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

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2001

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: James C. Kelly, Jr.

Title: Vice President and Trust Operations Manager

Phone: (601) 944-3583

Signature, Place, and Date of Signing:


  /s/ James C. Kelly, Jr.             Jackson, Mississippi          May 9, 2003
----------------------------          --------------------          -----------
        [Signature]                      [City, State]                [Date]

EXPLANATORY NOTE:

         This Form 13F was timely filed by BancorpSouth, Inc. on November 14,
2001 for the three months ended September 30, 2001, but was inadvertently filed
under the Form 13F File Number ("File Number") of First United Bancshares, Inc.
rather than under BancorpSouth's File Number. First United Bancshares was
merged with and into BancorpSouth on August 31, 2000. BancorpSouth is re-filing
this Form 13F under the correct File Number of BancorpSouth.

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: 0

Form 13F Information Table Entry Total: 331

Form 13F Information Table Value Total: $278,154 (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. NONE.



                           FORM 13F INFORMATION TABLE



                                                                                                        VOTING AUTHORITY
                       TITLE OF                 VALUE     SHARES/ SH/   PUT/   INVSTMT     OTHER     -----------------------
NAME OF ISSUER         CLASS          CUSIP    (X$1000)  PRN AMT  PRN   CALL   DSCRETN    MANAGERS    SOLE    SHARED    NONE
--------------         --------       -----    --------  -------  ---   ----   -------    --------   ------   ------    ----

                                                                                     
LUKS INDUSTRIAL CO                  G5696D102       0        800  SH           DEFINED                  800       0       0
ABBOTT LAB                          002824100    1695      32715  SH            SOLE                  30115     300    2300
ABBOTT LAB                          002824100     294       5688  SH           DEFINED                  200    4288    1200
GRUY PETRO MGMT
  WALKER CREEK          WALKER
                        CREEK       002995363       0          1  PRN           SOLE                      1       0       0
ATLANTA EXP-CRONE
  12-96                             003995362       0          1  SH            SOLE                      1       0       0
ADAMS EXPRESS CO          COM       006212104     144       9692  SH            SOLE                   9692       0       0
AETNA INC                 COM       00817Y108       5        200  SH           DEFINED                    0       0     200
ART MACHIN ASSOC
  109-01                            008990103       0          1  PRN           SOLE                      1       0       0
AIR PRODS &
  CHEMS INC               COM       009158106      15        400  SH           DEFINED                    0       0     400
PETROQUEST
EXPLORATION                         009990102       0          1  PRN           SOLE                      1       0       0
ALLERGAN INC                        018490102      13        210  SH            SOLE                    210       0       0
AEROPRES DIV #2240                  018990101       0          1  PRN           SOLE                      1       0       0
ALLIED CAP CORP         COM NEW     01903Q108       6        300  SH            SOLE                    300       0       0
ALLTEL CORP                         020039103     652      11265  SH           DEFINED                 5965       0    5300
AMERICAN ELECTRIC
POWER                               025537101     219       5072  SH            SOLE                   3672       0    1400
AMERICAN ELECTRIC
  POWER                             025537101      21        498  SH           DEFINED                  318       0     180
AMER EXPRESS CO                     025816109     139       4800  SH            SOLE                   4800       0       0
AMER HOME PROD CORP                 026609107     326       5600  SH            SOLE                   5600       0       0
AMER HOME PROD CORP                 026609107     268       4615  SH           DEFINED                 3100       0    1515
ATLANTA EXP-NEW
  HOPE EXPAND 10/98                 026995365       0          1  PRN           SOLE                      1       0       0
AMERICAN MUTUAL
  FUND INC                          02768110R      28       1237  SH            SOLE                   1237       0       0
AMERICAN MUTUAL
  FUND INC                          0276B110R     198       8554  SH           DEFINED                 8554       0       0
ANADARKO PETE CORP                  032511107      70       1464  SH           DEFINED                    0    1464       0
ATLANTA EXP
WARECREEK LSE                       036995363       0          1  PRN           SOLE                      1       0       0
APPLE COMP INC                      037833100       7        505  SH            SOLE                    505       0       0
APPLE COMP INC                      037833100      49       3200  SH           DEFINED                    0    3200       0
ARCHER-DANIELS-
  MIDLAND COMPANY                   039483102       3        279  SH            SOLE                      0       0     279
AUTO DATA PROCESS                   053015103     244       5200  SH            SOLE                   4400       0     800
AUTO DATA PROCESS                   053015103     150       3200  SH           DEFINED                 3200       0       0
AUTOZONE                            053332102      51       1000  SH            SOLE                   1000       0       0
AUTOZOHE                            053332102      27        530  SH           DEFINED                  530       0       0
AVENTIS              SPONSORED ADR  053561106       7         98  SH            SOLE                     98       0       0
AXCELIS
  TECHNOLOGIES INC                  054540109      20       2181  SH            SOLE                   2181       0       0
BODCAW BANK                         056004997     767        853  SH            SOLE                    795       0      58
BODCAW BANK                         056004997       5          6  SH           DEFINED                    6       0       0
BAKER HUGHES INC          COM       057224107       3        135  SH            SOLE                    135       0       0
BANCORPSOUTH INC                    059692103   13596     882876  SH            SOLE                 720256  145433   17187
BANKAMERICA CORP        COM NEW     060505104    1259      21570  SH            SOLE                  21570       0       0
BANKAMERICA CORP        COM NEW     060505104     158       2710  SH           DEFINED                  300       0    2410
BANK OF THE
  OZARKS, INC                       063904106     517      23800  SH           DEFINED                    0   23800       0
BAXTER INTL INC                     071813109     221       4030  SH            SOLE                   2030       0    2000
13 PORTERS
  CHAPEL ROAD         RENT-SPROUSE  078995362       0          1  PRN           SOLE                      1       0       0
BELLSOUTH CORP                      079860102    1775      42748  SH            SOLE                  39666    2442     640
BELLSOUTH CORP                      079860102      30        732  SH           DEFINED                  732       0       0
BERKSHIRE
  HATHAWAY "A"                      084670108      70          1  SH            SOLE                      1       0       0






                                                                                                        VOTING AUTHORITY
                       TITLE OF                 VALUE     SHARES/ SH/   PUT/   INVSTMT     OTHER     -----------------------
NAME OF ISSUER         CLASS          CUSIP    (X$1000)  PRN AMT  PRN   CALL   DSCRETN    MANAGERS    SOLE    SHARED    NONE
--------------         --------       -----    --------  -------  ---   ----   -------    --------   ------   ------    ----

                                                                                     
BETHLEHEM STL CORP    PFD CV $2.50  087509402       3       1100  SH            SOLE                   1100        0     0
BLACKBURN MTR NV                    088995360    1447       1577  SH            SOLE                   1577        0     0
BOEING INC                          097023105     242       7227  SH            SOLE                   5927        0  1300
BOEING INC                          097023105      13        400  SH           DEFINED                  100        0   300
BRISTOL MYERS
  SQUIBB CO                         110122108    1721      30990  SH            SOLE                  30990        0     0
BRISTOL MYERS
  SQUIBB CO                         110122108     261       4700  SH           DEFINED                 4700        0     0
BULL RUN CORP
  GEORGIA                           120182100       4       3400  SH            SOLE                   3400        0     0
BURLINGTON
  NORTHERN/SANTA FE
  CORP                              12189T104      24        930  SH            SOLE                    930        0     0
CLECO CORP                COM       12561W105      12        600  SH            SOLE                    600        0     0
CITGO 0380600014                    130990104       0             PRN           SOLE                      1        0     0
CITGO 0380600011                    131990103       0             PRN           SOLE                      1        0     0
CITGO 03806000010                   132990102       0             PRN           SOLE                      1        0     0
CABE LAND COMPANY
  AKA CABE             CATTLE CO.   133005991    1619       1767  SH            SOLE                  12586        0  5086
CAMPBELL SOUP CO          COM       134429109      11         40  SH            SOLE                      0        0   400
CITGO 0380600015                    134990100       0             PRN           SOLE                      1        0     0
CABE/LONG MANAGMENT                 135000990     311     311294  SH            SOLE                 311294        0     0
CABE INVESTMENTS INC                135005999     311     311294  SH            SOLE                 311294        0     0
LION OIL 68-0366                    135990109       0          1  PRN           SOLE                      1        0     0
CAPITAL ONE FINL
  CORP                    COM       14040H105     244       5315  SH            SOLE                    515        0  4800
CARDINAL HEALTH INC       COM       14149Y108      33        447  SH            SOLE                      0        0   447
CATERPILLAR INC                     149123101     472      10555  SH            SOLE                  10455        0   100
CELL PATHWAYS INC                   15114R101       0        100  SH            SOLE                    100        0     0
CHEVRON CORP                        166751107    1107      13073  SH            SOLE                  12073        0  1000
CHEVRON CORP                        166751107     257       3043  SH           DEFINED                 2643        0   400
CHUBB CORPORATION                   171232101     392       5500  SH            SOLE                   5500        0     0
COCA COLA CO                        191216100    1871      39955  SH            SOLE                  32350     1000  6605
COCA COLA CO                        191216100     285       6100  SH           DEFINED                  100        0  6000
COLGATE-PALMOLIVE CO                194162103     394       6773  SH            SOLE                   6773        0     0
COLGATE-PALMOLIVE CO                194162103      11        200  SH           DEFINED                    0        0   200
COMCAST                             200300200      28        800  SH           DEFINED                  800        0     0
COMPAQ COMPUTER CORP                204493100     193      23315  SH            SOLE                  2261S        0   700
COMPUTER ASSOC
  INTL INC                COM       204912109      20        800  SH            SOLE                    800        0     0
CONAGRA FOODS INC         COM       205887102      13        600  SH            SOLE                    600        0     0
CONAGRA FOODS INC         COM       205887102       4        200  SH           DEFINED                  200        0     0
CONECTIV INC              COM       206829103      15        675  SH            SOLE                    675        0     0
CONSECO STRATEGIC
  INC FD               SH BEN INT   20847A102       7        866  SH            SOLE                    866        0     0
CONSOLIDATED EDISON
  INC COM                           209115104      41       1028  SH            SOLE                   1028        0     0
CONSTELLATION
  ENERGY CORP                       210371100       9        400  SH           DEFINED                  400        0     0
CORNING INC                         219350105      15       1800  SH            SOLE                   1800        0     0
DPL INC                   COM       233293109      48       1985  SH            SOLE                   1985        0     0
DANA CORP                           235811106      13        866  SH            SOLE                    866        0     0
DEAN FOODS CO                       242361103      18        400  SH            SOLE                    400        0     0
DELTA AIRLINES INC                  247361108       5        200  SH            SOLE                    200        0     0
DELTIC TIMBER INC                   247850100     453      17940  SH            SOLE                  17940        0     0
DELTIC TIMBER INC                   247850100   16336     645971  SH           DEFINED                    0   645543   428
DIAMOND OFFSHORE
  DRILLING INC                      25271C102       1         50  SH            SOLE                     50        0     0
WALT DISNEY CO                      254687106      14        760  SH            SOLE                    760        0     0
WALT DISNEY CO                      254687106       3        200  SH           DEFINED                  200        0     0
DOW CHEMICAL CO                     260543103    1008      30794  SH            SOLE                  30794        0     0
DOW CHEMICAL CO                     260543103      15        483  SH           DEFINED                  483        0     0
DREYFUS MUNICIPAL
  BOND FUND                         26201Q104      46       3881                SOLE                   3881        0     0






                                                                                                        VOTING AUTHORITY
                       TITLE OF                 VALUE     SHARES/ SH/   PUT/   INVSTMT     OTHER     -----------------------
NAME OF ISSUER         CLASS          CUSIP    (X$1000)  PRN AMT  PRN   CALL   DSCRETN    MANAGERS    SOLE    SHARED    NONE
--------------         --------       -----    --------  -------  ---   ----   -------    --------   ------   ------    ----

                                                                                     
DU PONT EI D
  NEMOURS & CO                      263534109   277        7397   SH            SOLE                   7397     0        0
DUKE ENERGY CORP            COM     264399106   229        6054   SH            SOLE                   6054     0        0
DUKE ENERGY CORP            COM     264399106     7         200   SH           DEFINED                  200     0        0
DYNEX CAP INC             COM NEW   26817Q506     0         106   SH           DEFINED                  106     0        0
EEX CORP                  COM NEW   26842V207     0          66   SH            SOLE                     66     0        0
EQUINOX - OPHILIA
  TODD 10400                        271995367     0           1   PRN           SOLE                      1     0        0
ALBEMARLE CORP
  (ETHYL)                           274990100     0           1   PRN           SOLE                      1     0        0
UNIT AGREEMENT-
  SMACKOVERUNIT                     275995363     0           1   PRN           SOLE                      1     0        0
EASTMAN KODAK CO                    277461109    34        1050   SH            SOLE                   1050     0        0
EATON CORP                  COM     278058102    97        1650   SH            SOLE                   1650     0        0
ECHELON CORP                        27874N105     1         100   SH            SOLE                    100     0        0
A.G. EDWARDS INC                    281760108    11         325   SH            SOLE                    325     0        0
ATLANTA EXPLORATION
  PISG PRO                          281995365     0           1   PRN           SOLE                      1     0        0
ATLANTA EXPLORATION
  WARE CR                           282995364     0           1   PRN           SOLE                      1     0        0
ELECTRONIC DATA SYS
  CORP                      NEW     285661104    no        2963   SH            SOLE                   2963     0        0
ELECTRONIC DATA SYS
  CORP                      NEW     285661104     0           8   SH           DEFINED                    8     0        0
EMERSON ELECTRIC CO                 291011104   112        2400   SH            SOLE                   2400     0        0
EMERSON ELECTRIC CO                 291011104    16         350   SH           DEFINED                  350     0        0
ENCORE WIRE CORP            COM     292562105   270       20900   SH            SOLE                  13900     0     7000
ENRON CORP                          293561106    21         800   SH            SOLE                    800     0        0
ENTERGY 65 SERIES
  PRD 4.56%                         29364D407     1          18   SH            SOLE                     18     0        0
ENTERGY ARK INC PFD
  $6.08                             29364D605     4          60   SH            SOLE                     60     0        0
ENTERGY ARK INC PFD
  $7.32                             29364D704    21         229   SH            SOLE                    229     0        0
ENTERGY ARK INC PFD
  $7.80                             29364D803    10         100   SH            SOLE                    100     0        0
ENTERGY ARK INC PFD
  $7.40                             29364DB29     8          90   SH            SOLE                     90     0        0
ENTERGY ARK INC PFD
  $7.88                             29364D852    14         145   SH            SOLE                    145     0        0
ENTERGY CORP                        29364G103   188        5298   SH            SOLE                   4298     0     1000
ENTERGY CORP                        29364G103    21         593   SH           DEFINED                  593     0        0
CHALLENGE OPT
  ROBERSON#1ARK                     301990107     0           1   PRN           SOLE                      1     0        0
FLOWEREE PLANTING
  LSE 1-1-98                        301995361     0           1   PRN           SOLE                      1     0        0
FPL GROUP INC                       302571104    31         580   SH            SOLE                    580     0        0
FNMA                        COM     313586109   128        1600   SH            SOLE                   1600     0        0
FEDERAL REALTY INVT        SH BEN
  TR                       INT NEW  313747206    15         685   SH            SOLE                    685     0        0
1ST CENTURY
  BANKSHARES                        319426102    16        1000   SH            SOLE                   1000     0        0
FIRST NAT'L
  ENTERTAINMENT CORP                320940109     0         388   SH           DEFINED                  388     0        0
FIRST COMMUNITY
  BANK NA                   NPT     329000996     2        2000   SH            SOLE                   2000     0        0
ADV FUND MS TRS                     33732A210     9          24                 SOLE                     24     0        0
1ST TRS ADVAN SER
  195 MSTR9                         33732C745    33          35   SH            SOLE                     35     0        0
1ST TRUST ADV UIT
  SER 32 MS TRUST 1                 337320675     3          15                 SOLE                     15     0        0
1ST TRS ADVAN SER
  38 MSTR2                          337320865     3          20   SH            SOLE                     20     0        0
FLUOR CORP                          343412102    11         300   SH            SOLE                    300     0        0
FLUOR CORP                          343412102     3          96   SH           DEFINED                   96     0        0
FOAMEX INT'L INC                    344123104   123       20050   SH            SOLE                  20050     0        0
FORD MTR CO CAP TR I      TOPRS 9%  345343206    25        1000   SH            SOLE                   1000     0        0
GAP INC DEL                 COM     364760108    17        1500   SH            SOLE                   1500     0        0
GENERAL ELECTRIC CO                 369604103  4951      133108   SH            SOLE                 131478   450     1180
GENERAL ELECTRIC CO                 369604103   226        6100   SH           DEFINED                 1700     0     4400
GENERAL MLS INC             COM     370334104    32         720   SH            SOLE                    720     0        0
GENERAL MLS INC             COM     370334104     0          20   SH           DEFINED                    0     0       20
GEN MTR CORP                        370442105    28         673   SH            SOLE                    407    66      200
GENOME THERAPEUTICS
  CORP                      COM     372430108     5        1000   SH            SOLE                      0     0     1000






                                                                                                        VOTING AUTHORITY
                       TITLE OF                 VALUE     SHARES/ SH/   PUT/   INVSTMT     OTHER     -----------------------
NAME OF ISSUER         CLASS          CUSIP    (X$1000)  PRN AMT  PRN   CALL   DSCRETN    MANAGERS    SOLE    SHARED    NONE
--------------         --------       -----    --------  -------  ---   ----   -------    --------   ------   ------    ----

                                                                                     
GEORGIA PAC CORP                    373298108   178        6202   SH            SOLE                   5802       0    400
GEORGIA PAC TIMBER
  GROUP                             373298702    13         360   SH            SOLE                    360       0      0
GERON CORP                 COM      374163103     2         300   SH            SOLE                    300       0      0
SCUDDER GLOBAL
  DISCOVERY FD                      378947501    11         544   SH            SOLE                    544       0      0
GLOBAL MARINE INC          COM      379352404     8         575   SH            SOLE                    575       0      0
GLOBAL SPORTS INC                   37937A107     0          29   SH            SOLE                     29       0      0
GOODYEAR TIRE &
  RUBBER                            382550101    31        1718   SH            SOLE                   1192       0    526
GREAT LAKES CHEM
  CORP                     COM      390568103    39        1785   SH           DEFINED                    0    1785      0
GUARANTY BANCSHARES
  INC TEX                  COM      400764106     2         200   SH            SOLE                      0       0    200
GUIDANT CORP               COM      401698105   169        4400   SH            SOLE                   4300       0    100
HARRIS
  SHORT/INTERMEDIATE    BOND CL I   40429960R    70        6691   SH            SOLE                   6691       0      0
BURNS/PERKIS
  OIL/GAS11-1999                    408995363     0           1   PRN           SOLE                      1       0      0
HANCOCK FABRICS                     409900107    13        1600   SH            SOLE                   1600       0      0
HANCOCK HLDG CO         CAP VALUE   410120109   117        2897   SH            SOLE                   2897       0      0
HARRIS CORP                         413875105    47        1494   SH            SOLE                   1494       0      0
HARRIS EQUITY
  INCOME FUND                       41454B10R    76        5010   SH            SOLE                   5010       0      0
HARTFORD FNCL SV
  GRP INC                  COM      416515104    11         200   SH           DEFINED                  200       0      0
                                    418056107    11         787   SH           DEFINED                  787       0      0
HATTERAS INCOME
  SECS INC                 COM      419025101     2         200   SH            SOLE                    200       0      0
HEWLETT PACKARD CO                  428236103   203       12672   SH            SOLE                   9822       0   2850
HEWLETT PACKARD CO                  428236103     6         400   SH           DEFINED                    0       0    400
HIBERNIA CORP                       428656102  6091      372786   SH            SOLE                 371886       0    900
HIBERNIA CORP                       428656102    14         900   SH           DEFINED                  900       0      0
HIGHLANDS INS GROUP                 431032101    29       12000   SH            SOLE                  12000       0      0
HOME DEPOT                          437076102   820       21397   SH            SOLE                  16922    4050    425
HOME DEPOT                          437076102    58        1532   SH           DEFINED                  882       0    650
HOMEFED CORP             COM NEW    43739D208     3        4028   SH           DEFINED                    0    4028      0
HOPEWELL HLDGS LTD    SPONSORED ADR 439555301     6       14600   SH           DEFINED                    0   14600      0
HUBBELL INC               CL B      443510201    29        1000   SH            SOLE                   1000       0      0
ICN PHARMACEUTICALS
  INC                    COM NEW    448924100    13         525   SH            SOLE                      0       0    525
INS MUN-IHC TRS 198                 45808G723     0           5                 SOLE                      5       0      0
UTS INSURED MUNI
  INC TR#8297                       45808V266     7          10                DEFINED                   10       0      0
INS MUN-INC TRS 116                 458084837     1           6                 SOLE                      6       0      0
INTEL CORP CAP                      458140100   936       45844   SH            SOLE                  41894    2700   1250
INTEL CORP CAP                      458140100    90        4430   SH           DEFINED                  230       0   4200
IBM CORP                            459200101  3382       36880   SH            SOLE                  33830     400   2650
IBM CORP                            459200101   116        1275   SH           DEFINED                  475     800      0
INTL PAPER CO                       460146103   165        4748   SH            SOLE                   4698       0     50
INTL PAPER CO                       460146103    50        1450   SH           DEFINED                  150    1100    200
JANUS WORLDWID FUND
  #41                               471023309    25         661   SH            SOLE                    661       0      0
JEFFERSON PILOT
  CORPORATION                       475070108    20         450   SH           DEFINED                    0       0    450
JOHNSON & JOHNSON                   478160104  3015       54426   SH            SOLE                  54026       0    400
JOHNSON & JOHNSON                   478160104   520        9400   SH           DEFINED                 4600    1200   3600
KANSAS CITY PWR &
  LT CO                    COM      485134100    74        2855   SH            SOLE                   2855       0      0
KELLOGG CO                          487836108     6         200   SH            SOLE                    200       0      0
C SIMMONS LSE EXP
  12/31/06                          490990108     0           1   PRN           SOLE                      1       0      0
KERR-MCGEE
  CORPORATION INC                   492386107     1          25   SH            SOLE                     25       0      0
LION OIL 68-0261 RI
  & ORI                             493990105     0           1   PRN           SOLE                      1       0      0
LION OIL 05-0260
  680260(246)                       493995369     0           1   PRN           SOLE                      1       0      0
LION OIL 48-0260 RI
  & ORI                             494990104     0           1   PRN           SOLE                      1       0      0
LION OIL 05-0261
  (DRIP)                            494995368     0           1   PRN           SOLE                      1       0      0






                                                                                                        VOTING AUTHORITY
                       TITLE OF                 VALUE     SHARES/ SH/   PUT/   INVSTMT     OTHER     -----------------------
NAME OF ISSUER         CLASS          CUSIP    (X$1000)  PRN AMT  PRN   CALL   DSCRETN    MANAGERS    SOLE    SHARED    NONE
--------------         --------       -----    --------  -------  ---   ----   -------    --------   ------   ------    ----

                                                                                     
LION OIL CO
  #18-1896                          496990102       0          1  PRN           SOLE                      1         0     0
WICKFORD ENERGY
  DO#9601100                        498990100       0          1  PRN           SOLE                      1         0     0
LTV CORP                *W EXP
                      06/28/1998    501921126       0          1  SH            SOLE                      0         0     1
LTV CORP 1.25
  SERIES                            502210800       0         14  SH            SOLE                      0         0    14
LACLEDE GAS CO            COM       505588103       7        300  SH            SOLE                    300         0     0
LACLEDE GAS CO            COM       505588103      21        900  SH           DEFINED                  900         0     0
LEAR CORP                 COM       521865105       2        100  SH            SOLE                    100         0     0
LEXMARK INTL MEW         CL A       529771107       8        190  SH            SOLE                    190         0     0
COLONIAL TAX EXEMPT
  FUND A                            53054410R     144      10848                SOLE                  10383         0   465
LOUISIANA COMPANIES                 540000999       0         36  SH            SOLE                      0         0    36
MERLIN MORRIS
  FARMS INC.                        546001991       2       2679  SH            SOLE                   2679         0     0
LOUISIANA PAC CORP                  546347105       6       1016  SH            SOLE                   1016         0     0
MCDONALD'S CORP                     580135101     233       8600  SH            SOLE                   8600         0     0
MCDONALD'S CORP                     580135101      16        600  SH           DEFINED                    0         0   600
MEDTRONIC INC             COM       585055106      63       1460  SH            SOLE                   1460         0     0
MELLON FINL CORP                    58551A108      32       1000  SH            SOLE                    200         0   800
MERCK & CO INC                      589331107    2527      37952  SH            SOLE                  34927       250  2775
MERCK & CO INC                      589331107     256       3850  SH           DEFINED                 1900         0  1950
MERRILL LYNCH CORP
  BD FD INCHI INCOME
  CL A                              590907101      11       2536  SH            SOLE                   2536         0     0
METLIFE INC               COM       59156R108       4        148  SH            SOLE                    148         0     0
MICROSOFT CORP                      594918104     985      19255  SH            SOLE                  18705       100   450
MICROSOFT CORP                      594918104      20        400  SH           DEFINED                    0         0   400
MISSISSIPPI CHEMICAL                598001998       0          2  SH            SOLE                      2         0     0
MINNESOTA MNG &
  MFG CO                            604059105     114       1166  SH            SOLE                   1166         0     0
MORRISSEY DEV. CO.                  618994156      25        400  SH            SOLE                    400         0     0
MOTOROLA INC                        620076109     377      24213  SH            SOLE                  22183         0  2030
MOTOROLA INC                        620076109     218      13980  SH           DEFINED                13680         0   300
THE MUN INSURED
  NAT'L TR S5                       626223242       0          5  SH            SOLE                      5         0     0
MURPHY OIL CORP           COM       626717102    3742      51714  SH            SOLE                  51714         0     0
MURPHY OIL CORP           COM       626717102  169116    2337153  SH           DEFINED                    0   2337153     0
                                    640376109       1        187  SH            SOLE                    187         0     0
NICOR INC                 COM       654086107      31        800  SH            SOLE                    800         0     0
NOBLE AFFILIATES INC      COM       654894104      30       1000  SH            SOLE                   1000         0     0
NORFOLK SO CORP                     655844108      31       1934  SH            SOLE                   1934         0     0
NORTHERN TRUST
  COMPANY                 NTRS      665859104      93       1780  SH            SOLE                      0         0  1780
NORTHERN TRUST
  COMPANY                 NTRS      665859104     209       4000  SH           DEFINED                    0         0  4000
OCCIDENTAL PETE
  COR DEL                           674599105      31       1303  SH            SOLE                    803       500     0
OLIN CORP                           680665205       2        166  SH           DEFINED                  166         0     0
OMNICOM GROUP                       681919106      64       1000  SH            SOLE                   1000         0     0
PPG INDUSTRIES INC                  693506107      36        800  SH            SOLE                    800         0     0
PACIFIC CENTURY
  CYBERWORKS                        694059106       5       2473  SH           DEFINED                    0      2473     0
PENNEY J C INC            COM       708160106      12        582  SH            SOLE                    582         0     0
PRAIRIE FARMERS
  ASSOC.              RESERVES (BE) 711000992       1       1769  SH            SOLE                   1769         0     0
PEOPLES ENERGY CORP       COM       711030106       7        200  SH            SOLE                    200         0     0
PEOPLES ENERGY CORP       COM       711030106      19        500  SH           DEFINED                  500         0     0
PEOPLES HLDG CO           COM       711148106      12        367  SH            SOLE                    367         0     0
GEORGE PATE
  COLUMBIA 11/96                    712995364       0          1  PRN           SOLE                      1         0     0
PEPSICO INC               COM       713448108    1595      32898  SH            SOLE                  31565      1333     0
PEPSICO INC               COM       713448108     151       3130  SH           DEFINED                  430      1100  1600
PORT GIBSON
  CAPITAL CORP                      715995361     336       8000  SH            SOLE                   8000         0     0
PFIZER INC                          717081103    4193     104594  SH            SOLE                 100844       300  3450
PFIZER INC                          717081103     132       3300  SH           DEFINED                 2400         0   900






                                                                                                        VOTING AUTHORITY
                       TITLE OF                 VALUE     SHARES/ SH/   PUT/   INVSTMT     OTHER     -----------------------
NAME OF ISSUER         CLASS          CUSIP    (X$1000)  PRN AMT  PRN   CALL   DSCRETN    MANAGERS    SOLE    SHARED    NONE
--------------         --------       -----    --------  -------  ---   ----   -------    --------   ------   ------    ----

                                                                                     
PHELPS DODGE CORP         COM       717265102      0        20    SH            SOLE                    20         0     0
PHELPS DODGE CORP         COM       717265102     13       500    SH           DEFINED                 500         0     0
PHILIP MORRIS COS
  INC                     COM       718154107    143      2975    SH            SOLE                  2975         0     0
PHILLIPS PETE CO                    718507106    117      2186    SH            SOLE                  2186         0     0
PHILLIP/
  AMEXPLORATION-
  CRONEA                            719995367      0         1    PRN           SOLE                     1         0     0
PRAIRIE FARMERS
  ASSOCIATION NUMBER
  00888                             722000999      0         1    SH            SOLE                     1         0     0
3/8 INT FARM
  PROP-WARREN CTY                   722995362      0         1    PRN                                    1         0     0
                                    723995361      4      4100    SH            SOLE                  4100         0     0
PITNEY BOWES INC          COM       724479100      1        36    SH            SOLE                    36         0     0
PETROGULF CORP
  LEASE 8-2000                      728995366      0         1    PRN           SOLE                     1         0     0
POTLATCH CORP             COM       737628107      4       150    SH            SOLE                   150         0     0
PRAXAIR INC               COM       74005P104     12       300    SH           DEFINED                 300         0     0
PRICE T ROWE TX FR
  HI YLD                 FDCOM      741486104      8       768                  SOLE                   768         0     0
PROCTER & GAMBLE CO       COM       742718109    583      8017    SH            SOLE                  7667       250   100
PROCTER & GAMBLE CO       COM       742718109    385      5290    SH           DEFINED                1400       640  3250
QLOGIC CORP               COM       747277101      4       250    SH            SOLE                   250         0     0
RH DONNELLEY CORP                   74955W307      1        60    SH            SOLE                    60         0     0
RALSTON PURINA CO         COM       751277302     17       525    SH            SOLE                   525         0     0
RALSTON PURINA CO         COM       751277302     10       309    SH           DEFINED                   0         0   309
RELIANT ENERGY INC                  75952J108    134      5123    SH            SOLE                  3323      1200   600
RELIANT ENERGY INC                  75952J108    117      4460    SH           DEFINED                4122       338     0
REXCOM SYSTEMS CORP                 761672203      0         1    SH            SOLE                     1         0     0
ROHM & HAAS CO            COM       775371107      6       200    SH            SOLE                   200         0     0
ROUSE CO                  COM       779273101      2       100    SH            SOLE                   100         0     0
SAFECO CORP               COM       786429100     30      1000    SH            SOLE                  1000         0     0
                                    787991066      0        10    SH            SOLE                    10         0     0
SARA LEE CORP             COM       803111103     17       800    SH            SOLE                   800         0     0
SCHERING PLOUGH CORP      COM       806605101    720     19434    SH            SOLE                 19434         0     0
SCHERING PLOUGH CORP      COM       806605101    823     22200    SH           DEFINED                 300     19500  2400
SCHLUMBERGER LTD          COM       806857108     89      1950    SH            SOLE                  1750         0   200
SEARS ROEBUCK & CO        COM       812387108     66      1920    SH            SOLE                  1720         0   200
SEARS ROEBUCK & CO        COM       812387108      5       167    SH           DEFINED                 167         0     0
SHELL TRANS &           NEW YRK
  TRADING PLC            SH NEW     822703609     79      1800    SH           DEFINED                1800         0     0
SHERWIN WILLIAMS CO       COM       824348106     24      1100    SH            SOLE                  1100         0     0
SIMMONS 1ST NATL
  CORP                CL A $5 PAR   828730200    322      9023    SH            SOLE                  9023         0     0
SIMMONS 1ST NATL
  CORP                CL A $5 PAR   828730200      8       250    SH           DEFINED                 250         0     0
SOLUTIA INC               COM       834376105     51      4124    SH            SOLE                  2970      1154     0
SOLUTIA INC               COM       834376105      1       100    SH           DEFINED                   0       100     0
SOUTHERN CO               COM       842587107    507     21153    SH            SOLE                 21153         0     0
SOUTHERN CO               COM       842587107     87      3664    SH           DEFINED                3664         0     0
STILLWELL FINANCIAL
  INC                               860831106     11       600    SH            SOLE                   600         0     0
SYSCO CORP                          871829107    102      4000    SH            SOLE                  4000         0     0
TECO ENERGY INC           COM       872375100      8       300    SH            SOLE                   300         0     0
TECO ENERGY INC           COM       872375100     21       800    SH           DEFINED                 800         0     0
TXU ELEC CAP III        QUIPS 8%    87316Q207     24      1000    SH            SOLE                  1000         0     0
HILLSIDE MANOR
  APARTMENTS                        875995367     43       100    SH            SOLE                   100         0     0
TAX EXEMPT BD FD OF
  AMERICA                           87690210R     14      1193                 DEFINED                1193         0     0
TEMPLE INLAND INC         COM       879868107     18       400    SH            SOLE                   400         0     0
TEVA PHARMACEUTICAL
  IND                    ADR'S      881624209     18       300    SH            SOLE                   300         0     0
TIFFANY & CO NEW                    886547108     47      2200    SH            SOLE                  2200         0     0
TOTH ALUMINUM
  CORPORATION                       891514101      0       100    SH            SOLE                     0         0   100






                                                                                                        VOTING AUTHORITY
                       TITLE OF                 VALUE     SHARES/ SH/   PUT/   INVSTMT     OTHER     -----------------------
NAME OF ISSUER         CLASS          CUSIP    (X$1000)  PRN AMT  PRN   CALL   DSCRETN    MANAGERS    SOLE    SHARED    NONE
--------------         --------       -----    --------  -------  ---   ----   -------    --------   ------   ------    ----

                                                                                      
TRIBUNE COMPANY                      896047107      37       1200  SH           SOLE                    1200        0       0
SUPPLYFORCE.
  COM, LLC                           89902Q997      60      10000  SH           SOLE                   10000        0       0
TRANS-GULF
PETROLEUM CORP        LA CLOSELY
                         HELD        89902X992       0         10  SH           SOLE                      10        0       0
SMACKOVER
  BANCSHARES INC                     899027999       0        673  SH           SOLE                     673        0       0
FIRST STAUNTON
  BANCSHARES            CL-A V       90008J994       0         42  SH           SOLE                      42        0       0
FIRST STAUNTON
  BANCSHARES            CL-B NV      90008K991       0        374  SH           SOLE                     374        0       0
                                     902027994    5073      47444  SH           SOLE                   20676        0   26768
TYSON FOODS INC          CL A        902494103       7        750  SH           SOLE                       0        0     750
TYSON FOODS INC          CL A        902494103     150      15000  SH          DEFINED                     0        0   15000
USA TRUCK
  INC-RESTRICTED                     902925106     568      77385  SH           SOLE                   77385        0       0
USX-U S STL               COM        90337T101       6        500  SH           SOLE                     500        0       0
UNITED ARKANSAS
  CORPORATION                        907000996       0       1200  SH          DEFINED                     0        0    1200
UNISYS CORP                          909214108       4        540  SH           SOLE                     540        0       0
UNITED AUTO GROUP INC     COM        909440109     168      10105  SH           SOLE                   10105        0       0
CONFEDERATE STATE
  $10 BILL                           915995369       0          1  PRN          SOLE                       1        0       0
BANK OF US NOTE $1000                916995368       0          1  PRN          SOLE                       1        0       0
UTILICORP UNITED INC                 918005109      74       2656  SH           SOLE                    2656        0       0
VAN KAMPEN AMERICAN
  CAPITAL PRIME RATE                 920914108      50       5997  SH           SOLE                    5997        0       0
VIALINK CO                COM        92552Q101       0        450  SH           SOLE                       0        0     450
VLASIC FOODS INTL INC     COM        928559103       0        100  SH           SOLE                       0        0     100
WAL MART STORES INC       COM        931142103    2651      53571  SH           SOLE                   50871     1500    1200
WAL MART STORES INC       COM        931142103     234       4739  SH          DEFINED                  1439     3000     300
WALGREEN CO               COM        931422109     207       6025  SH           SOLE                    6025        0       0
WALSH HEALTH CARE
  SOLUTIONS INC                      937001998       0          3  SH           SOLE                       3        0       0
WAUSAU-MOSINEE PAPER
  CORP CO                            943315101       6        550  SH           SOLE                     550        0       0
WEINGARTEN RLTY INVS   SH BEN INT    948741103      48       1000  SH           SOLE                    1000        0       0
WESTERN RES INC           COM        959425109       3        200  SH           SOLE                     200        0       0
WEYERHAEUSER CO           COM        962166104     185       3800  SH           SOLE                    3800        0       0
    GRAND TOTALS                                278154    6713401                                    3281079  3232332  199990