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

                                   Form 13F
                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2007

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:    First Commonwealth Financial Corporation
Address: 22 North Sixth Street
         Indiana, PA, 15701

Form 13F File Number: 28-05151

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 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:  Edward J. Lipkus, III
Title: Executive Vice President and
       Chief Financial Officer
Phone: (724) 463-4724

Signature, Place, and Date of Signing:

/s/ Edward J. Lipkus, III
-------------------------         Indiana, PA,            February 14, 2008
 Edward J. Lipkus, III,

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).)



                             Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                1
Form 13F Information Table Entry Total:         191
Form 13F Information Table Value Total: $   134,584
                                         (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.

Number: 1

Form 13F File Number:28-11893

Name:



                          FORM 13F INFORMATION TABLE



COLUMN 1           COL 2     COL 3    COL 4   COLUMN 5            COL 6     COL 7   COLUMN 8
--------          -------- --------- -------- --------          ---------- -------- --------
                                                                                      VOTING AUTHORITY
                                                                                    ---------------------
                                      MARKET
                  TITLE OF            VALUE    SHS OR  SH/ PUT/ INVESTMENT  OTHER
ISSUER             CLASS     CUSIP   (X$1000) PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE   SHARED NONE
------            -------- --------- -------- -------- --- ---- ---------- -------- -------- ------ -----
                                                                   
1CONSTELLATION
  ENERGY GROUP
  I..............  COMMON  210371100      3        30  SH        DEFINED      1                        30
1L-3
  COMMUNICATIONS
  HLDGS INC......  COMMON  502424104    768     7,254  SH        DEFINED      1       7,218            36
1SOUTHERN CO.....  COMMON  842587107      6       150  SH          OTHER      1         150
3M CO............  COMMON  88579Y101    289     3,430  SH        DEFINED      1       2,670           760
3M CO............  COMMON  88579Y101    774     9,185  SH          OTHER      1       9,185
ABBOTT LABS......  COMMON  002824100  1,176    20,948  SH        DEFINED      1      19,383         1,565
ABBOTT LABS......  COMMON  002824100     37       667  SH          OTHER      1         667
ADOBE SYS INC....  COMMON  00724F101    718    16,807  SH        DEFINED      1      16,807
ADOBE SYS INC....  COMMON  00724F101      7       167  SH          OTHER      1         167
AIR PRODS &
  CHEMS INC......  COMMON  009158106    811     8,220  SH        DEFINED      1       8,220
AIR PRODS &
  CHEMS INC......  COMMON  009158106     15       150  SH          OTHER      1         150
ALLEGHENY
  ENERGY INC.....  COMMON  017361106    220     3,454  SH        DEFINED      1       3,454
ALLSTATE CORP....  COMMON  020002101    987    18,906  SH        DEFINED      1      18,136           770
ALLSTATE CORP....  COMMON  020002101    351     6,729  SH          OTHER      1       6,729
ALTRIA GROUP
  INC............  COMMON  02209S103  1,192    15,775  SH        DEFINED      1      15,539           236
ALTRIA GROUP
  INC............  COMMON  02209S103  2,399    31,740  SH          OTHER      1      31,740
AMERICAN INTL
  GROUP INC......  COMMON  026874107    935    16,040  SH        DEFINED      1      14,900         1,140
AMERICAN INTL
  GROUP INC......  COMMON  026874107     78     1,343  SH          OTHER      1       1,343
ANHEUSER BUSCH
  COS INC........  COMMON  035229103    414     7,904  SH        DEFINED      1       7,904
ANHEUSER BUSCH
  COS INC........  COMMON  035229103    277     5,300  SH          OTHER      1       5,300
APACHE CORP......  COMMON  037411105  1,279    11,889  SH        DEFINED      1      11,889
APACHE CORP......  COMMON  037411105    105       974  SH          OTHER      1         450    524
APPLE INC........  COMMON  037833100  1,064     5,370  SH        DEFINED      1       5,370
APPLE INC........  COMMON  037833100     10        50  SH          OTHER      1          50
AT&T INC.........  COMMON  00206R102  2,605    62,692  SH        DEFINED      1      60,702         1,990
AT&T INC.........  COMMON  00206R102    303     7,290  SH          OTHER      1       7,285             5
BANK OF AMERICA
  CORPORATION....  COMMON  060505104  1,059    25,670  SH        DEFINED      1      22,444         3,226
BANK OF AMERICA
  CORPORATION....  COMMON  060505104    251     6,075  SH          OTHER      1       6,075
BANK OF NEW
  YORK MELLON
  CORP...........  COMMON  064058100    493    10,111  SH        DEFINED      1      10,074            37
BANK OF NEW
  YORK MELLON
  CORP...........  COMMON  064058100    195     3,997  SH          OTHER      1       1,372    400  2,225
BARR
  PHARMACEUTICALS
  INC............  COMMON  068306109    832    15,662  SH        DEFINED      1      14,842           820
BARR
  PHARMACEUTICALS
  INC............  COMMON  068306109     29       542  SH          OTHER      1         542
BECTON
  DICKINSON &
  CO.............  COMMON  075887109  1,037    12,402  SH        DEFINED      1      12,025           377
BECTON
  DICKINSON &
  CO.............  COMMON  075887109     78       933  SH          OTHER      1         933
BERKSHIRE
  SECURITIES.....  COMMON  084991868  1,412     6,140  SH        DEFINED      1       6,140
BERKSHIRE
  SECURITIES.....  COMMON  084991868    414     1,800  SH          OTHER      1       1,800
BOEING CO........  COMMON  097023105     51       585  SH        DEFINED      1         585
BOEING CO........  COMMON  097023105    344     3,936  SH          OTHER      1       3,936
BP PLC...........  COMMON  055622104    602     8,232  SH        DEFINED      1       8,176            56
BP PLC...........  COMMON  055622104    453     6,192  SH          OTHER      1       5,190  1,002
BURLINGTON
  NORTHN SANTA
  FE C...........  COMMON  12189T104    247     2,970  SH        DEFINED      1       2,970
CAPITAL ONE FINL
  CORP...........  COMMON  14040H105    295     6,241  SH        DEFINED      1       6,241
CATERPILLAR INC
  DEL............  COMMON  149123101     72       989  SH        DEFINED      1         989
CATERPILLAR INC
  DEL............  COMMON  149123101    165     2,275  SH          OTHER      1       2,275
CHEVRON CORP
  NEW............  COMMON  166764100  1,520    16,285  SH        DEFINED      1      14,442         1,843
CHEVRON CORP
  NEW............  COMMON  166764100    590     6,327  SH          OTHER      1       5,702           625
CISCO SYS INC....  COMMON  17275R102  1,246    46,012  SH        DEFINED      1      42,135         3,877
CISCO SYS INC....  COMMON  17275R102    253     9,333  SH          OTHER      1       9,333
CITIGROUP INC....  COMMON  172967101    765    25,982  SH        DEFINED      1      25,952            30
CITIGROUP INC....  COMMON  172967101    101     3,431  SH          OTHER      1       3,203    228
CNB FINL CORP
  PA.............  COMMON  126128107    317    23,400  SH        DEFINED      1      23,400
CONOCOPHILLIPS...  COMMON  20825C104    427     4,834  SH        DEFINED      1       3,164         1,670
CONOCOPHILLIPS...  COMMON  20825C104    177     2,000  SH          OTHER      1       2,000
CONSTELLATION
  ENERGY GROUP
  I..............  COMMON  210371100    256     2,500  SH          OTHER      1       2,500
CVS CAREMARK
  CORPORATION....  COMMON  126650100    794    19,987  SH        DEFINED      1      19,987
CVS CAREMARK
  CORPORATION....  COMMON  126650100     32       801  SH          OTHER      1         801
DANAHER CORP
  DEL............  COMMON  235851102    209     2,377  SH        DEFINED      1       2,377
DISNEY WALT CO...  COMMON  254687106  1,004    31,109  SH        DEFINED      1      29,799         1,310
DISNEY WALT CO...  COMMON  254687106     29       900  SH          OTHER      1         900
DOMINION RES INC
  VA NEW.........  COMMON  25746U109    956    20,157  SH        DEFINED      1      20,130            27
DOMINION RES INC
  VA NEW.........  COMMON  25746U109    148     3,124  SH          OTHER      1       3,124
DOW CHEM CO......  COMMON  260543103    230     5,841  SH        DEFINED      1       5,841
DOW CHEM CO......  COMMON  260543103     10       250  SH          OTHER      1         250






COLUMN 1          COL 2     COL 3    COL 4   COLUMN 5             COL 6     COL 7   COLUMN 8
--------         -------- --------- -------- ---------          ---------- -------- ---------
                                                                                       VOTING AUTHORITY
                                                                                    ----------------------
                                     MARKET
                 TITLE OF            VALUE    SHS OR   SH/ PUT/ INVESTMENT  OTHER
ISSUER            CLASS     CUSIP   (X$1000) PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE    SHARED NONE
------           -------- --------- -------- --------- --- ---- ---------- -------- --------- ------ -----
                                                                    
DU PONT E I DE
  NEMOURS &
  CO............  COMMON  263534109     304      6,904 SH        DEFINED      1         6,904
DU PONT E I DE
  NEMOURS &
  CO............  COMMON  263534109      84      1,900 SH          OTHER      1           300  1,600
EASTMAN CHEM
  CO............  COMMON  277432100     591      9,678 SH        DEFINED      1         9,663           15
EASTMAN CHEM
  CO............  COMMON  277432100      32        526 SH          OTHER      1           526
EBAY INC........  COMMON  278642103     782     23,548 SH        DEFINED      1        23,548
EBAY INC........  COMMON  278642103      17        525 SH          OTHER      1           525
EDISON INTL.....  COMMON  281020107     483      9,055 SH        DEFINED      1         9,025           30
ELECTRONIC ARTS
  INC...........  COMMON  285512109     533      9,119 SH        DEFINED      1         9,119
ELECTRONIC ARTS
  INC...........  COMMON  285512109       6        100 SH          OTHER      1           100
EMBRYO DEV
  CORP..........  COMMON  290818103       0     15,000 SH        DEFINED      1        15,000
EMERSON ELEC
  CO............  COMMON  291011104      79      1,390 SH        DEFINED      1           600          790
EMERSON ELEC
  CO............  COMMON  291011104   1,003     17,710 SH          OTHER      1        17,710
ESB FINANCIAL
  CORP..........  COMMON  26884F102     125     12,510 SH        DEFINED               12,510      0     0
EXELON CORP.....  COMMON  30161N101     168      2,056 SH        DEFINED      1         2,036           20
EXELON CORP.....  COMMON  30161N101      83      1,016 SH          OTHER      1         1,016
EXXON MOBIL
  CORP..........  COMMON  30231G102   4,696     50,126 SH        DEFINED      1        50,126
EXXON MOBIL
  CORP..........  COMMON  30231G102   2,800     29,885 SH          OTHER      1         9,968 19,917
FEDEX CORP......  COMMON  31428X106     719      8,058 SH        DEFINED      1         7,838          220
FEDEX CORP......  COMMON  31428X106      20        225 SH          OTHER      1           225
FIRST COMWLTH
  FINL CORP PA..  COMMON  319829107  12,611  1,184,174 SH        DEFINED      1     1,180,708  3,466
FIRST COMWLTH
  FINL CORP PA..  COMMON  319829107     433     40,664 SH          OTHER      1        19,949 20,715
FIRSTMERIT
  CORP..........  COMMON  337915102     200     10,000 SH        DEFINED               10,000      0     0
FNB.............  COMMON  302520101   4,463    303,600 SH        DEFINED              303,600      0     0
FORTUNE BRANDS
  INC...........  COMMON  349631101     848     11,713 SH        DEFINED      1        11,073          640
FORTUNE BRANDS
  INC...........  COMMON  349631101      24        325 SH          OTHER      1           325
FPL GROUP INC...  COMMON  302571104     153      2,254 SH        DEFINED      1         2,150          104
FPL GROUP INC...  COMMON  302571104     101      1,483 SH          OTHER      1         1,483
FRANKLIN RES
  INC...........  COMMON  354613101     501      4,374 SH        DEFINED      1         4,374
FRANKLIN RES
  INC...........  COMMON  354613101       9         75 SH          OTHER      1            75
GATEWAY BANK
  OF
  PENNSYLVANIA..  COMMON  869099101      50      5,000 SH        DEFINED                5,000      0     0
GENERAL
  ELECTRIC CO...  COMMON  369604103   2,173     58,608 SH        DEFINED      1        55,743        2,865
GENERAL
  ELECTRIC CO...  COMMON  369604103   4,767    128,608 SH          OTHER      1       126,778  1,830
GOODRICH
  CORP..........  COMMON  382388106     638      9,034 SH        DEFINED      1         9,010           24
GOODRICH
  CORP..........  COMMON  382388106       7        100 SH          OTHER      1           100
GOOGLE INC......  COMMON  38259P508     658        952 SH        DEFINED      1           952
GOOGLE INC......  COMMON  38259P508       7         10 SH          OTHER      1            10
HARLEYSVILLE
  NATIONAL
  CORP..........  COMMON  412850109     690     47,349 SH        DEFINED               47,349      0     0
HARTFORD FINL
  SVCS GROUP
  INC...........  COMMON  416515104   1,075     12,329 SH        DEFINED      1        11,829          500
HARTFORD FINL
  SVCS GROUP
  INC...........  COMMON  416515104      69        792 SH          OTHER      1           792
HELMERICH &
  PAYNE INC.....  COMMON  423452101     858     21,408 SH        DEFINED      1        21,408
HELMERICH &
  PAYNE INC.....  COMMON  423452101      12        300 SH          OTHER      1           300
HUNTINGTON
  BANCSHARES,
  INC...........  COMMON  446150104     221     15,000 SH        DEFINED               15,000      0     0
INGERSOLL-RAND
  COMPANY
  LTD...........  COMMON  G4776G101      32        687 SH        DEFINED      1           597           90
INGERSOLL-RAND
  COMPANY
  LTD...........  COMMON  G4776G101     567     12,200 SH          OTHER      1        12,200
INTEL CORP......  COMMON  458140100     388     14,535 SH        DEFINED      1        10,035        4,500
INTEL CORP......  COMMON  458140100      96      3,600 SH          OTHER      1         3,600
INTERNATIONAL
  BUSINESS
  MACHS.........  COMMON  459200101   1,499     13,866 SH        DEFINED      1        13,785           81
INTERNATIONAL
  BUSINESS
  MACHS.........  COMMON  459200101   1,622     15,000 SH          OTHER      1        14,900    100
JACOBS ENGR
  GROUP INC
  DEL...........  COMMON  469814107   1,535     16,051 SH        DEFINED      1        16,051
JACOBS ENGR
  GROUP INC
  DEL...........  COMMON  469814107      68        715 SH          OTHER      1           715
JOHNSON &
  JOHNSON.......  COMMON  478160104   1,383     20,739 SH        DEFINED      1        19,724        1,015
JOHNSON &
  JOHNSON.......  COMMON  478160104     601      9,007 SH          OTHER      1         9,007
JP MORGAN
  CHASE & CO....  COMMON  46625H100     344      7,889 SH        DEFINED      1         5,977        1,912
JP MORGAN
  CHASE & CO....  COMMON  46625H100     147      3,370 SH          OTHER      1         3,370
JUNIATA VALLEY
  NATL BK.......  COMMON  482016102     989     48,238 SH        DEFINED      1        48,238
KENNAMETAL
  INC...........  COMMON  489170100     372      9,814 SH        DEFINED      1         9,814
KENNAMETAL
  INC...........  COMMON  489170100       6        150 SH          OTHER      1           150
KRAFT FOODS
  INC...........  COMMON  50075N104      30        934 SH        DEFINED      1           830          104
KRAFT FOODS
  INC...........  COMMON  50075N104     734     22,501 SH          OTHER      1        22,501
L-3
  COMMUNICATIONS
  HLDGS INC.....  COMMON  502424104      26        250 SH          OTHER      1           250
LEESPORT
  FINANCIAL
  CORPORATION...  COMMON  524477106   1,696     95,005 SH        DEFINED               95,005      0     0
LOWES COS INC...  COMMON  548661107     264     11,682 SH        DEFINED      1        11,682
LOWES COS INC...  COMMON  548661107     114      5,033 SH          OTHER      1         4,433    600
MAGNITUDE
  INFORMATION
  SYS IN........  COMMON  559534102       4    112,400 SH        DEFINED      1       112,400
MANITOWOC
  INC...........  COMMON  563571108     690     14,139 SH        DEFINED      1        14,139
MANITOWOC
  INC...........  COMMON  563571108      12        250 SH          OTHER      1           250
MARATHON OIL
  CORP..........  COMMON  565849106     249      4,096 SH        DEFINED      1         1,816        2,280






COLUMN 1          COL 2     COL 3    COL 4   COLUMN 5             COL 6     COL 7   COLUMN 8
--------         -------- --------- -------- ---------          ---------- -------- --------
                                                                                      VOTING AUTHORITY
                                                                                    ---------------------
                                     MARKET
                 TITLE OF            VALUE    SHS OR   SH/ PUT/ INVESTMENT  OTHER
ISSUER            CLASS     CUSIP   (X$1000) PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE   SHARED NONE
------           -------- --------- -------- --------- --- ---- ---------- -------- -------- ------ -----
                                                                   
MCCORMICK & CO
  INC...........  COMMON  579780206     704     18,568 SH        DEFINED      1      17,713           855
MERRILL LYNCH &
  CO INC........  COMMON  590188108     238      4,425 SH          OTHER      1       4,425
MICROSOFT
  CORP..........  COMMON  594918104   1,362     38,255 SH        DEFINED      1      36,303         1,952
MICROSOFT
  CORP..........  COMMON  594918104     241      6,758 SH          OTHER      1       6,758
MORGAN
  STANLEY.......  COMMON  617446448       1         20 SH        DEFINED      1                        20
MORGAN
  STANLEY.......  COMMON  617446448     249      4,680 SH          OTHER      1       4,680
NATIONAL CITY
  CORP..........  COMMON  635405103     230     14,003 SH        DEFINED      1      14,003
NATIONAL CITY
  CORP..........  COMMON  635405103       2        150 SH          OTHER      1         150
NEW MEXICO
  BANQUEST......  COMMON  647991926   1,686      7,207 SH        DEFINED      1       7,207
NEW MEXICO
  BANQUEST......  COMMON  647991926     124        529 SH          OTHER      1         529
OMEGA
  FINANCIAL
  CORP..........  COMMON  682092101   4,839    165,377 SH        DEFINED            165,377      0      0
ORACLE CORP.....  COMMON  68389X105   1,000     44,292 SH        DEFINED      1      44,292
ORACLE CORP.....  COMMON  68389X105      66      2,933 SH          OTHER      1       2,933
PARKER HANNIFIN
  CORP..........  COMMON  701094104     740      9,820 SH        DEFINED      1       9,820
PARKER HANNIFIN
  CORP..........  COMMON  701094104       8        100 SH          OTHER      1         100
PARKVALE
  FINANCIAL
  CORP..........  COMMON  701492100   6,231    224,544 SH        DEFINED            224,544      0      0
PENNSYLVANIA RL
  ESTATE INVT...  COMMON  709102107     220      7,414 SH        DEFINED      1       7,414
PEPSICO INC.....  COMMON  713448108   1,713     22,575 SH        DEFINED      1      21,727           848
PEPSICO INC.....  COMMON  713448108   1,641     21,617 SH          OTHER      1      21,617
PETSMART INC....  COMMON  716768106     551     23,407 SH        DEFINED      1      22,297         1,110
PNC FINL SVCS
  GROUP INC.....  COMMON  693475105     314      4,788 SH        DEFINED      1       4,604           184
PNC FINL SVCS
  GROUP INC.....  COMMON  693475105     263      4,000 SH          OTHER      1       4,000
PPG INDS INC....  COMMON  693506107     203      2,888 SH        DEFINED      1       2,888
PPG INDS INC....  COMMON  693506107   1,496     21,304 SH          OTHER      1      16,454  4,850
PPL CORP........  COMMON  69351T106     362      6,942 SH        DEFINED      1       6,942
PPL CORP........  COMMON  69351T106     146      2,800 SH          OTHER      1       2,800
ROYAL
  BANCSHARES OF
  PENN-A........  COMMON  780081105     222     20,156 SH        DEFINED             20,156      0      0
ROYAL DUTCH
  SHELL PLC.....  COMMON  780259206      68        802 SH        DEFINED      1         714            88
ROYAL DUTCH
  SHELL PLC.....  COMMON  780259206     379      4,500 SH          OTHER      1       4,500
S & T BANCORP
  INC...........  COMMON  783859101   2,335     84,476 SH        DEFINED      1      84,476
S & T BANCORP
  INC...........  COMMON  783859101      40      1,464 SH          OTHER      1       1,464
SCHLUMBERGER
  LTD...........  COMMON  806857108     959      9,748 SH        DEFINED      1       9,658            90
SCHLUMBERGER
  LTD...........  COMMON  806857108     312      3,168 SH          OTHER      1       3,168
SOUTHERN CO.....  COMMON  842587107     256      6,608 SH        DEFINED      1       6,374           234
SUSQUEHANNA
  BANCSHARES
  INC...........  COMMON  869099101   1,281     69,487 SH        DEFINED             69,487      0      0
SUSQUEHANNA
  BANCSHARES
  INC P.........  COMMON  869099101     963     52,242 SH        DEFINED      1      52,242
TARGET CORP.....  COMMON  87612E106     880     17,609 SH        DEFINED      1      17,609
TARGET CORP.....  COMMON  87612E106     248      4,963 SH          OTHER      1       4,963
TEXAS INSTRS
  INC...........  COMMON  882508104     848     25,397 SH        DEFINED      1      23,447         1,950
TEXAS INSTRS
  INC...........  COMMON  882508104      86      2,567 SH          OTHER      1       2,567
THERMO FISHER
  SCIENTIFIC
  INC...........  COMMON  883556102     875     15,168 SH        DEFINED      1      15,168
THERMO FISHER
  SCIENTIFIC
  INC...........  COMMON  883556102      12        200 SH          OTHER      1         200
TRISTATE CAPITAL
  BANK..........  COMMON  99R733108     500     50,000 SH        DEFINED             50,000      0      0
UNITED
  TECHNOLOGIES
  CORP..........  COMMON  913017109     511      6,680 SH        DEFINED      1       5,975           705
UNITED
  TECHNOLOGIES
  CORP..........  COMMON  913017109      25        333 SH          OTHER      1         333
VALERO ENERGY
  CORP NEW......  COMMON  91913Y100   1,045     14,919 SH        DEFINED      1      14,919
VALERO ENERGY
  CORP NEW......  COMMON  91913Y100      35        500 SH          OTHER      1         500
VERIZON
  COMMUNICATIONS  COMMON  92343V104   2,233     51,102 SH        DEFINED      1      51,102
VERIZON
  COMMUNICATIONS  COMMON  92343V104   1,068     24,436 SH          OTHER      1      19,892  4,544
VODAFONE GROUP
  PLC NEW.......  COMMON  92857W209      94      2,528 SH        DEFINED      1       2,528
VODAFONE GROUP
  PLC NEW.......  COMMON  92857W209     196      5,250 SH          OTHER      1       5,250
WACHOVIA CORP
  NEW...........  COMMON  929903102     960     25,254 SH        DEFINED      1      25,150           104
WELLPOINT INC...  COMMON  94973V107     914     10,414 SH        DEFINED      1      10,414
WELLPOINT INC...  COMMON  94973V107      24        275 SH          OTHER      1         275
WELLS FARGO &
  CO NEW........  COMMON  949746101     987     32,679 SH        DEFINED      1      31,324         1,355
WELLS FARGO &
  CO NEW........  COMMON  949746101     176      5,832 SH          OTHER      1       5,832
WILLOW
  FINANCIAL
  BANCORP, INC..  COMMON  97111W101     598     71,303 SH        DEFINED             71,303      0      0
WINDSTREAM
  CORP..........  COMMON  97381W104      50      3,825 SH        DEFINED      1       3,547           278
WINDSTREAM
  CORP..........  COMMON  97381W104      85      6,527 SH          OTHER      1         100         6,427
WYETH...........  COMMON  983024100     194      4,381 SH        DEFINED      1       4,381
WYETH...........  COMMON  983024100      18        400 SH          OTHER      1         400
GRAND TOTALS....                    134,584  4,396,089