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, 2004

      Check here if Amendment [ ]; Amendment Number ____

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

                                         [ ] adds new holdings entries.

      Institutional Investment Manager Filing this Report:

      Name:               BancorpSouth, Inc.

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

      Form 13F File Number: 28-10453

      The institutional investment manager filing this report and the person by
whom it is signed hereby represent that the person signing the report is
authorized to submit it, that all information contained herein is true, correct
and complete, and that it is understood that all required items, statements,
schedules, lists and tables are considered integral parts of this form.

      Person Signing this Report on Behalf of Reporting Manager:

      Name: Cathy S. Freeman

      Title: Senior Vice President and Corporate Secretary

      Phone: (662) 680-2084

      Signature, Place, and Date of Signing:

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

      Report Type (Check only one.):

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

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

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

      List of Other Managers Reporting for this Manager: None.



                              FORM 13F SUMMARY PAGE

      Report Summary:

      Number of Other Included Managers: 1

      Form 13F Information Table Entry Total: 728

      Form 13F Information Table Value Total: $586,530
                                              (thousands)

LIST OF OTHER INCLUDED MANAGERS:

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

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


                           FORM 13F INFORMATION TABLE



                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
ACE LIMITED                                        G0070K103      16       407 SH          SOLE       1         253        0     154
ASSURED GUARANTY LTD-USD                           G0585R106      12       749 SH          SOLE       1         465        0     284
COOPER INDUSTRIES, LTD            CL A             G24182100      10       180 SH          SOLE       1           0        0     180
INGSOLL-RANDCO                    CL A BERMUDA     G4776G101     541      7960 SH          SOLE       1        6170        0    1790
NOBLE CORP                                         G65422100      13       300 SH          SOLE       1         300        0       0
A F L A C INC                                      001055102      94      2400 SH          SOLE       1        2400        0       0
AGL RESOURCES, INC                                 001204106      33      1090 SH          SOLE       1        1090        0       0
AES CORPORATION                                    00130H105       9      1000 SH          SOLE       1           0     1000       0
AT&T CORP                         COM NEW          001957505      20      1415 SH          SOLE       1        1115        0     300
AT&T CORP                         COM NEW          001957505       4       297 SH         DEFINED     1          49      248       0
AT&T WIRELESS SVCS INC                             00209A106      43      2963 SH          SOLE       1        2063        0     900
AT&T WIRELESS SVCS INC                             00209A106       1        80 SH         DEFINED     1          80        0       0
ABBOTT LAB                                         002824100     536     12672 SH          SOLE       1       12484        0     188
ABBOTT LAB                                         002824100     177      4200 SH         DEFINED     1         200     4000       0
ADAMS EXPRESS CO                  COM              006212104     122      9692 SH          SOLE       1        9692        0       0
ADAPTEC INC                                        00651F108       3       400 SH          SOLE       1         400        0       0
ADVANCED MED OPTICS               IN               00763M108       1        50 SH          SOLE       1           0        0      50
ADVANCED MICRO DEVICES INC                         007903107     108      8315 SH          SOLE       1         400        0    7915
ADVANCED MICRO DEVICES INC                         007903107       2       200 SH         DEFINED     1         200        0       0
AETNA INC                         COM              00817Y108       7        75 SH          SOLE       1          75        0       0
AETNA INC                         COM              00817Y108       9       100 SH         DEFINED     1           0        0     100
AGILENT TECHNOLOGIES,INC.                          00846U101      12       559 SH          SOLE       1         559        0       0
AGNICO EAGLE MINES                                 008474108       7       500 SH          SOLE       1         500        0       0
AIR PRODS & CHEMS INC             COM              009158106      18       334 SH          SOLE       1         168        0     166
ALBERTSONS, INC                                    013104104      11       485 SH          SOLE       1           0        0     485
ALCOA INC                                          013817101     232      6918 SH          SOLE       1        4540        0    2378
ALCOA INC                                          013817101      11       350 SH         DEFINED     1         350        0       0
ALLIANCE CAP MGMT HLDG LP                          01855A101      71      2000 SH         DEFINED     1        2000        0       0
ALLIED CAP CORP                   NEW COM          01903Q108       7       315 SH          SOLE       1         315        0       0
ALLIED WASTE INDS INC             NEW              019589308      17      1946 SH          SOLE       1        1407        0     539
ALLSTATE CORP                     COMMON           020002101     706     14724 SH          SOLE       1       11070        0    3654
ALLSTATE CORP                     COMMON           020002101      28       604 SH         DEFINED     1         310        0     294
ALLTEL CORP                                        020039103     231      4210 SH          SOLE       1        3990        0     220
ALLTEL CORP                                        020039103     554     10100 SH         DEFINED     1       10100        0       0
ALTRIA GROUP INC                                   02209S103     873     18578 SH          SOLE       1       14620        0    3958
AMBAC FINANCIAL GROUP                              023139108       3        50 SH          SOLE       1          50        0       0
AMERICAN ELECTRIC POWER                            025537101     151      4743 SH          SOLE       1        1243        0    3500
AMER EXPRESS CO                                    025816109     144      2800 SH          SOLE       1        2800        0       0
AMERICAN INTERNATIONAL GROUP, INC                  026874107     445      6547 SH          SOLE       1        4130        0    2417
AMERICAN INTERNATIONAL GROUP, INC                  026874107      11       175 SH         DEFINED     1         175        0       0
AMERICAN MEDICAL SYS HLDGS                         02744M108       3        85 SH          SOLE       1           0        0      85
AMERISOURCEBERGEN CORP                             03073E105      18       340 SH          SOLE       1         209        0     131
AMETEK INC                                         031100100       8       290 SH          SOLE       1         170        0     120
AMGEN INC                                          031162100      48       855 SH          SOLE       1         736        0     119
AMGEN INC                                          031162100      11       200 SH         DEFINED     1         200        0       0
AMSOUTH BANCORPORATION                             032165102    1045     42869 SH          SOLE       1       42869        0       0
ANADARKO PETE CORP                                 032511107       6       100 SH          SOLE       1         100        0       0
ANADARKO PETE CORP                                 032511107      97      1464 SH         DEFINED     1           0     1464       0
ANHEUSER-BUSCH COMPANIES                           035229103     703     14084 SH          SOLE       1       13284        0     800
ANHEUSER-BUSCH COMPANIES                           035229103     179      3600 SH         DEFINED     1        3600        0       0
APPLE COMP INC                                     037833100     124      3200 SH         DEFINED     1        3200        0       0
APPLERA CORP CELERA GENOMICS GRP  COM              038020202       5       500 SH          SOLE       1         500        0       0
APPLIED MATERIALS INC                              038222105      84      5150 SH          SOLE       1        5150        0       0
AQUANTIVE INC                                      03839G105       2       280 SH          SOLE       1           0        0     280
ARCH COAL, INC                                     039380100       9       280 SH          SOLE       1         165        0     115
ARCHER-DANIELS-MIDLAND COMPANY                     039483102       4       279 SH          SOLE       1         279        0       0
ARVINMERITOR                                       043353101       0        44 SH          SOLE       1          44        0       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
ASTORIA FINANCIAL CORP                             046265104       6       175 SH          SOLE       1         105        0      70
ASYST TECHNOLOGIES INC                             04648X107       4       865 SH          SOLE       1         510        0     355
AUTO DATA PROCESS                                  053015103     204      4950 SH          SOLE       1        4950        0       0
AUTO DATA PROCESS                                  053015103      90      2200 SH         DEFINED     1        2200        0       0
AUTOZONE                                           053332102      23       300 SH          SOLE       1         300        0       0
AUTOZONE                                           053332102      37       480 SH         DEFINED     1         480        0       0
AVAYA INC                                          053499109       2       172 SH          SOLE       1         172        0       0
AVON PRODUCTS INC                 COM              054303102      65      1500 SH          SOLE       1        1500        0       0
AXA-UAP                           ADR              054536107       4       236 SH          SOLE       1         236        0       0
BP AMOCO PLC                      SPONSORED ADR    055622104     482      8397 SH          SOLE       1        8322        0      75
BP AMOCO PLC                      SPONSORED ADR    055622104     219      3810 SH         DEFINED     1        3810        0       0
BMC SOFTWARE                                       055921100      18      1158 SH          SOLE       1         719        0     439
BALDOR ELEC CO                    COM              057741100   33664   1423467 SH         DEFINED     1     1423467        0       0
BALL CORP                                          058498106       5       150 SH          SOLE       1         150        0       0
BANCORPSOUTH INC                                   059692103   21220    923426 SH          SOLE       1      922426        0    1000
BANCORPSOUTH INC                                   059692103    2862    124576 SH         DEFINED     1      121647     2592     337
BANK OF AMERICA CORP              NEW COM          060505104     902     20822 SH          SOLE       1       15618        0    5204
BANK OF AMERICA CORP              NEW COM          060505104      25       600 SH         DEFINED     1         600        0       0
BANK OF THE OZARKS, INC                            063904106    2740     92200 SH         DEFINED     1       92200        0       0
BANK OF NEW YORK                                   064057102     169      5805 SH          SOLE       1        3685        0    2120
BAXTER INTL INC                                    071813109      64      2000 SH          SOLE       1        2000        0       0
BEAR STEARNS COS INC                               073902108     111      1157 SH          SOLE       1        1157        0       0
BECTON DICKINSON                                   075887109       3        75 SH          SOLE       1          75        0       0
BED BATH & BEYOND                                  075896100      14       385 SH          SOLE       1         385        0       0
BELLSOUTH CORP                                     079860102     795     29355 SH          SOLE       1       25492        0    3863
BELLSOUTH CORP                                     079860102      73      2696 SH         DEFINED     1         400     2296       0
BENCHMARK ELECTRONICS INC                          08160H101       3       105 SH          SOLE       1           0        0     105
BERKSHIRE HATHAWAY "A"                             084670108      86         1 SH          SOLE       1           1        0       0
BERKSHIRE HATHAWAY INC DEL        CL B             084670207       8         3 SH         DEFINED     1           3        0       0
BLACK & DECKER CORP               COM              091797100       5        75 SH          SOLE       1          75        0       0
BLACKROCK INVT QUALITY MUNI TR
INC                                                09247D105      43      3000 SH          SOLE       1        3000        0       0
MF BLACKROCK INCOME TRUST                          09247F100      17      2400 SH          SOLE       1        2400        0       0
BLOCK H & R INC                   COM              093671105       9       185 SH          SOLE       1         125        0      60
BOEING INC                                         097023105      56      1100 SH          SOLE       1         500        0     600
BOSTON PROPERTIES INC                              101121101      11       210 SH          SOLE       1           0        0     210
BRINKER INTL INC                                   109641100      13       426 SH          SOLE       1         250        0     176
BRISTOL MYERS SQUIBB CO                            110122108     388     16415 SH          SOLE       1       15980        0     435
BRISTOL MYERS SQUIBB CO                            110122108      47      2000 SH         DEFINED     1        2000        0       0
BROOKLINE BANCORP INC                              11373M107       7       450 SH          SOLE       1         265        0     185
BURLINGTON NORTHERN/SANTA FE CORP                  12189T104      12       320 SH          SOLE       1           0        0     320
CBRL GROUP INC                    COM              12489V106      36      1005 SH          SOLE       1         900        0     105
CIGNA CORPORATION                                  125509109      13       193 SH          SOLE       1         120        0      73
CLECO CORP                        COM              12561W105       4       280 SH          SOLE       1         165        0     115
CSK AUTO CORP                                      125965103       8       625 SH          SOLE       1         370        0     255
CNET NETWORKS INC                                  12613R104       1       118 SH          SOLE       1         118        0       0
CVS CORP DELAWARE                                  126650100      18       441 SH          SOLE       1         321        0     120
CADBURY SCHWEPPES PLC             ADR              127209302      37      1200 SH          SOLE       1        1200        0       0
CALLAWAY GOLF CO                                   131193104       2       200 SH          SOLE       1           0        0     200
CAMPBELL SOUP CO                  COM              134429109      10       400 SH          SOLE       1         400        0       0
CAPITAL ONE FINL CORP             COM              14040H105     203      2750 SH          SOLE       1        2750        0       0
CARAUSTAR INDUSTRIES, INC                          140909102       8       495 SH          SOLE       1         293        0     202
CARDINAL HEALTH INC               COM              14149Y108      15       350 SH          SOLE       1         350        0       0
CARNIVAL CORP                                      143658300      14       310 SH          SOLE       1         193        0     117
CASH AMERICA INTERNATIONAL                         14754D100       2        85 SH          SOLE       1           0        0      85
CATERPILLAR INC                                    149123101       8       100 SH          SOLE       1         100        0       0
CENDANT CORP                      COM              151313103       5       276 SH          SOLE       1          50        0     226
CENTENE CORP                      DEL              15135B101       3        85 SH          SOLE       1           0        0      85
CENTERPOINT ENERGY INC                             15189T107       5       500 SH          SOLE       1           0        0     500
CENTEX CORP                                        152312104       2        50 SH          SOLE       1          50        0       0
CENTRAL GARDEN & PET, INC                          153527106       7       254 SH          SOLE       1         152        0     102
CENTURYTEL, INC                                    156700106      68      2000 SH          SOLE       1        2000        0       0
CHEVRONTEXACO CORP                                 166764100     848     15814 SH          SOLE       1       13826        0    1988
CHEVRONTEXACO CORP                                 166764100     142      2654 SH         DEFINED     1        2654        0       0
CINERGY                                            172474108       2        75 SH          SOLE       1          75        0       0
CISCO SYS INC                                      17275R102     572     31629 SH          SOLE       1       25057     1650    4922
CISCO SYS INC                                      17275R102      18      1000 SH         DEFINED     1        1000        0       0
CITIGROUP, INC                                     172967101    1095     24835 SH          SOLE       1       20126        0    4709
CITIGROUP, INC                                     172967101     349      7917 SH         DEFINED     1        7917        0       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
CITIZENS HOLDING COMPANY                           174715102    3225    158987 SH          SOLE       1      158987        0       0
CLEAR CHANNEL COMMUNICATIONS                       184502102       3       100 SH          SOLE       1         100        0       0
COCA COLA BOTTLING CO CONS        COM              191098102       5       105 SH          SOLE       1         105        0       0
COCA COLA CO                                       191216100     955     23862 SH          SOLE       1       19342        0    4520
COCA COLA CO                                       191216100     248      6200 SH         DEFINED     1        5800        0     400
COCA COLA ENTERPRISES INC         COM              191219104      50      2650 SH          SOLE       1        2650        0       0
COEUR D/ALEND MINES CORP IDAHO    COM              192108108      27      5750 SH          SOLE       1        5750        0       0
COGNEX CORP                                        192422103       2       105 SH          SOLE       1           0        0     105
COLGATE-PALMOLIVE CO                               194162103     176      3912 SH          SOLE       1        3912        0       0
COLGATE-PALMOLIVE CO                               194162103       9       200 SH         DEFINED     1         200        0       0
COLONIAL BANCGROUP INC                             195493309       4       240 SH          SOLE       1         140        0     100
COLUMBIA SPORTSWEAR CO                             198516106       4        75 SH          SOLE       1          45        0      30
COMCAST CORP NEW                  CL A COM         20030N101      32      1155 SH          SOLE       1        1155        0       0
COMCAST CORP NEW                  CL A COM         20030N101      11       401 SH         DEFINED     1           0      401       0
COMPUTER SCIENCES CORPORATION     COMMON           205363104       4        99 SH         DEFINED     1           0        0      99
CONAGRA FOODS INC                 COM              205887102      22       870 SH          SOLE       1         500        0     370
CONEXANT SYS INC                  COM              207142100       0       176 SH          SOLE       1         176        0       0
CONN'S INC                                         208242107      11       800 SH         DEFINED     1         800        0       0
CONOCO PHILLIPS                                    20825C104     540      6528 SH          SOLE       1        4891        0    1637
CONSECO INC                       NEW              208464883      12       733 SH          SOLE       1         455        0     278
CONSOLIDATED EDISON INC           COM              209115104      33       800 SH          SOLE       1         800        0       0
COOPER TIRE & RUBBER CO                            216831107     327     16243 SH          SOLE       1       15123        0    1120
COOPER TIRE & RUBBER CO                            216831107       2       100 SH         DEFINED     1         100        0       0
CORRECTIONS CORP OF AMERICA                        22025Y407       6       190 SH          SOLE       1           0        0     190
COSTCO WHOLESALE CORP                              22160K105      26       640 SH          SOLE       1         445        0     195
COUNTRYWIDE FINANCIAL CORP                         222372104      15       396 SH          SOLE       1         396        0       0
CREDIT SUISSE GROUP               ADR              225401108       4       134 SH          SOLE       1         134        0       0
CRESCENT REAL ESTATE EQUITIE      COM              225756105       5       345 SH          SOLE       1         200        0     145
CROSS COUNTRY HEALTHCARE, INC                      227483104       7       509 SH          SOLE       1         298        0     211
DNP SELECT INCOME FD INC                           23325P104      12      1100 SH          SOLE       1        1100        0       0
DTE ENERGY CO                                      233331107      22       535 SH          SOLE       1           0        0     535
DEERE & CO                                         244199105      96      1500 SH          SOLE       1        1500        0       0
DELL INC                                           24702R101     952     26752 SH          SOLE       1       21505        0    5247
DELPHI AUTO SYSTEMS                                247126105       2       250 SH          SOLE       1         250        0       0
DELTA & PINE LD CO                COM              247357106       6       259 SH          SOLE       1         259        0       0
DELTIC TIMBER INC                                  247850100     251      6324 SH          SOLE       1        6324        0       0
DELTIC TIMBER INC                                  247850100   25683    645471 SH         DEFINED     1      242423   403048       0
DENBURY RES INC                   NEW              247916208       3       135 SH          SOLE       1           0        0     135
DELUXE CORP                                        248019101      11       285 SH          SOLE       1           0        0     285
DIAGEO P L C                      SPON ADR NEW     25243Q205       3        75 SH          SOLE       1          75        0       0
DIAMONDCLUSTER INTL INC           COM              25278P106       2       200 SH          SOLE       1         200        0       0
WALT DISNEY CO                                     254687106     483     21465 SH          SOLE       1       14511        0    6954
DOMINION RES INC VA               NEW              25746U109       1        25 SH          SOLE       1          25        0       0
DOW CHEMICAL CO                                    260543103     127      2825 SH          SOLE       1        2550        0     275
DOW CHEMICAL CO                                    260543103      21       483 SH         DEFINED     1         483        0       0
DREYFUS STRATEGIC MUNICIPALS INC                   261932107       0         9 SH          SOLE       1           9        0       0
DUPONT EI D NEMOURS & CO                           263534109     219      5135 SH          SOLE       1        3385        0    1750
DUKE ENERGY CORP                  COM              264399106      39      1716 SH          SOLE       1        1716        0       0
DUKE REALTY CORP                                   264411505      11       345 SH          SOLE       1           0        0     345
EGL INC                                            268484102       4       165 SH          SOLE       1           0        0     165
E-LOAN INC                                         26861P107       2      1000 SH          SOLE       1        1000        0       0
EMC CORP                                           268648102      51      4500 SH          SOLE       1        4150      350       0
EMC CORP                                           268648102      43      3800 SH         DEFINED     1        3800        0       0
ENI S P A                         SPONSORED ADR    26874R108      11       105 SH          SOLE       1           0        0     105
E TRADE FINANCIAL CORP                             269246104      45      4000 SH          SOLE       1        4000        0       0
EASTGROUP PROPERTIES INC                           277276101      13       400 SH          SOLE       1         400        0       0
EASTMAN KODAK CO                                   277461109      32      1000 SH          SOLE       1        1000        0       0
EATON CORP COM                                     278058102     528      8335 SH          SOLE       1        3815        0    4520
EBAY INC                                           278642103      30       331 SH          SOLE       1         233        0      98
ECHOSTAR COMMUN                                    278762109      12       400 SH          SOLE       1         400        0       0
ECOLAB INC                        COMMON           278865100       4       140 SH          SOLE       1         140        0       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
EDWARDS LIFESCIENCES CORP                          28176E108       8       240 SH          SOLE       1         240        0       0
EL PASO CORPORATION                                28336L109       1       166 SH          SOLE       1         166        0       0
ELAN CORP PLC                     ADR              284131208       2       100 SH          SOLE       1         100        0       0
EMERSON ELECTRIC CO                                291011104      86      1400 SH          SOLE       1        1400        0       0
ENCORE WIRE CORP                  COM              292562105     422     31948 SH          SOLE       1        1348        0   30600
ENEL SOCIETA PER ARZION           ADR              29265W108       5       133 SH          SOLE       1         133        0       0
ENERPLUS RESOURCE FD                               29274D604     45       1400 SH          SOLE       1        1400        0       0
ENTERGY CORP                                       29364G103     289      4778 SH          SOLE       1        1778        0    3000
ENTERGY CORP                                       29364G103      35       593 SH         DEFINED     1         593        0       0
EQUITY INNS, INC                                   294703103      14      1500 SH         DEFINED     1        1500        0       0
EQUITY RESIDENTIAL                PPTYS SBI        29476L107      13       436 SH          SOLE       1         436        0       0
EXELON CORP                                        30161N101       9       250 SH          SOLE       1         250        0       0
EXELON CORP                                        30161N101      22       600 SH         DEFINED     1         600        0       0
EXPEDITORS INTL WASH INC          COM              302130109      28       542 SH          SOLE       1         381        0     161
EXXON MOBIL CORP                                   30231G102    6030    124768 SH          SOLE       1      119525        0    5243
EXXON MOBIL CORP                                   30231G102    1286     26626 SH         DEFINED     1       17226     8600     800
FPL GROUP INC                                      302571104       2        41 SH          SOLE       1           0        0      41
FSI INTERNATIONAL INC                              302633102       1       270 SH          SOLE       1           0        0     270
FNMA                              COM              313586109      82      1294 SH          SOLE       1        1100        0     194
FEDERATED DEPT STORES INC                          31410H101       4        95 SH          SOLE       1           0        0      95
FEDEX CORPORATION                                  31428X106      94      1100 SH          SOLE       1        1100        0       0
FILENET CORP                                       316869106       1        75 SH          SOLE       1           0        0      75
FIRST HORIZON NATIONAL                             320517105      25       582 SH          SOLE       1         582        0       0
FIRST INDL RLTY TR INC                             32054K103      16       450 SH          SOLE       1         450        0       0
FIRST M & F CORP                                   320744105      43      1293 SH          SOLE       1        1293        0       0
FIRSTMERIT CORP                                    337915102     215      8199 SH          SOLE       1        8069        0     130
FIRST ENERGY CORP                 COMMON           337932107     188      4600 SH          SOLE       1        4600        0       0
FORD MOTOR COMPANY                COMMON           345370860      20      1430 SH          SOLE       1         660        0     770
FORD MOTOR COMPANY                COMMON           345370860       9       700 SH         DEFINED     1         700        0       0
FOREST LABS                                        345838106      24       545 SH          SOLE       1         416        0     129
FORRESTER RESEARCH INC                             346563109       6       440 SH          SOLE       1         260        0     180
FORTUNE BRANDS INC                                 349631101       3        50 SH          SOLE       1          50        0       0
40/86 STRATEGIC INCOME FUND                        349739102       8       866 SH          SOLE       1         866        0       0
FOX ENTERTAINMENT GROUP INC                        35138T107      17       622 SH          SOLE       1         449        0     173
FUELCELL ENERGY INC               COM              35952H106       2       200 SH          SOLE       1         200        0       0
FULTON FINANCIAL CORP-PA                           360271100       9       437 SH          SOLE       1         260        0     177
GANNETT INC                       COM              364730101       8       100 SH          SOLE       1         100        0       0
GAP INC DEL                       COM              364760108      30      1641 SH          SOLE       1        1500        0     141
GENERAL ELECTRIC CO                                369604103    2534     75493 SH          SOLE       1       74863        0     630
GENERAL ELECTRIC CO                                369604103     281      8400 SH         DEFINED     1        8400        0       0
GENERAL MLS INC                   COM              370334104      14       320 SH          SOLE       1         320        0       0
GEN MTR CORP                                       370442105      58      1370 SH          SOLE       1         740        0     630
GEORGIA GULF CORP PAR                              373200203       4       105 SH          SOLE       1           0        0     105
GETTY IMAGES INC                                   374276103       6       115 SH          SOLE       1           0        0     115
GILLETTE CO                                        375766102     346      8296 SH          SOLE       1        6016        0    2280
GILLETTE CO                                        375766102     139      3335 SH         DEFINED     1        3335        0       0
GLAXOSMITHKLINE PLC               ADR              37733W105      48      1116 SH          SOLE       1         548        0     568
GOLDEN WEST FINANCIAL CORPORATION
DE                                                 381317106      11       100 SH          SOLE       1         100        0       0
GOLDMAN SACHS GROUP                                38141G104      20       223 SH          SOLE       1         109        0     114
GOODYEAR TIRE & RUBBER                             382550101       5       526 SH          SOLE       1         526        0       0
GRAFTECH INTERNATIONAL INC                         384313102       3       270 SH          SOLE       1           0        0     270
GREAT LAKES CHEM CORP             COM              390568103      45      1785 SH         DEFINED     1        1785        0       0
GUIDANT CORP                      COM              401698105     389      5891 SH          SOLE       1        4440        0    1451
GUITAR CENTER INC                                  402040109       6       140 SH          SOLE       1           0        0     140
HCA INC.                                           404119109      25       665 SH          SOLE       1         470        0     195
HCC INSURANCE HOLDINGS, INC                        404132102       7       265 SH          SOLE       1         155        0     110
HRPT PROPERTIES TRST COM          SBI              40426W101      31      2830 SH          SOLE       1        2830        0       0
HALLIBURTON CO                    COM              406216101     404     12015 SH          SOLE       1        7525        0    4490
HANCOCK FABRICS                                    409900107      19      1600 SH          SOLE       1        1600        0       0
HANCOCK HLDG CO                   CAP VALUE        410120109      93      2950 SH          SOLE       1        2950        0       0
CEF HANCOCK JOHN                  PFD              41013X106       9       400 SH          SOLE       1         400        0       0
HARLEY DAVIDSON INC               COM              412822108      47       791 SH          SOLE       1         557        0     234
HARRAHS ENTERTAINMENT INC                          413619107       3        75 SH          SOLE       1          75        0       0
HARRIS CORP                                        413875105      76      1400 SH          SOLE       1        1400        0       0
HARTFORD FNCL SV GRP INC          COM              416515104       6       111 SH          SOLE       1           0        0     111
HASBRO, INC                                        418056107      14       787 SH         DEFINED     1         787        0       0
HAWAIIAN ELEC INDS INC                             419870100      29      1130 SH         DEFINED     1        1130        0       0
HEALTH MANAGEMENT ASSOCIATES      CL A             421933102       2       100 SH          SOLE       1         100        0       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
HEADWATERS INC                                     42210P102       6       195 SH          SOLE       1         115        0      80
HEINZ H J CO                      COM              423074103       9       273 SH          SOLE       1         273        0       0
HEWLETT PACKARD CO                                 428236103     793     42338 SH          SOLE       1       30089        0   12249
HEWLETT PACKARD CO                                 428236103       7       400 SH         DEFINED     1         400        0       0
HIBERNIA CORP                                      428656102    7373    279300 SH          SOLE       1      277400        0    1900
HIBERNIA CORP                                      428656102      23       900 SH         DEFINED     1         900        0       0
HIGH INCOME OPPORTUNITY FD                         42967Q105      17      2500 SH          SOLE       1        2500        0       0
HILB ROGAL& HOBBS COMPANY                          431294107       6       177 SH          SOLE       1         102        0      75
HOME DEPOT                                         437076102     919     23446 SH          SOLE       1       20394        0    3052
HOME DEPOT                                         437076102      60      1532 SH         DEFINED     1        1532        0       0
HOMESTORE INC                     COM              437852106       0       180 SH          SOLE       1         180        0       0
HONEYWELL INTL INC                                 438516106      25       704 SH          SOLE       1         704        0       0
HOSPIRA, INC                                       441060100      13       450 SH         DEFINED     1          50      400       0
HUBBELL INC                       CL B             443510201      44      1000 SH          SOLE       1           0        0    1000
HUDSON UNITED BANCORP                              444165104       5       150 SH          SOLE       1          90        0      60
HUMANA INC                                         444859102      20      1027 SH          SOLE       1         756        0     271
ING PRIME RATE TR SH BEN INT                       44977W106      54      6907 SH          SOLE       1        6907        0       0
ILLINOIS TOOL WORKS INC                            452308109      17       192 SH          SOLE       1         148        0      44
IMATION CORP                                       45245A107       8       245 SH          SOLE       1         145        0     100
IMPERIAL TOBACCO PLC              SPON ADR         453142101       3        90 SH          SOLE       1          90        0       0
ING GROEP N V                                      456837103      22       908 SH          SOLE       1         575        0     333
INPUT/OUTPUT INC                                   457652105      10       995 SH          SOLE       1         590        0     405
INTERGRATED CIRCUIT SYSTEMS NEW,
INC                                                45811K208       3       180 SH          SOLE       1           0        0     180
INTEGRATED DEVICE TECHNOLOGY                       458118106       1       150 SH          SOLE       1           0        0     150
INTEGRATED SILICON                                 45812P107       2       370 SH          SOLE       1           0        0     370
INTEL CORP CAP                                     458140100    1027     51265 SH          SOLE       1       40957        0   10308
INTEL CORP CAP                                     458140100      75      3780 SH         DEFINED     1        3780        0       0
IBM CORP                                           459200101    1290     15054 SH          SOLE       1       11117        0    3937
IBM CORP                                           459200101     360      4203 SH         DEFINED     1        4203        0       0
INTL PAPER CO                                      460146103     358      8877 SH          SOLE       1        5731        0    3146
INTL PAPER CO                                      460146103      36       900 SH         DEFINED     1           0      900       0
INVESTORS FINANCIAL SERVICE CORP                   461915100       4       100 SH          SOLE       1           0        0     100
IONICS, INC                                        462218108       8       320 SH          SOLE       1         190        0     130
I SHARES S&P                      500/BARRA VALUE  464287408      51       900 SH          SOLE       1         900        0       0
ITRON INC                                          465741106       6       370 SH          SOLE       1         220        0     150
JDS UNIPHASE CORP                 COM              46612J101       0       120 SH          SOLE       1         120        0       0
JPMORGAN CHASE & CO               COM              46625H100     845     21284 SH          SOLE       1       15306        0    5978
JPMORGAN CHASE & CO               COM              46625H100     137      3456 SH         DEFINED     1        1500     1956       0
JACOBS ENGINEERING GROUP INC                       469814107      12       317 SH          SOLE       1         197        0     120
JEFFERSON PILOT CORPORATION                        475070108      11       230 SH          SOLE       1           0        0     230
JOHNSON & JOHNSON                                  478160104    2139     37976 SH          SOLE       1       35652        0    2324
JOHNSON & JOHNSON                                  478160104     533      9475 SH         DEFINED     1        7000     1200    1275
JOHNSON CONTROLS INC                               478366107     288      5078 SH          SOLE       1        3410        0    1668
JONES APPAREL GROUP INC                            480074103       3       100 SH          SOLE       1         100        0       0
KFX INC                                            48245L107       1       245 SH          SOLE       1         145        0     100
KLA TENCOR CORP                                    482480100       4       100 SH          SOLE       1         100        0       0
KB HOME                           COMMON           48666K109       6        75 SH          SOLE       1          75        0       0
KERR-MCGEE CORPORATION INC                         492386107      12       210 SH          SOLE       1           0        0     210
KEYCORP                           NEW              493267108      23       755 SH          SOLE       1           0        0     755
KEYSPAN CORP                      COM              49337W100      11       285 SH          SOLE       1           0        0     285
KIMBERLY-CLARK CORP                                494368103      17       265 SH          SOLE       1         100        0     165
KIMBERLY-CLARK CORP                                494368103      16       250 SH         DEFINED     1         250        0       0
KINDER MORGAN INC                                  49455P101       4        75 SH          SOLE       1          75        0       0
KINDER MORGAN ENERGY PARTNERS,
L.P                                                494550106      10       232 SH          SOLE       1         232        0       0
KONINKLIJKE PHLPS ELECTRS N V     SP ADR NEW       500472303       3       147 SH          SOLE       1           0        0     147
LAFARGE SPONSORED                 ADR              505861401       2       110 SH          SOLE       1         110        0       0
ESTEE LAUDER CO                                    518439104      25       600 SH         DEFINED     1         600        0       0
LEHMAN BROTHERS HOLDINGS          COM              524908100     296      3720 SH          SOLE       1        2370        0    1350
LEVEL 3 COMMUNICATIONS INC                         52729N100      15      6037 SH          SOLE       1        6037        0       0
LEXMARK INTL                      NEW CL A         529771107      27       332 SH          SOLE       1         233        0      99
THE LIBERTY CORPORATION                            530370105      75      1900 SH          SOLE       1        1900        0       0
ELI LILLY & CO                                     532457108     522      8700 SH          SOLE       1        7190        0    1510
ELI LILLY & CO                                     532457108      90      1500 SH         DEFINED     1        1500        0       0
LIMITED BRANDS, INC                                532716107      29      1304 SH          SOLE       1         532        0     772
LINCOLN ELECTRIC CO HOLDINGS                       533900106       3       120 SH          SOLE       1           0        0     120






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
LINCOLN NATIONAL CORP             IND              534187109      12       265 SH          SOLE       1           0        0     265
LIONBRIDGE TECHNOLOGIES INC                        536252109       3       405 SH          SOLE       1           0        0     405
LOCKHEED MARTIN CORP                               539830109       5       100 SH          SOLE       1         100        0       0
LOWES CO INC                                       548661107     281      5187 SH          SOLE       1        5051        0     136
LUCENT TECHNOLOGIES                                549463107      32     10402 SH          SOLE       1        9502        0     900
LUCENT TECHNOLOGIES                                549463107       3      1000 SH         DEFINED     1        1000        0       0
M & T BANK CORP                                    55261F104     191      2000 SH          SOLE       1        2000        0       0
MBIA INC                                           55262C100       1        25 SH          SOLE       1          25        0       0
MBNA CORP                                          55262L100       6       271 SH          SOLE       1         125        0     146
MFS INTER INCOME TR               SH BEN INT       55273C107       6      1000 SH          SOLE       1        1000        0       0
MSC INDL DIRECT CO                A                553530106       5       170 SH          SOLE       1           0        0     170
MAGELLAN MIDSTREAM PARTNERS LP                     559080106      10       200 SH          SOLE       1         200        0       0
MANULIFE FINANCIAL CORP                            56501R106    1538     35131 SH          SOLE       1       35131        0       0
MARATHON OIL CORP                                  565849106      12       295 SH          SOLE       1           0        0     295
MARINEMAX INC                                      567908108       1        75 SH          SOLE       1           0        0      75
MARVEL ENTERPRISES, INC                            57383M108       6       427 SH          SOLE       1           0        0     427
MASCO CORPORATION                                  574599106     274      7966 SH          SOLE       1        4870        0    3096
MATTELL INC                                        577081102      14       821 SH          SOLE       1         509        0     312
MAXIM INTEGRATED PRODUCTS INC                      57772K101      21       513 SH          SOLE       1         356        0     157
MAY DEPARTMENT STORES CO                           577778103      11       445 SH          SOLE       1           0        0     445
MAVERICK TUBE CORP                                 577914104       3       110 SH          SOLE       1           0        0     110
MCDATA CORP                       CLASS A          580031201       0        73 SH         DEFINED     1          73        0       0
MCDONALD'S CORP                                    580135101     423     15122 SH          SOLE       1       10597        0    4525
MCKESSON CORP                                      58155Q103     211      8245 SH          SOLE       1        5400        0    2845
MEADWESTVACO CORP                                  583334107      49      1547 SH          SOLE       1        1547        0       0
MEDCO HEALTH SOLUTIONS INC                         58405U102      21       687 SH          SOLE       1         553        0     134
MEDICINES COMPANY                                  584688105       4       175 SH          SOLE       1           0        0     175
MEDIMMUNE INC                     COM              584699102     287     12150 SH          SOLE       1        7830        0    4320
MEDTRONIC INC                     COM              585055106      18       360 SH          SOLE       1         360        0       0
MELLON FINL CORP                                   58551A108      28      1032 SH          SOLE       1         800        0     232
MERCK & CO INC                                     589331107     871     26460 SH          SOLE       1       23340        0    3120
MERCK & CO INC                                     589331107      37      1150 SH         DEFINED     1        1150        0       0
MERIDIAN RESOURCES CORP                            58977Q109       3       392 SH          SOLE       1         232        0     160
MERISTAR HOSPITALITY CORP                          58984Y103       5      1055 SH          SOLE       1         625        0     430
MERRILL LYNCH & CO, INC                            590188108      20       420 SH          SOLE       1         420        0       0
METLIFE INC                       COM              59156R108      53      1385 SH          SOLE       1        1385        0       0
MICROSOFT CORP                                     594918104     811     29355 SH          SOLE       1       27964        0    1391
MICROSOFT CORP                                     594918104      22       800 SH         DEFINED     1         800        0       0
MICROSTRATEGY INC                 CLASS A          594972408       2        55 SH          SOLE       1           0        0      55
MID-AMERICA APARTMENT CMNTYS                       59522J103      38      1000 SH         DEFINED     1        1000        0       0
MIDAS GROUP INC                                    595626102      10       666 SH          SOLE       1         666        0       0
MILLER HERMAN INC                 COM              600544100      33      1345 SH          SOLE       1        1285        0      60
MINDSPEED TECNOLOGIES                              602682106       0        58 SH          SOLE       1          58        0       0
MITSUBISHI TOKYO FNCL GROUP INC   SPND ADR         606816106       3       475 SH          SOLE       1         475        0       0
MONSANTO CO.                      (NEW)            61166W101       6       187 SH          SOLE       1         187        0       0
MOODYS CORP                                        615369105      53       725 SH          SOLE       1         602        0     123
MORGAN STANLEY DEAN WITTER
DISCOVER & CO                                      617446448     459      9319 SH          SOLE       1        7153        0    2166
MORGAN STANLEY DEAN WITTER
DISCOVER & CO                                      617446448      12       260 SH         DEFINED     1         260        0       0
MOTOROLA INC                                       620076109      87      4868 SH          SOLE       1        4028        0     840
MOTOROLA INC                                       620076109      10       600 SH         DEFINED     1         300        0     300
MUNICIPAL MORTGAGE & EQUITY LLC -
GROWTH SH                                          62624B101     100      4000 SH          SOLE       1        4000        0       0
MUNIVEST FD INC                   COM              626295109      46      5000 SH          SOLE       1        5000        0       0
MUNIYIELD INSURED                                  62630E107     109      7500 SH         DEFINED     1        7500        0       0
MURPHY OIL CORP                   COM              626717102    6258     72123 SH          SOLE       1       72123        0       0
MURPHY OIL CORP                   COM              626717102  403507   4650306 SH         DEFINED     1     2068366  2581940       0
MYLAN LABORATORIES INC                             628530107      34      1908 SH          SOLE       1        1908        0       0
NBC CAP CORP                                       628729105     123      4833 SH          SOLE       1        4833        0       0
NIC INC                                            62914B100       2       400 SH          SOLE       1           0        0     400
NASDAQ 100 TRUST                                   631100104       7       200 SH          SOLE       1         200        0       0
NATIONAL COMM FINL CORP                            63545P104      88      2600 SH          SOLE       1        2600        0       0
NEIGHBORCARE INC                                   64015Y104       1        75 SH          SOLE       1           0        0      75
NET BANK INC                                       640933107       3       380 SH          SOLE       1         225        0     155
NEWS CORP LTD                     ADR              652487703       3       100 SH          SOLE       1           0        0     100
NIKE INC                          CLASS B          654106103      65       825 SH          SOLE       1         825        0       0
NIPPON TEL & TEL                  SPON ADR         654624105       3       155 SH          SOLE       1         155        0       0
NOKIA CORP                        SPND ADR         654902204      17      1300 SH          SOLE       1        1300        0       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
NOBLE ENERGY INC                                   655044105      29       500 SH          SOLE       1         500        0       0
NOMURA HOLDINGS INC               ADR              65535H208       3       270 SH          SOLE       1         270        0       0
NORFOLK SO CORP                                    655844108      47      1584 SH          SOLE       1        1584        0       0
NORTEL NETWORK CORP               NEW              656568102      17      5000 SH          SOLE       1        5000        0       0
NORTHERN TRUST COMPANY            NTRS             665859104      72      1780 SH          SOLE       1        1780        0       0
NORTHERN TRUST COMPANY            NTRS             665859104     146      3600 SH         DEFINED     1        3600        0       0
NORTHRUP GRUMMAN                                   666807102       3        66 SH          SOLE       1           0        0      66
NOVARTIS AG                       SPONSORED ADR    66987V109       1        30 SH          SOLE       1          30        0       0
NOVEN PHARMACEUTICALS                              670009109       4       215 SH          SOLE       1           0        0     215
NUVEEN INSD PREMIUM INCOME MUNI
FD                                                 6706D8104       4       338 SH          SOLE       1         338        0       0
NUVEEN PREMIUM INCOME MUN FUND 4                   6706K4105      25      2000 SH         DEFINED     1        2000        0       0
OKLAHOMA GAS & ELEC ENERGY CORP                    670837103      25      1000 SH          SOLE       1        1000        0       0
NUVEEN QUALITY INCOME MUNI                         670977107       7       500 SH          SOLE       1         500        0       0
NUVEEN PREMIER INSURED MUN INCOME
FUND INC                                           670987106      15      1000 SH         DEFINED     1        1000        0       0
NUVEEN PREMIER MUNICIPAL INC                       670988104      22      1565 SH          SOLE       1        1565        0       0
OCCIDENTAL PETE COR DEL                            674599105      40       720 SH          SOLE       1         500        0     220
OCWEN FINANCIAL CORP                               675746101       7       791 SH          SOLE       1         467        0     324
OHIO CASUALTY CORP                                 677240103       8       385 SH          SOLE       1         225        0     160
OLIN CORP                                          680665205       3       166 SH         DEFINED     1         166        0       0
OMNICOM GROUP                                      681919106      14       200 SH          SOLE       1         200        0       0
ORACLE SYSTEMS CORP                                68389X105     219     19430 SH          SOLE       1       12715        0    6715
PPG INDUSTRIES INC                                 693506107      40       659 SH          SOLE       1         600        0      59
PACIFIC CAPITAL BANCORP                            69404P101       5       174 SH          SOLE       1         101        0      73
PACTIV COPR                                        695257105      35      1520 SH          SOLE       1        1285        0     235
PAR PHARMACEUTICAL COMPANIES INC                   69888P106       8       230 SH          SOLE       1         135        0      95
PARKWAY PROPERTIES INC                             70159Q104       9       200 SH          SOLE       1         200        0       0
PATTERSON UTI ENERGY INC                           703481101       4       210 SH          SOLE       1           0        0     210
PAYCHEX INC                                        704326107       4       150 SH          SOLE       1         150        0       0
PCCW LTD                          SONSORED ADR     70454G207       3       494 SH         DEFINED     1         494        0       0
PENNEY J C INC                    COM              708160106       3       100 SH          SOLE       1         100        0       0
PENTAIR INC                                        709631105       9       265 SH          SOLE       1         155        0     110
PEOPLES ENERGY CORP               COM              711030106      20       500 SH         DEFINED     1         500        0       0
PEOPLES HLDG CO                   COM              711148106      42      1300 SH          SOLE       1        1300        0       0
PEPSI BOTTLING GROUP INC                           713409100       1        50 SH          SOLE       1          50        0       0
PEPSIAMERICAS INC                                  71343P200      76      4000 SH          SOLE       1        4000        0       0
PEPSICO INC                       COM              713448108    1261     25936 SH          SOLE       1       25806        0     130
PEPSICO INC                       COM              713448108     103      2130 SH         DEFINED     1        1030     1100       0
PETSMART INC                                       716768106       8       305 SH          SOLE       1           0        0     305
PFIZER INC                                         717081103    1487     48622 SH          SOLE       1       47821        0     801
PFIZER INC                                         717081103     128      4185 SH         DEFINED     1        3485      700       0
THE PHOENIX COMPANIES                              71902E109      10      1051 SH          SOLE       1        1051        0       0
PINNACLE WEST CAP CORP                             723484101     394      9495 SH          SOLE       1        6010        0    3485
PITNEY BOWES INC                  COM              724479100      13       295 SH          SOLE       1         185        0     110
PLACER DOME INC                                    725906101       6       310 SH          SOLE       1         310        0       0
PLUM CREEK TIMBER CO INC                           729251108     244      6987 SH          SOLE       1        6987        0       0
PORTFOLIO RECOVERY ASSOCIATES INC                  73640Q105       2        95 SH          SOLE       1           0        0      95
POST PROPERTIES INC                                737464107       2        70 SH          SOLE       1          40        0      30
POWER TECHNOLOGIES                                 739363109       7      1140 SH          SOLE       1         665        0     475
PRAXAIR INC                       COM              74005P104       8       200 SH          SOLE       1         200        0       0
PRAXAIR INC                       COM              74005P104      25       600 SH         DEFINED     1         600        0       0
PRINCIPAL FINANCIAL GROUP                          74251V102      23       644 SH          SOLE       1         644        0       0
PROCTER & GAMBLE CO               COM              742718109    1543     28517 SH          SOLE       1       26627        0    1890
PROCTER & GAMBLE CO               COM              742718109     378      7000 SH         DEFINED     1        7000        0       0
PROVIDENT BANKSHARES, INC                          743859100       6       195 SH          SOLE       1         115        0      80
PRUDENTIAL FINANCIAL                               744320102      13       285 SH          SOLE       1         285        0       0
PUBLIC SVC ENTERPRISE GROUP INC                    744573106       4       110 SH          SOLE       1           0        0     110
PUTNAM MANAGED MUNICIPAL INCOME
TRUST                                              746823103       3       500 SH         DEFINED     1           0        0     500
QLOGIC CORP COM                                    747277101      14       500 SH          SOLE       1         500        0       0
QUALCOMM INC                                       747525103       5       150 SH          SOLE       1         150        0       0
QUEST DIAGNOSTICS INC                              74834L100       4        50 SH          SOLE       1          50        0       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
QWEST COMMUNICATIONS INTL INC     COM              749121109       5      1660 SH          SOLE       1        1660        0       0
CEF RMK HIGH INCOME FUND                           74963B105      17      1008 SH          SOLE       1        1008        0       0
RADIOSHACK CORP                                    750438103       2        75 SH          SOLE       1          75        0       0
RADISYS CORP                                       750459109       2       185 SH          SOLE       1           0        0     185
RAYOVAC CORP                                       755081106       9       355 SH          SOLE       1         210        0     145
RAYTHEON CO                       NEW              755111507     536     14130 SH          SOLE       1        9000        0    5130
REEBOK INTL INC                                    758110100       1        50 SH          SOLE       1          50        0       0
REGENERON PHARACEUTICALS INC      COM              75886F107       4       500 SH          SOLE       1         500        0       0
RELIANT ENERGY INC                                 75952B105       3       394 SH          SOLE       1           0        0     394
RELIANT ENERGY INC                                 75952B105      34      3734 SH         DEFINED     1        3734        0       0
ROCKWELL AUTOMATION, INC                           773903109       6       177 SH          SOLE       1         177        0       0
ROCKWELL COLLINS INC                               774341101       6       177 SH          SOLE       1         177        0       0
ROGERS CORP                                        775133101       2        65 SH          SOLE       1           0        0      65
ROWAN COMPANIES INC                                779382100      10       395 SH          SOLE       1         235        0     160
ROXIE INC                                          780008108       0        65 SH          SOLE       1          65        0       0
ROYAL DUTCH PETE CO NY            REG GLD1.25      780257804     110      2138 SH          SOLE       1        2138        0       0
ROYAL DUTCH PETE CO NY            REG GLD1.25      780257804     211      4096 SH         DEFINED     1        4096        0       0
RUBY TUESDAY INC                                   781182100      29      1060 SH         DEFINED     1         430        0     630
SBC COMMUNICATIONS, INC                            78387G103     825     31799 SH          SOLE       1       26245        0    5554
SBC COMMUNICATIONS, INC                            78387G103      69      2677 SH         DEFINED     1         780     1897       0
ST PAUL TRAVELERS CO.'S INC                        792860108      45      1367 SH          SOLE       1         850        0     517
SAN JUAN BASIN ROYALTY TR UNIT    COM              798241105      21       700 SH          SOLE       1         700        0       0
SANMINA CORP                                       800907107       2       306 SH          SOLE       1         306        0       0
SARA LEE CORP                     COM              803111103      45      2000 SH          SOLE       1        2000        0       0
SCANA CORP                        NEW              80589M102       8       222 SH          SOLE       1         222        0       0
SCHERING A G                      SPONS ADR        806585204       2        45 SH          SOLE       1          45        0       0
SCHERING PLOUGH CORP              COM              806605101     327     17189 SH          SOLE       1       17189        0       0
SCHLUMBERGER LTD COM                               806857108      51       760 SH          SOLE       1         760        0       0
SCRIPPS EW INC                    NEW CL A         811054204      28       600 SH          SOLE       1         600        0       0
SEARS ROEBUCK & CO                COM              812387108      86      2180 SH          SOLE       1        1900        0     280
SEARS ROEBUCK & CO                COM              812387108       6       167 SH         DEFINED     1         167        0       0
SELECT MEDICAL CORP                                816196109       3       290 SH          SOLE       1           0        0     290
SELIGMAN SELECT MUN FD INC                         816344105      13      1250 SH          SOLE       1        1250        0       0
SEMTECH CORP                                       816850101       2       150 SH          SOLE       1           0        0     150
SEMPRA ENERGY                     COM              816851109      11       310 SH          SOLE       1           0        0     310
SEROLOGICALS CORP                                  817523103       2        90 SH          SOLE       1           0        0      90
SERVICEMASTER COMPANY             COM              81760N109      97      7593 SH          SOLE       1        7593        0       0
SHELL TRANS & TRADING PLC NEW YRK
SH                                NEW              822703609      80      1800 SH         DEFINED     1        1800        0       0
SHERWIN WILLIAMS CO               COM              824348106      24       550 SH          SOLE       1         550        0       0
SIEMENS AG                        SPONS ADR        826197501       4        55 SH          SOLE       1          55        0       0
SIERRA HEALTH SERVICES INC                         826322109       2        50 SH          SOLE       1           0        0      50
SIMMONS 1ST NATL CORP             CL A $5 PAR      828730200     337     13200 SH          SOLE       1       13200        0       0
SIMMONS 1ST NATL CORP             CL A $5 PAR      828730200      12       500 SH         DEFINED     1         500        0       0
SIRIUS SATTELITE RADIO                             82966U103      32     10000 SH          SOLE       1       10000        0       0
SKYWEST INC                                        830879102       3       215 SH          SOLE       1           0        0     215
SKYWORKS SOLUTIONS                                 83088M102       0        61 SH          SOLE       1          61        0       0
SMITHFIELD FOODS INC              DE               832248108      12       511 SH          SOLE       1         318        0     193
SMUCKER J M CO                                     832696405       0         7 SH          SOLE       1           7        0       0
SMURFIT-STONE CONTAINER CORP                       832727101       9       495 SH          SOLE       1         495        0       0
SNAP ON INC                                        833034101       6       240 SH          SOLE       1         145        0      95
SONIC WALL INC                                     835470105       8      1315 SH          SOLE       1         775        0     540
SONY CORP                                          835699307      34      1000 SH         DEFINED     1        1000        0       0
SOUTHERN CO                       COM              842587107     267      8937 SH          SOLE       1        8937        0       0
SOUTHERN CO                       COM              842587107     132      4426 SH         DEFINED     1        4426        0       0
SOUTHWEST BANCORPATION                             84476R109       3       170 SH          SOLE       1           0        0     170
SPINNAKER EXPLORATION CO                           84855W109       9       265 SH          SOLE       1         155        0     110
SPORTS AUTHORITY INC                               84917U109       8       380 SH          SOLE       1         225        0     155
SPRINT CORP COM FON GROUP                          852061100    1150     57168 SH          SOLE       1       56725        0     443
STANCORP FINANCIAL GROUP                           852891100       6        85 SH          SOLE       1          50        0      35
STANLEY WORKS                                      854616109      12       290 SH          SOLE       1           0        0     290
STAPLES INCORPORATED (RETAIL &
DELIVERY)                                          855030102       1        50 SH          SOLE       1          50        0       0
STARBUCKS CORP                                     855244109      47      1039 SH          SOLE       1         744        0     295
SUN LIFE FINANCIAL                                 866796105     195      6511 SH          SOLE       1        6511        0       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
SUN MICROSYSTEMS                                   866810104       4      1000 SH          SOLE       1        1000        0       0
SUNGARD DATA SYSTEMS                               867363103       3       148 SH          SOLE       1           0        0     148
SUNOCO INC                                         86764P109      22       300 SH          SOLE       1         300        0       0
SUNTRUST BANKS INC                COM              867914103      59       843 SH          SOLE       1         843        0       0
SUPPORTSOFT INC                                    868587106       2       255 SH          SOLE       1           0        0     255
SYMBION INC                                        871507109       1       100 SH          SOLE       1           0        0     100
SYNGENTA AG                                        87160A100       3       180 SH          SOLE       1         180        0       0
SYNOVUS FINL CORP                                  87161C105      29      1125 SH          SOLE       1        1125        0       0
TDC A/S                           SPONSORED ADR    87236N102       2       115 SH          SOLE       1         115        0       0
TECO ENERGY INC                   COM              872375100       2       200 SH          SOLE       1         200        0       0
TJX COMPANIES                                      872540109       6       300 SH          SOLE       1         300        0       0
TTM TECHNOLOGIES                                   87305R109       1       205 SH          SOLE       1           0        0     205
TXU CORP                                           873168108      71      1500 SH          SOLE       1           0        0    1500
TALK AMERICA HOLDING INC-NEW                       87426R202       4       805 SH          SOLE       1         475        0     330
TARGET CORP                                        87612E106     444      9830 SH          SOLE       1        6925        0    2905
TARGET CORP                                        87612E106      18       400 SH         DEFINED     1         400        0       0
TELEFONICA SA                     SPONSORED ADR    879382208       2        52 SH          SOLE       1          52        0       0
TELLABS INC DELAWARE                               879664100       1       200 SH         DEFINED     1         200        0       0
TEVA PHARMACEUTICAL IND ADR'S                      881624209      17       660 SH          SOLE       1         428        0     232
TEXAS GENCO HOLDINGS INC.                          882443104       1        25 SH          SOLE       1           0        0      25
TEXAS GENCO HOLDINGS INC.                          882443104       5       128 SH         DEFINED     1         128        0       0
TEXAS INSTRUMENTS                                  882508104      25      1200 SH          SOLE       1        1200        0       0
TEXTRON INCORPORATED              COMM             883203101       5        87 SH          SOLE       1           0        0      87
THORNBURG MORTGAGE INC                             885218107       8       300 SH          SOLE       1         300        0       0
3 COM CORP                                         885535104       3       881 SH          SOLE       1         521        0     360
3M CO                                              88579Y101     210      2632 SH          SOLE       1        1632        0    1000
TIFFANY & CO                      NEW              886547108      67      2200 SH          SOLE       1        2200        0       0
TIME WARNER INC                                    887317105     455     28215 SH          SOLE       1       27840        0     375
TOTAL FINA ELF S.A.               ADR              89151E109       4        40 SH          SOLE       1          40        0       0
TOYOTA MOTOR CORP                 ADR NEW          892331307       4        60 SH          SOLE       1          60        0       0
TRIAD HOSPS INC                                    89579K109       6       175 SH          SOLE       1         105        0      70
TRIBUNE COMPANY                                    896047107      49      1200 SH          SOLE       1        1200        0       0
TRUSTMARK CORP                    COM              898402102     506     16310 SH          SOLE       1       16310        0       0
TYCO INTL LTD                     NEW COM          902124106      16       547 SH          SOLE       1         350        0     197
TYSON FOODS INC                   CL A             902494103      12       750 SH          SOLE       1           0        0     750
UCBH HOLDINGS INC                                  90262T308       4       105 SH          SOLE       1           0        0     105
USA TRUCK INC-RESTRICTED                           902925106     750     61498 SH          SOLE       1       61498        0       0
US BANCORP DEL                    NEW              902973304      15       547 SH          SOLE       1         223        0     324
ULTRA PETROLEUM CORP-CAD                           903914109       9       200 SH          SOLE       1           0        0     200
ULTRATECH STEPPER INC                              904034105       7       490 SH          SOLE       1         240        0     250
UNILEVER NV NY                    NEW              904784709       3        54 SH          SOLE       1          54        0       0
UNION PACIFIC CORP                                 907818108      11       200 SH          SOLE       1         200        0       0
UNION PACIFIC CORP                                 907818108     222      3800 SH         DEFINED     1           0     3800       0
UNITED STATIONERS INC                              913004107       6       140 SH          SOLE       1          80        0      60
UNITED SURGICAL PARTNERS                           913016309       1        55 SH          SOLE       1           0        0      55
UNITED TECHNOLOGIES CORP                           913017109       2        25 SH          SOLE       1          25        0       0
UNITED THERAPEUTICS CORP                           91307C102       5       145 SH          SOLE       1           0        0     145
UNITED HEALTHCARE CORP                             91324P102      22       300 SH          SOLE       1         300        0       0
UNOCAL CORP                       COM              915289102       6       156 SH          SOLE       1         156        0       0
VF CORPORATION                                     918204108      24       505 SH          SOLE       1           0        0     505
VALASSIS COMMUNICATIONS INC                        918866104       8       280 SH          SOLE       1         165        0     115
VARIAN MEDICAL SYSTEMS                             92220P105      18       544 SH          SOLE       1         382        0     162
VERIZON COMMUNICATIONS                             92343V104     952     24188 SH          SOLE       1       17275        0    6913
VERIZON COMMUNICATIONS                             92343V104     126      3217 SH         DEFINED     1        2419      798       0
VIACOM INC                        CL B             925524308     372     11090 SH          SOLE       1       10589        0     501
VIACOM INC                        CL B             925524308      10       325 SH         DEFINED     1         325        0       0
VISTEON CORP                                       92839U107       0        10 SH          SOLE       1          10        0       0
VODAFONE GROUP PLC                NEW              92857W100      99      4114 SH          SOLE       1        4114        0       0
VODAFONE GROUP PLC                NEW              92857W100      13       565 SH         DEFINED     1           0      565       0
WABASH NATL CORP                                   929566107       3       120 SH          SOLE       1           0        0     120
WACHOVIA CORP 2ND                 NEW              929903102     721     15358 SH          SOLE       1       13229        0    2129
WACHOVIA CORP 2ND                 NEW              929903102      23       500 SH         DEFINED     1         500        0       0
WAL MART STORES INC               COM              931142103    2509     47175 SH          SOLE       1       40955        0    6220
WAL MART STORES INC               COM              931142103     225      4236 SH         DEFINED     1        1236     3000       0






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
WALGREEN CO                       COM              931422109      88      2475 SH          SOLE       1        2274        0     201
WASHINGTON MUTUAL INC                              939322103      27       710 SH          SOLE       1         150        0     560
WASTE CONNECTIONS INC                              941053100       4       135 SH          SOLE       1           0        0     135
WASTE MANAGEMENT INC              NEW              94106L109     141      5185 SH          SOLE       1        2487        0    2698
WASTE MANAGEMENT INC              NEW              94106L109       0         1 SH         DEFINED     1           0        0       1
WATERS CORP                                        941848103       3        75 SH          SOLE       1          75        0       0
WATSON WYATT & CO HLDGS           CLASS A          942712100       9       355 SH          SOLE       1         210        0     145
WEBSTER FINANCIAL CORP                             947890109       6       125 SH          SOLE       1          75        0      50
WEINGARTEN RLTY INVS SH BEN INT                    948741103      74      2250 SH          SOLE       1        2250        0       0
WELLPOINT HEALTH NETWORKS                          94973H108       8        80 SH          SOLE       1          80        0       0
WELLS FARGO & CO.                 NEW              949746101     162      2726 SH          SOLE       1        2485        0     241
WELLS FARGO & CO.                 NEW              949746101      11       200 SH         DEFINED     1         200        0       0
WEST MARINE INC                                    954235107       4       215 SH          SOLE       1           0        0     215
WESTAR ENERGY INC                                  95709T100       4       200 SH          SOLE       1         200        0       0
WESTELL TECHNOLOGIES INC          CL A             957541105       2       465 SH          SOLE       1           0        0     465
WEYERHAEUSER CO                   COM              962166104      33       500 SH          SOLE       1           0        0     500
WHIRLPOOL CORP                                     963320106      10       180 SH          SOLE       1           0        0     180
WHITNEY HOLDING CORP              COMMON           966612103     105      2500 SH          SOLE       1        2500        0       0
WILD OATS MKTS INC                                 96808B107       7       904 SH          SOLE       1         535        0     369
WINTRUST FINL CORP                                 97650W108       2        45 SH          SOLE       1           0        0      45
WRIGHT MEDICAL GROUP                               98235T107       3       120 SH          SOLE       1           0        0     120
WYETH                                              983024100     428     11449 SH          SOLE       1        8005        0    3444
WYETH                                              983024100      11       300 SH         DEFINED     1         300        0       0
XM SATELLITE                                       983759101     775     25000 SH          SOLE       1       25000        0       0
XCEL ENERGY INC                                    98389B100       2       154 SH          SOLE       1         154        0       0
XCEL ENERGY INC                                    98389B100      16       928 SH         DEFINED     1         928        0       0
XILINX INC                                         983919101       2       100 SH          SOLE       1         100        0       0
YANKEE CANDLE CO INC                               984757104       5       185 SH          SOLE       1         110        0      75
YUM BRANDS INC                                     988498101      98      2426 SH          SOLE       1        2426        0       0
ZIMMER HLDGS INC                                   98956P102      36       462 SH          SOLE       1         328        0     134
ZOLL MEDICAL CORP                                  989922109       7       230 SH          SOLE       1         135        0      95
AMR CORP DEL                                       01765106        8      1000 SH          SOLE                   0        0   1,000
AT&T CORP NEW                                       1957505       10       600 SH          SOLE                   0        0     600
ABBOTT LABORATORIES                                 2824100       13       300 SH          SOLE                   0        0     300
ALLIANCE BER                                       18780304       11       243 SH          SOLE                   0        0     243
ALLIANT TECHSYSTEMS                                18804104       12       210 SH          SOLE                   0        0     210
ALLSTATE CORP                                      20002101        7       150 SH          SOLE                   0        0     150
ALLTEL CORP NEW                                    20039103       12       225 SH          SOLE                   0        0     225
AMERICAN AMCAP FUND                                23375405       10       586 SH          SOLE                   0        0     586
AMER INTL GROUP INC                                26874107        4        67 SH          SOLE                   0        0      67
AMGEN INC                                          31162100       47       835 SH          SOLE                   0        0     835
AMSOUTH BANCORP                                    32165102      360     13724 SH          SOLE                   0        0  13,724
ANALOG DEVICES INC                                 32654105        4       100 SH          SOLE                   0        0     100
ANHEUSER BUSCH COS                                 35229103        7       150 SH          SOLE                   0        0     150
ANNALY MORTGAGE                                    35710409        8       475 SH          SOLE                   0        0     475
AUTOMATIC DATA                                     53015103        4       100 SH          SOLE                   0        0     100
AVAYA INC                                          53499109       20      1400 SH          SOLE                   0        0   1,400
BANCORPSOUTH  INC                                  59692103      298     12373 SH          SOLE                   0        0  12,373
BANK OF AMERICA                                    60505104       13       300 SH          SOLE                   0        0     300
BERKSHIRE HATHAWAY                                 84670207       34        12 SH          SOLE                   0        0      12
BEST BUY INC                                       86516101       18       300 SH          SOLE                   0        0     300
BJURMAN MICRO CAP                                  91794206       27       892 SH          SOLE                   0        0     892
BOMBAY COMPANY INC                                 97924104        1       200 SH          SOLE                   0        0     200
CITIGROUP INC                                     172967101      147      3350 SH          SOLE                   0        0   3,350
COCA COLA CO                                      191216100       24       600 SH          SOLE                   0        0     600
COLUMBIA ACORN                                    197199854       64      3272 SH          SOLE                   0        0   3,272
DELUXE CORP                                       248019101       10       250 SH          SOLE                   0        0     250
DOW CHEMICAL CO                                   260543103       34       750 SH          SOLE                   0        0     750
E M C CORP MASS                                   268648102       25      2000 SH          SOLE                   0        0   2,000
EMULEX CORP COM NEW                               292475209       10      1000 SH          SOLE                   0        0   1,000
AMERICAN EUROPACIFIC                              298706409       23       695 SH          SOLE                   0        0     695
FPA CAPITAL FUND                                  302539101      172      4481 SH          SOLE                   0        0   4,481
SPARTAN TOTAL MARKET                              315911404      562     18264 SH          SOLE                   0        0  18,264
GENERAL DYNAMICS CRP                              369550108       11       110 SH          SOLE                   0        0     110
GENERAL ELECTRIC CO                               369604103      280      8235 SH          SOLE                   0        0   8,235






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
HCA INC                                           404119109       11       300 SH          SOLE                   0        0     300
OAKMARK FUND                                      413838103        5       128 SH          SOLE                   0        0     128
HARTFORD GLOBAL                                   416645398       11       746 SH          SOLE                   0        0     746
HARTFORD CAPITAL                                  416645406        9       302 SH          SOLE                   0        0     302
HARTFORD GLOBAL                                   416645448        5      1222 SH          SOLE                   0        0   1,222
HARTFORD GLOBAL                                   416645539        9       559 SH          SOLE                   0        0     559
HARTFORD MID CAP                                  416645711      110      4856 SH          SOLE                   0        0   4,856
HARTFORD STOCK                                    416645877        5       312 SH          SOLE                   0        0     312
HARTFORD MID CAP                                  416646107        6       463 SH          SOLE                   0        0     463
HARTFORD VALUE CL A                               416646404        8       862 SH          SOLE                   0        0     862
HEWLETT-PACKARD CO                                428236103       10       540 SH          SOLE                   0        0     540
INTEL CORP                                        458140100      127      5780 SH          SOLE                   0        0   5,780
INTL BUSINESS MACH                                459200101       36       400 SH          SOLE                   0        0     400
ISHARES TR DOW JONES                              464287788      103      1134 SH          SOLE                   0        0   1,134
JOHNSON & JOHNSON                                 478160104       52       900 SH          SOLE                   0        0     900
L-3 COMMUNICATIONS                                502424104       18       280 SH          SOLE                   0        0     280
LANDSTAR SYSTEMS INC                              515098101        7       100 SH          SOLE                   0        0     100
LILLY ELI & CO                                    532457108       22       400 SH          SOLE                   0        0     400
LONGLEAF PARTNERS                                 543069108        5       161 SH          SOLE                   0        0     161
LUCENT TECH INC                                   549463107        2       500 SH          SOLE                   0        0     500
MAGNA-LAB INC CL A                                559235106        0      2000 SH          SOLE                   0        0   2,000
MFS MASS INVESTOR                                 575719109      400     34983 SH          SOLE                   0        0  34,983
MATTHEWS PACIFIC                                  577130107       21      1479 SH          SOLE                   0        0   1,479
MERCK & CO INC                                    589331107        3       100 SH          SOLE                   0        0     100
MICROSOFT CORP                                    594918104       91      3240 SH          SOLE                   0        0   3,240
MILLENNIUM PHARM INC                              599902103       18      1500 SH          SOLE                   0        0   1,500
MYLAN LABS INC                                    628530107       13       745 SH          SOLE                   0        0     745
NASDAQ 100 TR                                     631100104        8       220 SH          SOLE                   0        0     220
NATL SEMICONDUCTOR                                637640103       17      1000 SH          SOLE                   0        0   1,000
NOKIA CORP ADR                                    654902204        2       100 SH          SOLE                   0        0     100
OPEN TEXT CORP                                    683715106        3       200 SH          SOLE                   0        0     200
PEOPLES HLDG CO                                   711148106       74      2158 SH          SOLE                   0        0   2,158
PEPSICO INC                                       713448108       44       890 SH          SOLE                   0        0     890
PFIZER INC                                        717081103       51      1768 SH          SOLE                   0        0   1,768
PIPER JAFFRAY COS                                 724078100        0         2 SH          SOLE                   0        0       2
T ROWE PRICE                                      741480107        5       218 SH          SOLE                   0        0     218
PROCTER & GAMBLE CO                               742718109      144      2790 SH          SOLE                   0        0   2,790
QUALCOMM INC                                      747525103       16       400 SH          SOLE                   0        0     400
RF MICRO DEVICES INC                              749941100       13      1900 SH          SOLE                   0        0   1,900
ROYCE PREMIER FUND                                780905600        5       347 SH          SOLE                   0        0     347
ROYCE LOW PRICED                                  780905808      141      9589 SH          SOLE                   0        0   9,589
ROYCE OPPORTUNITY                                 780905832      165     13077 SH          SOLE                   0        0  13,077
ROYCE TOTAL RETURN                                780905881        5       446 SH          SOLE                   0        0     446
ST PAUL TRAVELERS                                 792860108        0        13 SH          SOLE                   0        0      13
SELIGMAN COMMUNICTNS                              816333108      493     21511 SH          SOLE                   0        0  21,511
SENTINEL SMALL                                    817270804        5       676 SH          SOLE                   0        0     676
SMUCKER J M CO NEW                                832696405        0         4 SH          SOLE                   0        0       4
SOUTHWEST AIRLNS CO                               844741108       23      1500 SH          SOLE                   0        0   1,500
SYSCO CORP                                        871829107       18       550 SH          SOLE                   0        0     550
TEXAS INSTRUMENTS                                 882508104       31      1300 SH          SOLE                   0        0   1,300
TOCQUEVILLE                                       888894862      104      2982 SH          SOLE                   0        0   2,982
US BANCORP DEL                                    902973304        6       215 SH          SOLE                   0        0     215
WAL-MART STORES INC                               931142103        8       140 SH          SOLE                   0        0     140
WALGREEN COMPANY                                  931422109        5       150 SH          SOLE                   0        0     150
AMERICAN WASHINGTON                               939330403       10       341 SH          SOLE                   0        0     341
WEITZ VALUE                                       949045108      130      3564 SH          SOLE                   0        0   3,564
WYETH                                             983024100        4       100 SH          SOLE                   0        0     100
ABN AMRO MONTAG AND                               00078H299       10       455 SH          SOLE                   0        0     455
ALLIANCE CAP MGMT                                 01855A101       19       500 SH          SOLE                   0        0     500
BILOXI MISS PUB SCH                               09025PBF2       27     25000 SH          SOLE                   0        0  25,000






                                                                      SHRS OR                                   VOTING AUTHORITY
                                     TITLE OF                 VALUE     PRN    SH/ PCT/ INVESTMENT  OTHER   ------------------------
         NAMES OF ISSUER              CLASS          CUSIP   [X$1000]   AMT    PRN CALL DISCRETION MANAGERS   SOLE    SHARED  NONE
--------------------------------- --------------- ---------- -------- -------- --- ---- ---------- -------- -------- ------- -------
                                                                                            
CAPITAL ONE                                       14040H105        7       100 SH          SOLE                   0        0     100
CISCO SYS INC                                     17275R102       56      3000 SH          SOLE                   0        0   3,000
COLUMBIA SMALL                                    19764L232       66      3232 SH          SOLE                   0        0   3,232
COLUMBIA SMALL CAP                                19764W626       55      3075 SH          SOLE                   0        0   3,075
EXXON MOBIL CORP                                  30231G102       71      1450 SH          SOLE                   0        0   1,450
FT UNIT 822 TARGET                                30268A572       15      1577 SH          SOLE                   0        0   1,577
FIRST EAGLE                                       32008F101      291     14454 SH          SOLE                   0        0  14,454
FIRST TR ADVANTAGE                                33732A210        2         5 SH          SOLE                   0        0       5
FLOWOOD MISS TAX                                  343534JS3       11     10000 SH          SOLE                   0        0  10,000
FORD MOTOR CR CO                                  345397UA9       21     20000 SH          SOLE                   0        0  20,000
GABELLI SMALL CAP                                 36239T103        5       188 SH          SOLE                   0        0     188
GENERAL MTRS ACCEP                                3704A0DP4       20     20000 SH          SOLE                   0        0  20,000
GENERAL MTRS ACCEP                                3704A0HP0       48     50000 SH          SOLE                   0        0  50,000
HARRISON CNTY MISS                                415114AS6       11     10000 SH          SOLE                   0        0  10,000
JDS UNIPHASE CORP                                 46612J101        1       250 SH          SOLE                   0        0     250
JACKSON MISS PUB SCH                              46844NAT9       43     40000 SH          SOLE                   0        0  40,000
JUNIPER NETWORKS                                  48203R104        3       100 SH          SOLE                   0        0     100
MBNA CORP                                         55262L100       15       600 SH          SOLE                   0        0     600
MKS INSTRUMENTS INC                               55306N104        3       200 SH          SOLE                   0        0     200
MERISTAR HOSPITALITY                              58984Y103        5       847 SH          SOLE                   0        0     847
NAUTILUS GROUP INC                                63910B102        6       300 SH          SOLE                   0        0     300
REGIONS FINL CORP                                 7591EP100       28       800 SH          SOLE                   0        0     800
T ROWE PRICE                                      77957Y106        5       231 SH          SOLE                   0        0     231
S M EDL BLDG CORP                                 784532DW0       43     40000 SH          SOLE                   0        0  40,000
S & P 500 DEPOSITORY                              78462F103       85       750 SH          SOLE                   0        0     750
SELECT SECTOR SPDR                                81369Y100      104      3799 SH          SOLE                   0        0   3,799
SECTOR SPDR TR SHS                                81369Y605      393     13833 SH          SOLE                   0        0  13,833
WORLDCOM INC GA NEW                               98157D106        0      1095 SH          SOLE                   0        0   1,095
WORLDCOM INC GA (MCI                              98157D304        0        55 SH          SOLE                   0        0      55
ZIMMER HLDGS INC                                  98956P102       15       200 SH          SOLE                   0        0     200
AMDOCS LIMITED                                    G02602103        8       325 SH          SOLE                   0        0     325
FLEXTRONICS INTL INC                              Y2573F102       20      1700 SH          SOLE                   0        0   1,700
                                                              ------  --------                              -------  ------- -------
GRAND TOTALS                                                  586530  10986476                              7188449  3023905 774,122
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