            SOLE                 0          0        400
EMC CORP (MASS)               COM         268648102       14      1,000  SH            SOLE                 0          0      1,000
HEALTH SCIENCES FUND CLASS A
EMULEX CORP                   COM NEW     292475209        9        500  SH            SOLE                 0          0        500
ENGINEERED SUPPORT SYS INC                292866100       18        500  SH            SOLE                 0          0        500
EXXON MOBIL CORP              COM         30231G102      220      3,850  SH            SOLE                 0          0      3,850
FPA CAP FD INC                            302539101      196      4,568  SH            SOLE                 0          0      4,568
FT UNIT 822 TARGET VIP PORT               30268A572       99      9,328  SH            SOLE                 0          0      9,328
2ND QUARTER 2004 SER SEMI
ANNUAL FEE ACCT REINVESTMENT
FT UNIT 857 DOW TARGET DIVID              30268C388       27      2,606  SH            SOLE                 0          0      2,606
PORT 3RD QUARTER 2004 SER
SEMI ANNUAL FEE ACCT CASH
FT UNIT 857 TARGET VIP PORT               30268C586      312     29,256  SH            SOLE                 0          0     29,256
3RD QUARTER 2004 SER SEMI
ANNUAL FEE ACCT CASH
FT UNIT 857 TARGET VIP PORT               30268C594       13      1,249  SH            SOLE                 0          0      1,249
3RD QUARTER 2004 SER SEMI
ANNUAL FEE ACCT REINVESTMENT
FT UNIT 863 SR LN CLOSED-END              30268D105       10      1,178  SH            SOLE                 0          0      1,178
PORT MONTHLY CASH
FT UNIT 863 SR LN CLOSED-END              30268D121      283     34,467  SH            SOLE                 0          0     34,467
PORT MONTHLY FEE ACCT CASH
FT UNIT 913 DOW TARGET DIVID              30268H502       26      2,566  SH            SOLE                 0          0      2,566
PORTFOLIO 1ST QUARTER 2005
SER SEMI ANNUAL FEE ACCTS
CASH
FT UNIT 913 VALUE LINE                    30268H791       71      7,017  SH            SOLE                 0          0      7,017
TARGET 25 PORTFOLIO 1ST
QUARTER 2005 SER SEMI ANNUAL
FEE ACCTS REINVESTMENT
FT UNIT 942 NYSE INTL TARGET              30268K638       50      5,126  SH            SOLE                 0          0      5,126
25 PORTFOLIO 1ST QUARTER
2005 SER B SEMI ANNUAL FEE
ACCTS REINVESTMENT
FT UNIT 950 DOW TARGET DIV                30268L321       17      1,675  SH            SOLE                 0          0      1,675
PORT 2ND QTR 2005 SER SEMI
ANNUAL FEE ACCTS CASH
FT UNIT 950 DOW TARGET DIV                30268L339       15      1,537  SH            SOLE                 0          0      1,537
PORT 2ND QTR 2005 SER SEMI
ANNUAL FEE ACCTS REINVEST
FT UNIT 950 VALUE LINE                    30268L685       19      1,770  SH            SOLE                 0          0      1,770
TARGET 25 PORT 2ND QTR 2005
SER SEMI ANNUAL FEE ACCTS
CASH






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
FT UNIT 946 VALUE LINE                    30268L693       16      1,537  SH            SOLE                 0          0      1,537
TARGET 25 PORT APRIL 2005
SER SEMI ANNUAL FEE ACCTS
REINVEST
FT UNIT 964 THE DOW TARGET                30269B249       26      2,569  SH            SOLE                 0          0      2,569
DIVIDEND PORT MAY 2005 SER
SEMI ANNUAL FEE ACCT CASH
FT UNIT 964 VALUE LINE                    30269B322       30      2,590  SH            SOLE                 0          0      2,590
TARGET 25 PORT MAY 2005 SEMI
ANNUAL FEE ACCT CASH






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
FEDERAL SIGNAL CORP                       313855108       16      1,000  SH            SOLE                 0          0      1,000
FEDEX CORP                    COM         31428X106       34        420  SH            SOLE                 0          0        420
GENERAL ELECTRIC CO           COM         369604103      358     10,335  SH            SOLE                 0          0     10,335






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                          
GILLETTE COMPANY                          375766102        5        100  SH            SOLE                 0          0        100
GOLDMAN SACHS GROUP INC       COM         38141G104       10        100  SH            SOLE                 0          0        100
HCA INC                       COM         404119109        6        100  SH            SOLE                 0          0        100
HRPT PPTYS TR                 COM SH BEN  40426W101       62      5,000  SH            SOLE                 0          0      5,000
                              INT
OAKMARK FUND                              413838103        5        129  SH            SOLE                 0          0        129






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
HOSPITALITY PPTYS TRUST                   44106M102       44      1,000  SH            SOLE                 0          0      1,000
COMMON SHARES OF BENEFICIAL
INTEREST
HOUSTON EXPLORATION CO        COM         442120101       25        475  SH            SOLE                 0          0        475
ICOS CORP                                 449295104       42      2,000  SH            SOLE                 0          0      2,000
INTEL CORP                    COM         458140100      162      6,190  SH            SOLE                 0          0      6,190
INTERNATIONAL BUSINESS MACHS  COM         459200101       79      1,070  SH            SOLE                 0          0      1,070
CORP
INTERNATIONAL PAPER CO                    460146103       15        500  SH            SOLE                 0          0        500
INTERNATIONAL SPEEDWAY CORP               460335201       34        600  SH            SOLE                 0          0        600
CL A
ISHARES INC MSCI PACIFIC EX               464286665      293      3,115  SH            SOLE                 0          0      3,115
JAPAN INDEX FD
ISHARES TR MSCI EAFE INDEX FD             464287465      166      3,174  SH            SOLE                 0          0      3,174
ISHARES TR S&P MIDCAP 400                 464287507      286      4,180  SH            SOLE                 0          0      4,180
INDEX FD
ISHARES TR DOW JONES US FINL              464287788      417      4,394  SH            SOLE                 0          0      4,394
SECTOR INDEX FD
ISHARES TR S&P SMALLCAP 600               464287804      229      4,170  SH            SOLE                 0          0      4,170
INDEX FD
JDS UNIPHASE CORP                         46612J101        0        250  SH            SOLE                 0          0        250
JOHNSON & JOHNSON             COM         478160104       95      1,450  SH            SOLE                 0          0      1,450
JUNIPER NETWORKS INC          COM         48203R104       53      2,100  SH            SOLE                 0          0      2,100
KERR MCGEE CORP                           492386107       16        198  SH            SOLE                 0          0        198
KING PHARMACEUTICALS INC      COM         495582108        5        500  SH            SOLE                 0          0        500
KNIGHT TRANSPORTATION                     499064103       36      1,500  SH            SOLE                 0          0      1,500
KRAFT FOODS INC CL A                      50075N104       12        375  SH            SOLE                 0          0        375
LANDSTAR SYSTEMS INC          COM         515098101        6        200  SH            SOLE                 0          0        200
ELI LILLY & CO                            532457108       22        400  SH            SOLE                 0          0        400
LINEAR TECHNOLOGY CORP                    535678106       54      1,500  SH            SOLE                 0          0      1,500
*LONGLEAF PARTNERS FUND                   543069108        5        165  SH            SOLE                 0          0        165
LOWES COS INC                             548661107       29        500  SH            SOLE                 0          0        500
LUCENT TECHNOLOGIES INC       COM         549463107       39     13,600  SH            SOLE                 0          0     13,600
MBNA CORP                                 55262L100       21        800  SH            SOLE                 0          0        800
MKS INSTRS INC                COM         55306N104        3        200  SH            SOLE                 0          0        200
MSGI SEC SOLUTIONS INC        COM         553570102        0         42  SH            SOLE                 0          0         42
MAGELLAN MIDSTREAM PARTNERS               559080106       11        350  SH            SOLE                 0          0        350
LP COM UNIT REPSTG LTD
PARTNER INT
MASCO CORP                    COM         574599106       13        400  SH            SOLE                 0          0        400
MATTHEWS PACIFIC TIGER FUND               577130107       25      1,509  SH            SOLE                 0          0      1,509
MAXIM INTEGRATED PRODUCTS INC             57772K101       19        500  SH            SOLE                 0          0        500
MEADWESTVACO CORP             COM         583334107       14        500  SH            SOLE                 0          0        500
*MERIDIAN GROWTH FUND                     589619105      175      4,901  SH            SOLE                 0          0      4,901
MERISTAR HOSPITALITY CORP     COM         58984Y103        7        847  SH            SOLE                 0          0        847
MERITOR SAVINGS BK                        590007100      112     27,600  SH            SOLE                 0          0     27,600
MICROSOFT CORP                COM         594918104      234      9,470  SH            SOLE                 0          0      9,470






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
MYLAN LABORATORIES INC                    628530107       33      1,670  SH            SOLE                 0          0      1,670
NASDAQ 100 TR UNIT SER 1                  631100104      102      2,750  SH            SOLE                 0          0      2,750
NUVEEN QUALITY PFD INCOME FD              67071S309       50          2  SH            SOLE                 0          0          2
PFD SHS SER T 0.0% CALLABLE
NUVEEN QUALITY PFD INCOME FD              67071S606      200          8  SH            SOLE                 0          0          8
PFD SHS SER CALLABLE
NUVEEN QUALITY PFD INCOME FD              67072C204    1,000         40  SH            SOLE                 0          0         40
2 PFD SHS SER M CALLABLE
NUVEEN FLOATING RATE INCOME               67072T207      125          5  SH            SOLE                 0          0          5
FD FD PFD SHS SER M
NUVEEN PFD & CONV INCOME FD               67073B205      150          6  SH            SOLE                 0          0          6
FUNDPREFERRED SHS SER M
NUVEEN PFD & CONV INCOME FD               67073B601      800         32  SH            SOLE                 0          0         32
AUCTION RT PREFERRED SHS SER
F CALLABLE
NUVEEN PFD & CONV INCOME FD               67073D201       50          2  SH            SOLE                 0          0          2
2 PFD SER M CALLABLE AUCTION
RATE PFD
NUVEEN PFD & CONV INCOME FD               67073D607      175          7  SH            SOLE                 0          0          7
2 COM PFD SER W
NUVEEN PFD & CONV INCOME FD               67073D870    1,000         40  SH            SOLE                 0          0         40
2 PFD SER F






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                          
OCEANEERING INTL INC                      675232102        8        200  SH            SOLE                 0          0        200
OLIN CORP NEW COM PAR $1                  680665205       22      1,200  SH            SOLE                 0          0      1,200
OPEN JT STK CO VIMPEL                     68370R109       17        500  SH            SOLE                 0          0        500
COMMUNICATION SPONSORED ADR
DREYFUS MID-CAP INDEX FUND                712223106       31      1,158  SH            SOLE                 0          0      1,158
PEPSICO INC                               713448108       56      1,040  SH            SOLE                 0          0      1,040
PFIZER INC                    COM         717081103       65      2,300  SH            SOLE                 0          0      2,300
T ROWE PRICE HEALTH SCIENCES              741480107        5        218  SH            SOLE                 0          0        218
PROCTER & GAMBLE CO                       742718109      244      4,630  SH            SOLE                 0          0      4,630
RF MICRO DEVICES INC          COM         749941100        2        400  SH            SOLE                 0          0        400
REGIONS FINL CORP NEW         COM         7591EP100       27        800  SH            SOLE                 0          0        800
RESNASANT CORP                COM         75970e107       66      2,158  SH            SOLE                 0          0      2,158
REYNOLDS AMERN INC            COM         761713106       47        600  SH            SOLE                 0          0        600
STANDARD & POORS DEPOSITARY               78462F103      911      7,645  SH            SOLE                 0          0      7,645
RECEIPTS (SPDR'S) UNITS OF
UNDIVIDED BENEFICIAL INTEREST
THE SAINT JOE CO              COM         790148100       37        450  SH            SOLE                 0          0        450
SANMINA SCI CORP              COM         800907107       22      4,000  SH            SOLE                 0          0      4,000
SANOFI-AVENTIS SPONS ADR                  80105N105        2         50  SH            SOLE                 0          0         50
ISIN#US80105N1054
SCHERING-PLOUGH CORP          COM         806605101       29      1,500  SH            SOLE                 0          0      1,500
SELECT SECTOR SPDR FD                     81369Y100      220      8,108  SH            SOLE                 0          0      8,108
MATERIALS
SECTOR SPDR TR SHS BEN INT                81369Y605      408     13,833  SH            SOLE                 0          0     13,833
FINANCIAL
SMUCKER J M CO                COM NEW     832696405        0          4  SH            SOLE                 0          0          4
SONUS NETWORKS INC            COM         835916107       14      2,875  SH            SOLE                 0          0      2,875
SOUTHERN CO                               842587107       30        875  SH            SOLE                 0          0        875
SOUTHWEST AIRLINES CO                     844741108       21      1,500  SH            SOLE                 0          0      1,500
SYSCO CORP                                871829107       82      2,265  SH            SOLE                 0          0      2,265
TAIWAN SEMICONDUCTOR MFG CO               874039100       16      1,724  SH            SOLE                 0          0      1,724
SPONSORED ADR
ISIN#US8740391003
TORCH ENERGY RTY TR UNIT OF               891013104        7      1,000  SH            SOLE                 0          0      1,000
BEN INT
TRUSTMARK CORP                            898402102       30      1,000  SH            SOLE                 0          0      1,000
US BANCORP DEL                COM NEW     902973304       30      1,000  SH            SOLE                 0          0      1,000
UNITED TECHNOLOGIES CORP DEL  COM         913017109       41        800  SH            SOLE                 0          0        800
UNITEDHEALTH GROUP INC        COM         91324P102      103      1,984  SH            SOLE                 0          0      1,984
VCA ANTECH INC                COM         918194101       10        400  SH            SOLE                 0          0        400
                              ISIN#US9181
                              941017






                                                       MKT                                                 **VOTING AUTHORITY**
                               TITLE OF               VAL x             SH/   PUT/ INVESTMENT  OTHER    
     NAME OF ISSUER             CLASS       CUSIP     1000      QTY     PRN   CALL DESCRETION MANAGERS   SOLE    SHARED      NONE
                                                                                         
VALERO ENERGY CORPORATION               91913Y100       40        500  SH           SOLE                   0          0        500
VERTEX PHARMACEUTICALS INC    COM       92532F100        3        200  SH           SOLE                   0          0        200
WAL MART STORES INC                     931142103       29        600  SH           SOLE                   0          0        600
WALGREEN CO                             931422109       76      1,650  SH           SOLE                   0          0      1,650
WORLD FUEL SERVICES CORP                981475106       14        600  SH           SOLE                   0          0        600
COMMON STOCK
YAHOO INC                     COM       984332106       21        600  SH           SOLE                   0          0        600
ZIMMER HLDGS INC              COM       98956P102        8        100  SH           SOLE                   0          0        100
SEVEN SEAS PETROLEUM INC ORD            G80550109        0      5,000  SH           SOLE                   0          0      5,000
SHS ISIN#KYG805501098
                                        Grand      697,363 16,136,120                              4,762,557 10,247,187  1,128,376
                                        Total