================================================================================

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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2012

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: Executive Vice President and Corporate Secretary
Phone: (662) 680-2084

Signature Place and Date of Signing:

/s/ Cathy S. Freeman   Tupelo Mississippi         01/15/2013
--------------------   -----------------------    -----------------
[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: 266

Form 13F Information Table Value Total: 826,831
                                        -----------
                                        (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






                                                                                       INVESTMENT             ** VOTING
                                                                                       DISCRETION            AUTHORITY **
                                                                                     ---------------- -------------------------
                                   TITLE OF              MKT VAL  Shares/   SH/ PUT/ SOLE SHR OTH OTH    SOLE   SHARED    NONE
NAME OF ISSUER                      CLASS       CUSIP    x 1000   PRN Amt   PRN CALL  (A) (B) (C) MGR    (A)      (B)     (C)
----------------------------- ---------------- --------- ------- --------- ---- ---- ---- --- --- --- --------- ------- -------
                                                                                 
EATON CORP PLC                SHS              G29183103     504     9,294   SH        X                  9,218       0      76
PARTNERRE LTD                 COM              G6852T105     426     5,290   SH        X                  5,253       0      37
WILLIS GROUP HOLDINGS PUBLIC  SHS              G96666105     263     7,850   SH        X                  7,781       0      69
ACE LTD                       SHS              H0023R105     324     4,063   SH        X                  4,025       0      38
CHECK POINT SOFTWARE TECH LT  ORD              M22465104     382     8,017   SH        X                  8,017       0       0
AERCAP HOLDINGS NV            SHS              N00985106     163    11,849   SH        X                 11,849       0       0
FLEXTRONICS INTL LTD          ORD              Y2573F102     794   127,822   SH        X                127,200       0     622
AT&T INC                      COM              00206R102   1,334    39,577   SH        X                 34,177       0   5,400
AT&T INC                      COM              00206R102     207     6,133   SH        X                    391   5,742       0
ABBOTT LABS                   COM              2824100       752    11,484   SH        X                 11,446       0      38
ABBOTT LABS                   COM              2824100       262     4,000   SH        X                          4,000       0
AETNA INC NEW                 COM              00817Y108     469    10,119   SH        X                 10,057       0      62
AFFILIATED MANAGERS GROUP     COM              8252108       323     2,484   SH        X                  2,479       0       5
AIR PRODS & CHEMS INC         COM              9158106       590     7,019   SH        X                  7,019       0       0
ALLIANZ SE                    SP ADR SH        18805101      161    11,634   SH        X                 11,634       0       0
ALTERA CORP                   COM              21441100      242     7,034   SH        X                  6,999       0      35
ALTRIA GROUP INC              COM              02209S103     859    27,324   SH        X                 21,304       0   6,020
ALTRIA GROUP INC              COM              02209S103      36     1,155   SH        X                    454     701       0
AMERICAN ELEC PWR INC         COM              25537101      217     5,094   SH        X                  3,902       0   1,192
AMERICAN ELEC PWR INC         COM              25537101       11       249   SH        X                     98     151       0
AMERICAN EXPRESS CO           COM              25816109      758    13,194   SH        X                 13,194       0       0
AMETEK INC NEW                COM              31100100      426    11,347   SH        X                 11,295       0      52
AMGEN INC                     COM              31162100      607     7,038   SH        X                  7,038       0       0
APPLE INC                     COM              37833100    1,611     3,028   SH        X                  3,028       0       0
ASTRAZENECA PLC               SPONSORED ADR    46353108      810    17,138   SH        X                 12,112       0   5,026
ASTRAZENECA PLC               SPONSORED ADR    46353108       42       882   SH        X                    347     535       0
AUTODESK INC                  COM              52769106      256     7,250   SH        X                  7,250       0       0
BCE INC                       COM NEW          05534B760     508    11,839   SH        X                  8,105       0   3,734
BCE INC                       COM NEW          05534B760      38       876   SH        X                    345     531       0
BP PLC                        SPONSORED ADR    55622104      204     4,900   SH        X                  4,900       0       0
BP PLC                        SPONSORED ADR    55622104      117     2,800   SH        X                  2,800       0       0
BANCORPSOUTH INC              COM              59692103   12,259   843,147   SH        X                721,213       0 121,934
BANCORPSOUTH INC              COM              59692103      125     8,600   SH        X                  8,600       0       0
BANK OF THE OZARKS INC        COM              63904106    2,163    64,636   SH        X                 64,636       0       0
BAXTER INTL INC               COM              71813109      835    12,519   SH        X                 12,480       0      39
BED BATH & BEYOND INC         COM              75896100      248     4,440   SH        X                  4,440       0       0
BERKSHIRE HATHAWAY INC DEL    CL B NEW         84670702      930    10,371   SH        X                 10,371       0       0
BRISTOL MYERS SQUIBB CO       COM              110122108     614    18,830   SH        X                 14,480       0   4,350
BRISTOL MYERS SQUIBB CO       COM              110122108      33     1,016   SH        X                    398     618       0
CVS CAREMARK CORPORATION      COM              126650100     358     7,396   SH        X                  7,341       0      55
CARNIVAL CORP                 PAIRED CTF       143658300     402    10,943   SH        X                 10,873       0      70
CATERPILLAR INC DEL           COM              149123101     448     5,004   SH        X                  5,004       0       0
CELGENE CORP                  COM              151020104     723     9,208   SH        X                  9,208       0       0
CENTURYLINK INC               COM              156700106     543    13,885   SH        X                  9,835       0   4,050
CENTURYLINK INC               COM              156700106      37       946   SH        X                    370     576       0
CERNER CORP                   COM              156782104     281     3,619   SH        X                  3,619       0       0
CHEVRON CORP NEW              COM              166764100   1,817    16,799   SH        X                 16,124       0     675
CHEVRON CORP NEW              COM              166764100     789     7,292   SH        X                  7,240      52       0
CHURCH & DWIGHT INC           COM              171340102     252     4,702   SH        X                  4,702       0       0
CITIZENS HLDG CO MISS         COM              174715102   3,092   158,987   SH        X                158,987       0       0
CITRIX SYS INC                COM              177376100     232     3,536   SH        X                  3,511       0      25
COACH INC                     COM              189754104     254     4,579   SH        X                  4,579       0       0
COCA COLA CO                  COM              191216100     656    18,098   SH        X                 16,955       0   1,143
1COCA COLA CO                 COM              191216100     358     9,866   SH        X                  9,704     162       0


                                       3






                                                                                       INVESTMENT             ** VOTING
                                                                                       DISCRETION            AUTHORITY **
                                                                                     ---------------- -------------------------
                                   TITLE OF              MKT VAL  Shares/   SH/ PUT/ SOLE SHR OTH OTH    SOLE   SHARED    NONE
NAME OF ISSUER                      CLASS       CUSIP    x 1000   PRN Amt   PRN CALL  (A) (B) (C) MGR    (A)      (B)     (C)
----------------------------- ---------------- --------- ------- --------- ---- ---- ---- --- --- --- --------- ------- -------
                                                                                 
COLGATE PALMOLIVE CO          COM              194162103     289     2,762   SH        X                  2,762       0       0
COLUMBIA ACORN TR             INTL SELECT Z    197199763     354    13,676   SH        X                  8,946       0   4,730
COLUMBIA FDS SER TR           LARGECAP VAL Z   19765H149     549    46,016   SH        X                 46,016       0       0
COLUMBIA FDS SER TR           MARS GRWTH Z     19765H180     738    32,394   SH        X                 32,394       0       0
COLUMBIA FDS SER TR           SMALL COS Z      19765J723     161    12,512   SH        X                 12,512       0       0
COLUMBIA FDS SER TR           SMLCP VAL II Z   19765J764     174    11,757   SH        X                 11,757       0       0
COLUMBIA FDS SER TR I         MIDCP GRWTH Z    19765P232     210     7,879   SH        X                  7,879       0       0
COMPANHIA ENERGETICA DE MINA  SP ADRN-V PFD    204409601     140    12,912   SH        X                 12,912       0       0
COMPANHIA PARANAENSE ENERGC   SPON ADR PFD     20441B407     159    10,340   SH        X                 10,340       0       0
CONOCOPHILLIPS                COM              20825C104     794    13,690   SH        X                 10,332       0   3,358
CONOCOPHILLIPS                COM              20825C104      37       642   SH        X                    251     391       0
DWS VALUE SER INC             SMCP VALF INST   23338F754   9,848   267,744   SH        X                263,751      33   3,959
DWS VALUE SER INC             SMCP VALF INST   23338F754      77     2,089   SH        X                  1,780     308       0
DANAHER CORP DEL              COM              235851102     476     8,522   SH        X                  8,522       0       0
DEERE & CO                    COM              244199105     937    10,840   SH        X                 10,840       0       0
DELTIC TIMBER CORP            COM              247850100     447     6,324   SH        X                  6,324       0       0
DELTIC TIMBER CORP            COM              247850100  22,775   322,504   SH        X                        322,504       0
DENBURY RES INC               COM NEW          247916208     208    12,841   SH        X                 12,841       0       0
DEVON ENERGY CORP NEW         COM              25179M103     426     8,192   SH        X                  8,125       0      67
DIAGEO P L C                  SPON ADR NEW     25243Q205     246     2,109   SH        X                  1,809       0     300
DODGE & COX STK FD            COM              256219106  29,830   244,711   SH        X                241,523      35   3,152
DODGE & COX STK FD            COM              256219106     261     2,143   SH        X                  1,911     231       0
DOLLAR TREE INC               COM              256746108     433    10,673   SH        X                 10,673       0       0
DOMINION RES INC VA NEW       COM              25746U109     276     5,334   SH        X                  4,170       0   1,164
DOMINION RES INC VA NEW       COM              25746U109      10       197   SH        X                     77     120       0
DOW CHEM CO                   COM              260543103     429    13,280   SH        X                 13,139       0     141
DUKE ENERGY CORP NEW          COM NEW          26441C204     732    11,468   SH        X                  8,748       0   2,720
DUKE ENERGY CORP NEW          COM NEW          26441C204      36       561   SH        X                    220     341       0
E M C CORP MASS               COM              268648102     371    14,667   SH        X                 14,667       0       0
ERHC ENERGY INC               COM              26884J104       1    10,000   SH        X                 10,000       0       0
ECOLAB INC                    COM              278865100     272     3,785   SH        X                  3,785       0       0
EMERSON ELEC CO               COM              291011104     357     6,737   SH        X                  6,737       0       0
EXPRESS SCRIPTS HLDG CO       COM              30219G108     891    16,503   SH        X                 16,503       0       0
EXXON MOBIL CORP              COM              30231G102   4,686    54,146   SH        X                 48,883   4,966     297
EXXON MOBIL CORP              COM              30231G102   1,197    13,830   SH        X                  5,230   8,600       0
FEDERATED EQUITY FDS          INTRCONTL I NST  314172461  17,727   358,846   SH        X                354,450      45   4,350
FEDERATED EQUITY FDS          INTRCONTL I NST  314172461     143     2,894   SH        X                  2,383     510       0
FEDERATED EQUITY FDS          STRG VAL DV INST 314172560     237    47,434   SH        X                 47,434       0       0
FIDELITY CONTRAFUND INC       NEW INSIGHTS I   316071604  57,700 2,506,534   SH        X              2,477,902     389  28,242
FIDELITY CONTRAFUND INC       NEW INSIGHTS I   316071604     505    21,945   SH        X                 20,585   1,359       0
FIRST M & F CORP              COM              320744105      71    10,202   SH        X                 10,202       0       0
FORD MTR CO DEL               COM PAR 1        345370860     465    35,881   SH        X                 35,552       0     329
GAZPROM O A O                 SPON ADR         368287207     160    17,025   SH        X                 17,025       0       0
GENERAL ELECTRIC CO           COM              369604103     505    24,050   SH        X                 22,575       0   1,475
GENERAL MLS INC               COM              370334104     257     6,360   SH        X                  6,360       0       0
GILEAD SCIENCES INC           COM              375558103     374     5,088   SH        X                  5,088       0       0
GLAXOSMITHKLINE PLC           SPONSORED ADR    37733W105     546    12,568   SH        X                  8,466       0   4,102
GLAXOSMITHKLINE PLC           SPONSORED ADR    37733W105      39       902   SH        X                    353     549       0
GOLDMAN SACHS GROUP INC       COM              38141G104     210     1,644   SH        X                  1,644       0       0
GOOGLE INC                    CL A             38259P508     687       971   SH        X                    966       0       5
RESTER ENTERPRISES LP 5%      INT              404005993     222         1   SH        X                      1       0       0
HSBC HLDGS PLC                SPON ADR NEW     404280406     261     4,920   SH        X                  4,355       0     565
RESTER ENTERPRISES LP 8%      INT              405002999     356         1   SH        X                      1       0       0


                                       4






                                                                                       INVESTMENT             ** VOTING
                                                                                       DISCRETION            AUTHORITY **
                                                                                     ---------------- -------------------------
                                   TITLE OF              MKT VAL  Shares/   SH/ PUT/ SOLE SHR OTH OTH    SOLE   SHARED    NONE
NAME OF ISSUER                      CLASS       CUSIP    x 1000   PRN Amt   PRN CALL  (A) (B) (C) MGR    (A)      (B)     (C)
----------------------------- ---------------- --------- ------- --------- ---- ---- ---- --- --- --- --------- ------- -------
                                                                                 
HALLIBURTON CO                COM              406216101     597    17,215   SH        X                 17,074       0     141
RESTER ENTERPRISES LP 8%      INT              407000991     356         1   SH        X                      1       0       0
DAVIS FAMILY HOLDINGS LP                       419002993     617         0   SH        X                              0       0
HEINZ H J CO                  COM              423074103     635    11,003   SH        X                  7,612       0   3,391
HEINZ H J CO                  COM              423074103      39       673   SH        X                    264     409       0
KEY COLONY                                     430004994     993         1   SH        X                              1       0
1JOHNSTON ENTERPRISES, L.P.                    432004992   1,380        54   SH        X                     54       0       0
GURDON TIMBER LTD 36.494%                      434002994     342         1   SH        X                      1       0       0
WOODLAND HILLS LIMITED PARTN                   435001995     205        25   SH        X                     25       0       0
SUNNYDALE LIMITED PARTNERSHI                   436001994   1,558        88   SH        X                     88       0       0
WEH PROPERTIES LIMITED PARTN                   436002992     410        86   SH        X                     86       0       0
CRICKET LIMITED PARTNERSHIP                    436003990     848        28   SH        X                     28       0       0
MCM TIMBER 3.021% INTEREST                     438002990     233         1   SH        X                      1       0       0
MCM TIMBER 3.020% INTEREST                     438003998     233         1   SH        X                      1       0       0
HONEYWELL INTL INC            COM              438516106     550     8,669   SH        X                  8,600       0      69
OAK GROVE LAND CO, L.P. 1 2.5                  440000990     219         2   SH        X                      2       0       0
REED HOLDINGS PARTNERSHIP, L                   441002995   1,239        68   SH        X                     68       0       0
HOSPIRA INC                   COM              441060100     267     8,560   SH        X                  8,485       0      75
HOSPIRA INC                   COM              441060100      12       400   SH        X                            400       0
MCCULLOCH PARTNERS, LTD 80.75                  443000997     395         6   SH        X                      6       0       0
CABEARK, LP 35.4444% INTERES                   443003991   1,414         1   SH        X                      1       0       0
DCT OPERATING PARTNERSHIP                      443004999     526    75,518   SH        X                 75,518       0       0
CABEARK, LP 63.5556% INTERES                   444003990   2,496         1   SH        X                      1       0       0
CABE-LONG PROPERTIES, LTD                      444005995     266         4   SH        X                      4       0       0
MCMILLON PROPERTIES L/P                        445000995   2,161        96   SH        X                     96       0       0
CABE-LONG PROPERTIES, LTD                      445001993   1,472         4   SH        X                      4       0       0
CABE-LONG PROPERTIES, LTD                      445003999   1,749         1   SH        X                      1       0       0
INTEREST IN L.D. HANCOCK CO                    448005991   7,798        16   SH        X                     16       0       0
TALL PINES, LLC                                449001999     971        50   SH        X                     50       0       0
DONOVAN INVESTMENTS, LLC                       449003995   4,811        99   SH        X                     99       0       0
TPH ENERGY EQUITY FUND LP                      450005996     703         1   SH        X                              0       0
LONGENECKER EQUITY II, LLC                     451000996   3,949        99   SH        X                     99       0       0
DTL, SR., L.P                                  452002991   7,905        53   SH        X                     53       0       0
10.0% INTEREST IN MCM TIMBER                   452005994   1,531         2   SH        X                      2       0       0
ILLINOIS TOOL WKS INC         COM              452308109     387     6,371   SH        X                  6,371       0       0
TRISTON & COMPANY, LLC                         453001992     243        90   SH        X                     90       0       0
INTEL CORP                    COM              458140100     493    23,887   SH        X                 22,892       0     995
INTEL CORP                    COM              458140100      66     3,200   SH        X                  3,200       0       0
INTERCONTINENTALEXCHANGE INC  COM              45865V100     286     2,312   SH        X                  2,312       0       0
INTERNATIONAL BUSINESS MACHS  COM              459200101   1,155     6,032   SH        X                  6,032       0       0
INTUITIVE SURGICAL INC        COM NEW          46120E602     325       663   SH        X                    660       0       3
INVESTMENT CO AMER            CL A             461308108   1,019    33,787   SH        X                 33,787       0       0
ISHARES TR                    MSCI AC WI EX    464288240   3,439    82,105   SH        X                 82,105       0       0
JPMORGAN CHASE & CO           COM              46625H100     396     9,012   SH        X                  8,572       0     440
JPMORGAN CHASE & CO           COM              46625H100      86     1,956   SH        X                          1,956       0
JANUS INVT FD                 GLOBAL SEL FDT   471023648     115    11,525   SH        X                                 11,525
JOHN HANCOCK FDS III          DISC VAL MCP I   47803W406  20,017 1,505,003   SH        X              1,488,024     168  16,810
JOHN HANCOCK FDS III          DISC VAL MCP I   47803W406     204    15,361   SH        X                 13,415   1,946       0
JOHNSON & JOHNSON             COM              478160104   1,837    26,208   SH        X                 24,017       0   2,191
JOHNSON & JOHNSON             COM              478160104     420     5,985   SH        X                  4,550   1,435       0
KBR INC                       COM              48242W106     589    19,683   SH        X                 19,548       0     135
KIMBERLY CLARK CORP           COM              494368103     464     5,495   SH        X                  3,963       0   1,532
KIMBERLY CLARK CORP           COM              494368103      22       263   SH        X                    103     160       0


                                       5






                                                                                       INVESTMENT             ** VOTING
                                                                                       DISCRETION            AUTHORITY **
                                                                                     ---------------- -------------------------
                                   TITLE OF              MKT VAL  Shares/   SH/ PUT/ SOLE SHR OTH OTH    SOLE   SHARED    NONE
NAME OF ISSUER                      CLASS       CUSIP    x 1000   PRN Amt   PRN CALL  (A) (B) (C) MGR    (A)      (B)     (C)
----------------------------- ---------------- --------- ------- --------- ---- ---- ---- --- --- --- --------- ------- -------
                                                                                 
KINGFISHER PLC                SPON ADR PAR     495724403     164    17,800   SH        X                 17,800       0       0
KRAFT FOODS GROUP INC         COM              50076Q106     535    11,769   SH        X                  8,448       0   3,321
KRAFT FOODS GROUP INC         COM              50076Q106      29       646   SH        X                    253     393       0
LIFE TECHNOLOGIES CORP        COM              53217V109     267     5,441   SH        X                  5,383       0      58
LILLY ELI & CO                COM              532457108     562    11,402   SH        X                  8,019       0   3,383
LILLY ELI & CO                COM              532457108      69     1,395   SH        X                  1,033     362       0
LINKEDIN CORP                 COM CL A         53578A108     235     2,043   SH        X                  2,018       0      25
LONGLEAF PARTNERS FDS TR      SH BEN INT       543069108     237     8,990   SH        X                  8,990       0       0
LOWES COS INC                 COM              548661107     224     6,300   SH        X                  6,300       0       0
MANULIFE FINL CORP            COM              56501R106     267    19,625   SH        X                 19,625       0       0
MCDONALDS CORP                COM              580135101     699     7,920   SH        X                  6,864       0   1,056
MCDONALDS CORP                COM              580135101      24       268   SH        X                    105     163       0
MEAD JOHNSON NUTRITION CO     COM              582839106     305     4,625   SH        X                  4,610       0      15
1MERCK & CO INC NEW           COM              58933Y105     678    16,568   SH        X                 11,729       0   4,839
MERCK & CO INC NEW            COM              58933Y105      33       809   SH        X                    317     492       0
METLIFE INC                   COM              59156R108     292     8,857   SH        X                  8,729       0     128
MICROSOFT CORP                COM              594918104   1,374    51,430   SH        X                 50,266       0   1,164
MONTGOMERY EXPLORATION                         601A5Z991     211         1   SH        X                      1       0       0
MONDELEZ INTL INC             CL A             609207105     311    12,205   SH        X                 11,275       0     930
MOSAIC CO NEW                 COM              61945C103     601    10,618   SH        X                 10,543       0      75
DONOVAN JOINT VENTURE                          621201219     300        60   SH        X                     60       0       0
MURPHY OIL CORP               COM              626717102   4,792    80,464   SH        X                 80,464       0       0
MURPHY OIL CORP               COM              626717102 324,129 5,442,967   SH        X              5,442,967       0       0
MUTUAL SER FD INC             GBL DISCVR FDZ   628380404  43,771 1,528,330   SH        X              1,510,278     214  17,837
MUTUAL SER FD INC             GBL DISCVR FDZ   628380404     340    11,873   SH        X                 11,028     844       0
NYSE EURONEXT                 COM              629491101     488    15,472   SH        X                 15,472       0       0
NATIONAL GRID PLC             SPON ADR NEW     636274300     603    10,493   SH        X                  6,807       0   3,686
NATIONAL GRID PLC             SPON ADR NEW     636274300      44       760   SH        X                    297     463       0
NETAPP INC                    COM              64110D104     320     9,528   SH        X                  9,528       0       0
NEW PERSPECTIVE FD INC        COM              648018109     591    18,896   SH        X                 18,896       0       0
NORDSTROM INC                 COM              655664100     318     5,940   SH        X                  5,940       0       0
NORFOLK SOUTHERN CORP         COM              655844108     578     9,342   SH        X                  9,280       0      62
O REILLY AUTOMOTIVE INC NEW   COM              67103H107     761     8,509   SH        X                  8,494       0      15
OCCIDENTAL PETE CORP DEL      COM              674599105     629     8,212   SH        X                  8,164       0      48
ON SEMICONDUCTOR CORP         COM              682189105     328    46,503   SH        X                 46,091       0     412
ORACLE CORP                   COM              68389X105     469    14,084   SH        X                 14,084       0       0
PDL BIOPHARMA INC             COM              69329Y104     153    21,800   SH        X                         21,800       0
PPL CORP                      COM              69351T106     284     9,931   SH        X                  6,481       0   3,450
PPL CORP                      COM              69351T106      20       715   SH        X                    280     435       0
PEPSICO INC                   COM              713448108     839    12,260   SH        X                 11,566             694
PEPSICO INC                   COM              713448108      85     1,241   SH        X                     54   1,187       0
PFIZER INC                    COM              717081103     309    12,316   SH        X                 12,316       0       0
PFIZER INC                    COM              717081103      36     1,420   SH        X                    720     700       0
PHILIP MORRIS INTL INC        COM              718172109     845    10,106   SH        X                  8,963       0   1,143
PHILIP MORRIS INTL INC        COM              718172109      15       183   SH        X                     70     113       0
POTASH CORP SASK INC          COM              73755L107     413    10,140   SH        X                 10,140       0       0
PRAXAIR INC                   COM              74005P104     322     2,940   SH        X                  2,940       0       0
PRECISION CASTPARTS CORP      COM              740189105     620     3,274   SH        X                  3,254       0      20
PRICE T ROWE GROUP INC        COM              74144T108     670    10,287   SH        X                 10,287       0       0
PRICE T ROWE GROWTH STK FDI   COM              741479109  29,703   786,205   SH        X                776,108     112   9,984
PRICE T ROWE GROWTH STK FDI   COM              741479109     316     8,361   SH        X                  7,521     840       0
PRICELINE COM INC             COM NEW          741503403     269       434   SH        X                    434       0       0
PROCTER & GAMBLE CO           COM              742718109   2,489    36,669   SH        X                 35,914       0     755
PROCTER & GAMBLE CO           COM              742718109     418     6,160   SH        X                  6,063      97       0


                                       6






                                                                                       INVESTMENT             ** VOTING
                                                                                       DISCRETION            AUTHORITY **
                                                                                     ---------------- -------------------------
                                   TITLE OF              MKT VAL  Shares/   SH/ PUT/ SOLE SHR OTH OTH    SOLE   SHARED    NONE
NAME OF ISSUER                      CLASS       CUSIP    x 1000   PRN Amt   PRN CALL  (A) (B) (C) MGR    (A)      (B)     (C)
----------------------------- ---------------- --------- ------- --------- ---- ---- ---- --- --- --- --------- ------- -------
                                                                                 
PRUDENTIAL FINL INC           COM              744320102     367     6,888   SH        X                  6,839       0      49
QUALCOMM INC                  COM              747525103     606     9,804   SH        X                  9,804       0       0
REGIONS FINL CORP NEW         COM              7591EP100     521    73,027   SH        X                 66,728       0   6,299
RENASANT CORP                 COM              7.60E+111     983    51,333   SH        X                 51,333       0       0
REYNOLDS AMERICAN INC         COM              761713106     460    11,093   SH        X                  7,516       0   3,577
REYNOLDS AMERICAN INC         COM              761713106      35       834   SH        X                    327     507       0
ROCKWELL AUTOMATION INC       COM              773903109     276     3,282   SH        X                  3,242       0      40
ROWE T PRICE EQUITY INCOME F  SH BEN INT       779547108  56,722 2,144,487   SH        X              2,119,356     339  24,791
ROWE T PRICE EQUITY INCOME F  SH BEN INT       779547108     506    19,114   SH        X                 17,997   1,117       0
ROWE T PRICE MID-CAP GROWTH   COM              779556109  18,435   326,463   SH        X                321,318      36   5,107
ROWE T PRICE MID-CAP GROWTH   COM              779556109     147     2,611   SH        X                  2,016     595       0
ROYAL DUTCH SHELL PLC         SPON ADR B       780259107     677     9,554   SH        X                  6,566       0   2,988
ROYAL DUTCH SHELL PLC         SPON ADR B       780259107     152     2,149   SH        X                  1,785     364       0
ROYAL DUTCH SHELL PLC         SPONS ADR A      780259206     624     9,045   SH        X                  8,991       0      54
ROYAL DUTCH SHELL PLC         SPONS ADR A      780259206     223     3,237   SH        X                  3,237       0       0
ROYCE FD                      PENN MUT INV     780905840  12,028 1,045,944   SH        X              1,031,223     105  14,615
ROYCE FD                      PENN MUT INV     780905840      87     7,590   SH        X                  5,620   1,970       0
SALLY BEAUTY HLDGS INC        COM              7.95E+108     337    14,295   SH        X                 14,295       0       0
SCHLUMBERGER LTD              COM              806857108     280     4,041   SH        X                  4,041       0       0
1SHERWIN WILLIAMS CO          COM              824348106     498     3,235   SH        X                  3,235       0       0
SIMMONS 1ST NATL CORP         CL A $1 PAR      828730200     268    10,566   SH        X                 10,566       0       0
SOUTHERN CO                   COM              842587107   3,129    73,088   SH        X                 69,427       0   3,661
SOUTHERN CO                   COM              842587107     237     5,531   SH        X                  5,010     521       0
STANLEY BLACK & DECKER INC    COM              854502101     242     3,274   SH        X                  3,236       0      38
STRYKER CORP                  COM              863667101     433     7,892   SH        X                  7,892       0       0
SUPERIOR ENERGY SVCS INC      COM              868157108     278    13,402   SH        X                 13,274       0     128
SYMANTEC CORP                 COM              871503108     587    31,197   SH        X                 30,941       0     256
TJX COS INC NEW               COM              872540109     584    13,757   SH        X                 13,757       0       0
TARGET CORP                   COM              8.76E+110     614    10,376   SH        X                 10,307       0      69
TOTAL S A                     SPON ADR A       8.92E+113     577    11,103   SH        X                  7,615       0   3,488
TOTAL S A                     SPON ADR A       8.92E+113      42       813   SH        X                    319     494       0
TRIMBLE NAVIGATION LTD        COM              896239100     554     9,266   SH        X                  9,196       0      70
TRUSTMARK CORP                COM              898402102   1,243    55,361   SH        X                 55,361       0       0
UNION PAC CORP                COM              907818108     331     2,629   SH        X                  2,608       0      21
UNION PAC CORP                COM              907818108     402     3,200   SH        X                          3,200       0
UNITED TECHNOLOGIES CORP      COM              913017109     338     4,119   SH        X                  4,119       0       0
V F CORP                      COM              918204108     678     4,489   SH        X                  4,489       0       0
VALERO ENERGY CORP NEW        COM              91913Y100     411    12,054   SH        X                 11,921       0     133
VANGUARD WORLD FD             MEGA CAC INDEX   921910873   7,557   154,761   SH        X                154,761       0       0
VANGUARD INDEX FDS            MID CAP ETF      922908629   2,564    31,096   SH        X                 31,096       0       0
VANGUARD INDEX FDS            SMALL CAP ETF    922908751   1,534    18,966   SH        X                 18,966       0       0
VERIZON COMMUNICATIONS INC    COM              92343V104     901    20,822   SH        X                 16,282       0   4,540
VERIZON COMMUNICATIONS INC    COM              92343V104      75     1,724   SH        X                    364   1,360       0
VISA INC                      COM CL A         92826C839     551     3,632   SH        X                  3,632       0       0
VODAFONE GROUP PLC NEW        SPONS ADR NEW    92857W209     975    38,707   SH        X                 31,264       0   7,443
VODAFONE GROUP PLC NEW        SPONS ADR NEW    92857W209      50     1,973   SH        X                    580   1,393       0
WUXI PHARMATECH CAYMAN INC    SPONS ADR SHS    929352102     158    10,034   SH        X                 10,034       0       0
WAL-MART STORES INC           COM              931142103   1,342    19,670   SH        X                 19,670       0       0
WASHINGTON MUT INVS FD INC    COM              939330106     944    30,244   SH        X                 30,244       0       0
WINDSTREAM CORP               COM              97381W104      84    10,129   SH        X                  6,908       0   3,221
WINDSTREAM CORP               COM              97381W104       6       754   SH        X                    296     458       0
YUM BRANDS INC                COM              988498101     914    13,761   SH        X                 13,761       0       0
                                                                                                                      0       0
FINAL TOTALS                                             826,831                                                      0       0

FORM 13F INFORMATION TABLE ENTRY TOTAL           266


                                       7