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

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

                                    FORM 13F

                              FORM 13F COVER PAGE

     Report for the Calendar Year or Quarter Ended: June 30, 2011

     Check here if Amendment [  ]; Amendment Number:

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

                                          [   ] adds new holdings entries.

     Institutional Investment Manager Filing this Report:

     Name:                 BancorpSouth Inc.

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

     Form 13F File Number: 28-10453

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

     Person Signing this Report on Behalf of Reporting Manager:

     Name: Cathy S. Freeman

     Title: Executive Vice President and Corporate Secretary

     Phone: (662) 680-2084

     Signature Place and Date of Signing:

/s/ Cathy S. Freeman           Tupelo Mississippi          August 9, 2011
--------------------------     -------------------------   ------------------
[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.

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                             FORM 13F SUMMARY PAGE


     Report Summary:

     Number of Other Included Managers:     1

     Form 13F Information Table Entry Total:  299

     Form 13F Information Table Value Total:  $1,026,999
                                              (thousands)

LIST OF OTHER INCLUDED MANAGERS:

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

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

                                       2


                           FORM 13F INFORMATION TABLE



                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
COOPER INDUSTRIES PLC          SHS             G24140108       244      4,089  SH         X           1      4,041         0      48
HERBALIFE LTD                  COM USD SHS     G4412G101       279      4,833  SH         X           1      4,833         0       0
LAZARD LTD                     SHS A           G54050102       210      5,673  SH         X           1      5,608         0      65
MARVELL TECHNOLOGY GROUP LTD   ORD             G5876H105       148     10,042  SH         X           1     10,042         0       0
SIGNET JEWELERS LIMITED        SHS             G81276100       210      4,481  SH         X           1      4,481         0       0
WILLIS GROUP HOLDINGS PUBLIC   SHS             G96666105       221      5,383  SH         X           1      5,313         0      70
ACE LTD                        SHS             H0023R105       332      5,039  SH         X           1      4,994         0      45
CHECK POINT SOFTWARE TECH LT   ORD             M22465104       222      3,904  SH         X           1      3,904         0       0
AERCAP HOLDINGS NV             SHS             N00985106       168     12,891  SH         X           1     12,891         0       0
COPA HOLDINGS SA               CL A            P31076105       232      3,477  SH         X           1      3,427         0      50
FLEXTRONICS INTL LTD           ORD             Y2573F102       393     61,181  SH         X           1     60,653         0     528
AT&T INC                       COM             00206R102     1,135     36,127  SH         X           1     30,042         0   6,085
AT&T INC                       COM             00206R102       178      5,666  SH              X      1        283     5,383       0
ABBOTT LABS                    COM             002824100       913     17,350  SH         X           1     15,056         0   2,294
ABBOTT LABS                    COM             002824100       222      4,210  SH              X      1        112     4,098       0
AETNA INC NEW                  COM             00817Y108       229      5,204  SH         X           1      5,140         0      64
AIR PRODS & CHEMS INC          COM             009158106       671      7,019  SH         X           1      7,019         0       0
ALLEGHENY TECHNOLOGIES INC     COM             01741R102       232      3,661  SH         X           1      3,631         0      30
ALLERGAN INC                   COM             018490102       265      3,180  SH         X           1      3,180         0       0
ALLSCRIPTS HEALTHCARE SOLUTN   COM             01988P108       320     16,495  SH         X           1     16,340         0     155
ALTRIA GROUP INC               COM             02209S103       507     19,208  SH         X           1     14,420         0   4,788
ALTRIA GROUP INC               COM             02209S103        10        388  SH              X      1        206       182       0
AMERICAN EXPRESS CO            COM             025816109       692     13,394  SH         X           1     13,394         0       0
AMGEN INC                      COM             031162100       462      7,918  SH         X           1      7,918         0       0


                                       3




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
AMPHENOL CORP NEW              CL A            032095101       317      5,880  SH         X           1      5,830         0      50
APACHE CORP                    COM             037411105       349      2,832  SH         X           1      2,794         0      38
APPLE INC                      COM             037833100       930      2,771  SH         X           1      2,771         0       0
APPLIED MATLS INC              COM             038222105       405     31,112  SH         X           1     30,782         0     330
ARCHER DANIELS MIDLAND CO      COM             039483102       409     13,572  SH         X           1     13,442         0     130
ARTIO GLOBAL INVT FDS          INTL EQ CL I    04315J506       222      7,239  SH         X           1          0         0   7,239
ASTRAZENECA PLC                SPONSORED ADR   046353108       423      8,454  SH         X           1      5,060         0   3,394
ASTRAZENECA PLC                SPONSORED ADR   046353108        14        271  SH              X      1        144       127       0
ATMEL CORP                     COM             049513104       296     21,057  SH         X           1     20,822         0     235
AUTODESK INC                   COM             052769106       413     10,696  SH         X           1     10,656         0      40
BASF SE                        SPONSORED ADR   055262505       228      2,332  SH         X           1      2,332         0       0
BCE INC                        COM NEW         05534B760       245      6,234  SH         X           1      2,853         0   3,381
BCE INC                        COM NEW         05534B760        14        365  SH              X      1        193       172       0
BP PLC                         SPONSORED ADR   055622104       252      5,700  SH         X           1      5,550         0     150
BP PLC                         SPONSORED ADR   055622104       124      2,800  SH              X      1      2,800         0       0
BALLY TECHNOLOGIES INC         COM             05874B107       231      5,687  SH         X           1      5,627         0      60
BANCO SANTANDER BRASIL S A     ADS REP 1 UNIT  05967A107       122     10,384  SH         X           1     10,384         0       0
BANCORPSOUTH INC               COM             059692103    12,509  1,007,942  SH         X           1    886,008         0 121,934
BANCORPSOUTH INC               COM             059692103       139     11,192  SH              X      1      8,600     2,592       0
BANK OF AMERICA CORPORATION    COM             060505104       145     13,208  SH         X           1     13,208         0       0
BANK OF THE OZARKS INC         COM             063904106     3,126     60,051  SH         X           1     60,051         0       0
BARON INVT FDS TR              SMALL CAP FD    068278308       237      8,912  SH         X           1          0         0   8,912
BAXTER INTL INC                COM             071813109       651     10,907  SH         X           1     10,851         0      56
BE AEROSPACE INC               COM             073302101       291      7,136  SH         X           1      7,051         0      85
BERKSHIRE HATHAWAY INC DEL CL  B NEW           084670702       880     11,371  SH         X           1     11,371         0       0
BRISTOL MYERS SQUIBB CO        COM             110122108       499     17,217  SH         X           1     10,408         0   6,809


                                       4




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
BRISTOL MYERS SQUIBB CO        COM             110122108        18        617  SH              X      1        328       289       0
BROADCOM CORP                  CL A            111320107       442     13,128  SH         X           1     13,058         0      70
CVS CAREMARK CORPORATION       COM             126650100       229      6,087  SH         X           1      6,012         0      75
1 CATERPILLAR INC DEL          COM             149123101       476      4,475  SH         X           1      4,475         0       0
CELESTICA INC                  SUB VTG SHS     15101Q108       160     18,313  SH         X           1     18,313         0       0
CELGENE CORP                   COM             151020104       428      7,096  SH         X           1      7,096         0       0
CEPHEID                        COM             15670R107       292      8,422  SH         X           1      8,422         0       0
CENTURYLINK INC                COM             156700106       252      6,232  SH         X           1      3,706         0   2,526
CENTURYLINK INC                COM             156700106        11        270  SH              X      1        142       128       0
CHEVRON CORP NEW               COM             166764100     1,929     18,759  SH         X           1     18,048         0     711
CHEVRON CORP NEW               COM             166764100       745      7,247  SH              X      1      7,228        19       0
CISCO SYS INC                  COM             17275R102       158     10,117  SH         X           1     10,117         0       0
CITIZENS HLDG CO MISS          COM             174715102     3,100    158,987  SH         X           1    158,987         0       0
CLIFFS NATURAL RESOURCES INC   COM             18683K101       598      6,466  SH         X           1      6,466         0       0
COCA COLA CO                   COM             191216100       601      8,932  SH         X           1      8,341         0     591
COCA COLA CO                   COM             191216100       327      4,864  SH              X      1      4,834        30       0
COLGATE PALMOLIVE CO           COM             194162103       243      2,781  SH         X           1      2,781         0       0
COLUMBIA ACORN TR              INTL SELECT Z   197199763       206      7,094  SH         X           1          0         0   7,094
COMPANHIA DE BEBIDAS DAS AME   SPON ADR PFD    20441W203       218      6,451  SH         X           1      6,451         0       0
CONCHO RES INC                 COM             20605P101       338      3,683  SH         X           1      3,683         0       0
CONCUR TECHNOLOGIES INC        COM             206708109       250      4,995  SH         X           1      4,950         0      45
CONOCOPHILLIPS                 COM             20825C104       571      7,598  SH         X           1      5,554         0   2,044
CONOCOPHILLIPS                 COM             20825C104        14        180  SH              X      1         96        84       0
MONTGOMERY EXPLORATION 10.87                   216000992       227          1  SH         X           1          1         0       0
CORNING INC                    COM             219350105       568     31,317  SH         X           1     31,130         0     187
CUMMINS INC                    COM             231021106       213      2,058  SH         X           1      2,038         0      20


                                       5



                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
CYPRESS SEMICONDUCTOR CORP     COM             232806109       275     12,991  SH         X           1     12,876         0     115
DWS VALUE SER INC              SMCP VALF INST  23338F754    16,817    440,810  SH         X           1    438,907        88   1,815
DWS VALUE SER INC              SMCP VALF INST  23338F754       121      3,175  SH              X      1      2,840       335       0
DANAHER CORP DEL               COM             235851102       259      4,889  SH         X           1      4,889         0       0
DEERE & CO                     COM             244199105     1,120     13,580  SH         X           1     13,580         0       0
DELTIC TIMBER CORP             COM             247850100       340      6,324  SH         X           1      6,324         0       0
DELTIC TIMBER CORP             COM             247850100    22,321    415,743  SH              X      1          0   415,743       0
DENBURY RES INC                COM NEW         247916208       383     19,173  SH         X           1     19,173         0       0
DEVON ENERGY CORP NEW          COM             25179M103       416      5,280  SH         X           1      5,233         0      47
DODGE & COX STK FD             COM             256219106    33,394    293,910  SH         X           1    292,622        60   1,228
DODGE & COX STK FD             COM             256219106       249      2,190  SH              X      1      1,948       242       0
DOLLAR TREE INC                COM             256746108       404      6,069  SH         X           1      6,069         0       0
DOMINION RES INC VA NEW        COM             25746U109       358      7,414  SH         X           1      3,938         0   3,476
DOMINION RES INC VA NEW        COM             25746U109        15        316  SH              X      1        169       147       0
DOMTAR CORP                    COM NEW         257559203       211      2,225  SH         X           1      2,225         0       0
DREYFUS APPRECIATION FD INC    COM             261970107       526     12,826  SH         X           1     12,826         0       0
DU PONT E I DE NEMOURS & CO    COM             263534109       216      3,988  SH         X           1      3,498         0     490
DUKE ENERGY CORP NEW           COM             26441C105       344     18,260  SH         X           1     12,045         0   6,215
DUKE ENERGY CORP NEW           COM             26441C105        13        674  SH              X      1        358       316       0
E M C CORP MASS                COM             268648102       358     12,997  SH         X           1     12,997         0       0
ERHC ENERGY INC                COM             26884J104         1     10,000  SH         X           1     10,000         0       0
EAST WEST BANCORP INC          COM             27579R104       215     10,639  SH         X           1     10,639         0       0
EMERSON ELEC CO                COM             291011104     1,081     19,210  SH         X           1     19,210         0       0
EXPEDITORS INTL WASH INC       COM             302130109       243      4,756  SH         X           1      4,701         0      55
EXPRESS SCRIPTS INC            COM             302182100     1,246     23,075  SH         X           1     23,075         0       0
EXXON MOBIL CORP               COM             30231G102     5,241     64,406  SH         X           1     55,828     7,801     777


                                       6




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
EXXON MOBIL CORP               COM             30231G102     1,191     14,630  SH             X       1      6,030     8,600       0
F M C CORP                     COM NEW         302491303       209      2,429     SH                  1      2,404        25       0
FEDERATED EQUITY FDS           INTRCONT L INST 314172461    36,685    698,490  SH         X           1    695,735       129   2,626
FEDERATED EQUITY FDS           INTRCONT L INST 314172461       250      4,756  SH             X       1      4,203       553       0
FEDERATED TOTAL RETURN SERS    ULSHT INST NEW  31428Q747       202     21,859  SH         X           1     21,859         0       0
FIDELITY CONTRAFUND INC        NEW INSIGHTS I  316071604    33,677  1,607,508  SH         X           1  1,600,608       319   6,581
FIDELITY CONTRAFUND INC        NEW INSIGHTS I  316071604       244     11,650  SH             X       1     10,378     1,272       0
FIDELITY PURITAN TR            LOW PRICE STK   316345305    34,924    838,304  SH         X           1    834,678       171   3,455
FIDELITY PURITAN TR            LOW PRICE STK   316345305       311      7,472  SH         X           1      6,796       676       0
FIRSTENERGY CORP               COM             337932107       213      4,831  SH         X           1      4,831         0       0
FLOWSERVE CORP                 COM             34354P105       202      1,839  SH         X           1      1,819         0      20
1FOMENTO ECONOMICO MEXICANO S  SPON ADR UNITS  344419106       207      3,107  SH         X           1      3,107         0       0
GENERAL ELECTRIC CO            COM             369604103       743     39,380  SH         X           1     38,010         0   1,370
GENERAL MLS INC                COM             370334104       238      6,404  SH         X           1      6,404         0       0
GLAXOSMITHKLINE PLC            SPONSORED ADR   37733W105       294      6,843  SH         X           1      2,971         0   3,872
GLAXOSMITHKLINE PLC            SPONSORED ADR   37733W105        16        381  SH             X       1        202       179       0
GOOGLE INC                     CL A            38259P508       557      1,100  SH         X           1      1,100         0       0
GROUPE CGI INC                 CL A SUB VTG    39945C109       239      9,690  SH         X           1      9,690         0       0
GROWTH FD AMER INC             CL R-5 SHARES   399874833       243      7,620  SH         X           1          0         0   7,620
RESTER ENTERPRISES LP 5% INT                   404005993       211          1  SH         X           1          1         0       0
RESTER ENTERPRISES LP 8% INT                   405002999       337          1  SH         X           1          1         0       0
HALLIBURTON CO                 COM             406216101       564     11,066  SH         X           1     10,976         0      90
RESTER ENTERPRISES LP 8% INT                   407000991       337          1  SH         X           1          1         0       0
DAVIS FAMILY HOLDINGS LP                       419002993     1,194          0  SH         X           1          0         0       0
HEINZ H J CO                   COM             423074103       349      6,543  SH         X           1      2,969         0   3,574


                                       7




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
HEINZ H J CO                   COM             423074103        17        319  SH             X       1        168       151       0
HESS CORP                      COM             42809H107       331      4,424  SH         X           1      4,356         0      68
HEWLETT PACKARD CO             COM             428236103       203      5,589  SH         X           1      5,589         0       0
KEY COLONY                                     430004994       898          1  SH             X       1          0         1       0
JOHNSTON ENTERPRISES, L.P.                     432004992     1,380         54  SH         X           1         54         0       0
GURDON TIMBER LTD 36.494%                      434002994       500          1  SH         X           1          1         0       0
WOODLAND HILLS LIMITED PARTN                   435001995       220         25  SH         X           1         25         0       0
SUNNYDALE LIMITED PARTNERSHI                   436001994     1,558         88  SH         X           1         88         0       0
WEH PROPERTIES LIMITED PARTN                   436002992       410         86  SH         X           1         86         0       0
CRICKET LIMITED PARTNERSHIP                    436003990       941         28  SH         X           1         28         0       0
MCM TIMBER 3.021% INTEREST                     438002990       243          1  SH         X           1          1         0       0
MCM TIMBER 3.020% INTEREST                     438003998       243          1  SH         X           1          1         0       0
MCM TIMBER 1.510% INTEREST                     438004996     1,598          2  SH         X           1          2         0       0
HONEYWELL INTL INC             COM             438516106       308      5,170  SH         X           1      5,095         0      75
MARIE P CARTER ENTERPRISES L                   439004995     1,623          1  SH         X           1          1         0       0
OAK GROVE LAND CO, L.P. 12.5                   440000990       265          3  SH         X           1          3         0       0
REED HOLDINGS PARTNERSHIP, L                   441002995     1,240         71  SH         X           1         71         0       0
HOSPIRA INC                    COM             441060100       408      7,204  SH         X           1      7,106         0      98
HOSPIRA INC                    COM             441060100        23        400  SH             X       1          0       400       0
MCM TIMBER 12% INTEREST                        442000998       966          1  SH         X           1          1         0       0
CABEARK, LP 14.1179% INTERES                   443003991       422          1  SH         X           1          1         0       0
DCT OPERATING PARTNERSHIP                      443004999       580     75,518  SH         X           1     75,518         0       0
CABEARK, LP 84.8821% INTERES                   444003990     2,535          1  SH         X           1          1         0       0
CABE-LONG PROPERTIES, LTD                      444005995       287          4  SH         X           1          4         0       0
MCMILLON PROPERTIES L/P                        445000995     2,183         96  SH         X           1         96         0       0
CABE-LONG PROPERTIES, LTD                      445001993     1,580          4  SH         X           1          4         0       0


                                       8




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                TITLE OF                  MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                  CLASS          CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
---------------------------- --------------- - -------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
CABE-LONG PROPERTIES, LTD                      445003999       533          1  SH         X           1          1         0       0
1.08% LLC INTEREST IN                          448005991       300          1  SH         X           1          1         0       0
TALL PINES, LLC                                449001999       963         50  SH         X           1         50         0       0
DONOVAN INVESTMENTS, LLC                       449003995     4,618         99  SH         X           1         99         0       0
TPH ENERGY EQUITY FUND LP                      450005996     1,000          1  SH             X       1          0         1       0
IAMGOLD CORP                  COM              450913108       206     10,989  SH         X           1     10,924         0      65
LONGENECKER EQUITY II, LLC                     451000996     4,201         99  SH             X       1         99         0       0
ILLINOIS TOOL WKS INC         COM              452308109       249      4,402  SH         X           1      4,402         0       0
INTEL CORP                    COM              458140100       565     25,516  SH         X           1     24,366         0   1,150
INTEL CORP                    COM              458140100        71      3,200  SH             X       1      3,200         0       0
INTERCONTINENTALEXCHANGE INC  COM              45865V100       230      1,848  SH         X           1      1,848         0       0
INTERNATIONAL BUSINESS MACHS  COM              459200101     1,074      6,261  SH         X           1      6,261         0       0
INVESTMENT CO AMER            CL A             461308108       978     33,724  SH         X           1     33,724         0       0
JPMORGAN CHASE & CO           COM              46625H100       311      7,591  SH         X           1      7,591         0       0
JPMORGAN CHASE & CO           COM              46625H100        80      1,956  SH             X       1          0     1,956       0
JANUS INVT FD                 GLOBAL SEL FD T  471023648       206     17,287  SH         X           1          0         0  17,287
JANUS INVT FD                 OVERSEAS FD SHS  47103C449       241      5,148  SH         X           1          0         0   5,148
JOHNSON & JOHNSON             COM              478160104     1,527     22,958  SH         X           1     20,814         0   2,144
JOHNSON & JOHNSON             COM              478160104       385      5,786  SH             X       1      4,499     1,287       0
JOHNSON CTLS INC              COM              478366107       313      7,525  SH         X           1      7,455         0      70
JUNIPER NETWORKS INC          COM              48203R104       387     12,281  SH         X           1     12,216         0      65
KBR INC                       COM              48242W106       268      7,110  SH         X           1      7,030         0      80
KIMBERLY CLARK CORP           COM              494368103       364      5,468  SH         X           1      2,715         0   2,753
KIMBERLY CLARK CORP           COM              494368103        16        245  SH             X       1        130       115       0
KRAFT FOODS INC               CL A             50075N104       244      6,940  SH         X           1      5,920         0   1,020
LILLY ELI & CO                COM              532457108       280      7,459  SH         X           1      3,233         0   4,226


                                       9




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
LILLY ELI & CO                 COM             532457108        44      1,165  SH             X       1        993       172       0
LONGLEAF PARTNERS FDS TR       SH BEN INT      543069108       275      8,830  SH         X           1      8,830         0       0
LORD ASSET MGMT TR             T WHITE INTL    543917108       215     11,912  SH         X           1          0         0  11,912
LOWES COS INC                  COM             548661107       210      9,000  SH         X           1      9,000         0       0
MFS SER TR I                   VALUE FD CL A   552983801       224      9,379  SH         X           1          0         0   9,379
MANULIFE FINL CORP             COM             56501R106       253     14,345  SH         X           1     14,345         0       0
MCDONALDS CORP                 COM             580135101       591      7,010  SH         X           1      6,011         0     999
MCDONALDS CORP                 COM             580135101         9        111  SH             X       1         60        51       0
MEDNAX INC                     COM             58502B106       375      5,200  SH         X           1      5,160         0      40
MEDTRONIC INC                  COM             585055106       304      7,890  SH         X           1      7,786         0     104
MERCK & CO INC NEW             COM             58933Y105       201      5,704  SH         X           1      5,704         0       0
METLIFE INC                    COM             59156R108       251      5,725  SH         X           1      5,636         0      89
MICROSOFT CORP                 COM             594918104       967     37,203  SH         X           1     36,523         0     680
COLLABRX SER A PFD STOCK                       601A4X997       634    446,227  SH             X       1          0   446,227       0
MONTGOMERY EXPLORATION                         601A5Z991       295          1  SH         X           1          1         0       0
MOTOROLA MOBILITY HLDGS INC    COM             620097105       216      9,794  SH         X           1      9,647         0     147
MURPHY OIL CORP                COM             626717102     5,307     80,824  SH         X           1     80,824         0       0
MURPHY OIL CORP                COM             626717102   491,741  7,489,209  SH             X       1          0 7,489,209       0
MUTUAL SER FD INC              SHS FD CL Z     628380107       371     16,903  SH             X       1     16,903         0       0
MUTUAL SER FD INC              BEACON FD Z     628380305       174     13,366  SH             X       1     13,366         0       0
MUTUAL SER FD INC              GBL DISCVR FD Z 628380404    35,765  1,151,469  SH         X           1  1,146,905       212   4,352
MUTUAL SER FD INC              GBL DISCVR FD Z 628380404       238      7,658  SH             X       1      6,842       816       0
MYLAN INC                      COM             628530107       269     10,891  SH         X           1     10,796         0      95
NATIONAL GRID PLC              SPON ADR NEW    636274300       211      4,278  SH         X           1      1,356         0   2,922
NATIONAL GRID PLC              SPON ADR NEW    636274300        14        279  SH             X       1        148       131       0


                                       10




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
NATIONAL OILWELL VARCO INC     COM             637071101       463      5,923  SH         X           1      5,860         0      63
NETAPP INC                     COM             64110D104       737     13,970  SH         X           1     13,970         0       0
NEW PERSPECTIVE FD INC         COM             648018109       758     25,380  SH         X           1     25,380         0       0
NORDSTROM INC                  COM             655664100       343      7,302  SH         X           1      7,302         0       0
NORFOLK SOUTHERN CORP          COM             655844108       617      8,238  SH         X           1      8,180         0      58
OGX PETROLEO E GAS PART S A    SPONS ADR       670849108       104     11,155  SH         X           1     10,905         0     250
O REILLY AUTOMOTIVE INC NEW    COM             67103H107       623      9,503  SH         X           1      9,468         0      35
OCCIDENTAL PETE CORP DEL       COM             674599105       290      2,792  SH         X           1      2,792         0       0
ON SEMICONDUCTOR CORP          COM             682189105       262     25,060  SH         X           1     24,793         0     267
ORACLE CORP                    COM             68389X105       286      8,699  SH         X           1      8,699         0       0
OWENS CORNING                  NEW COM         690742101       271      7,267  SH         X           1      7,177         0      90
PDL BIOPHARMA INC              COM             69329Y104       176     30,000  SH              X      1          0    30,000       0
PEPSICO INC                    COM             713448108       726     10,305  SH         X           1     10,305         0       0
PEPSICO INC                    COM             713448108        77      1,100  SH              X      1          0     1,100       0
PFIZER INC                     COM             717081103       473     22,962  SH         X           1     22,962         0       0
PFIZER INC                     COM             717081103        29      1,420  SH              X      1        720       700       0
PHILIP MORRIS INTL INC         COM             718172109       904     13,538  SH         X           1     11,110         0   2,428
PHILIP MORRIS INTL INC         COM             718172109        15        221  SH              X      1        118       103       0
POTASH CORP SASK INC           COM             73755L107       578     10,140  SH         X           1     10,140         0       0
PRAXAIR INC                    COM             74005P104       251      2,320  SH         X           1      2,320         0       0
PRECISION CASTPARTS CORP       COM             740189105       389      2,360  SH         X           1      2,350         0      10
PRICE T ROWE GROUP INC         COM             74144T108     1,089     18,051  SH         X           1     18,021         0      30
PRICE T ROWE GROWTH STK FD I   COM             741479109    36,297  1,072,604  SH         X           1  1,067,978       201   4,425
PRICE T ROWE GROWTH STK FD I   COM             741479109       319      9,417  SH              X      1      8,533       884       0
PRICELINE COM INC              COM NEW         741503403       201        393  SH         X           1        393         0       0
PROCTER & GAMBLE CO            COM             742718109     2,244     35,298  SH         X           1     34,274         0   1,024


                                       11




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
PROCTER & GAMBLE CO            COM             742718109       388      6,111  SH             X       1      6,059        52       0
PROGRESS ENERGY RES CORP       COM             74326Y107       184     12,886  SH         X           1     12,691         0     195
PROGRESS ENERGY INC            COM             743263105       240      4,995  SH         X           1      3,106         0   1,889
1 PROGRESS ENERGY INC          COM             743263105        10        205  SH             X       1        109        96       0
QUALCOMM INC                   COM             747525103       277      4,876  SH         X           1      4,876         0       0
RALCORP HLDGS INC              NEW COM         751028101       520      6,003  SH         X           1      6,003         0       0
RAYTHEON CO                    COM NEW         755111507       293      5,882  SH         X           1      5,882         0       0
REGIONS FINANCIAL CORP NEW     COM             7591EP100       199     32,048  SH         X           1     26,148         0   5,900
REGIONS FINANCIAL CORP NEW     COM             7591EP100        14      2,205  SH             X       1          0     2,205       0
REYNOLDS AMERICAN INC          COM             761713106       204      5,503  SH         X           1      2,497         0   3,006
REYNOLDS AMERICAN INC          COM             761713106        12        327  SH             X       1        174       153       0
RIO TINTO PLC                  SPONSORED ADR   767204100       204      2,818  SH         X           1      2,818         0       0
ROWE T PRICE EQUITY INCOME F   SH BEN INT      779547108    33,219  1,350,928  SH         X           1  1,345,056       278   5,594
ROWE T PRICE EQUITY INCOME F   SH BEN INT      779547108       244      9,935  SH             X       1      8,897     1,038       0
ROWE T PRICE MID-CAP GROWTH    COM             779556109    51,730    822,944  SH         X           1    819,333       167   3,444
ROWE T PRICE MID-CAP GROWTH    COM             779556109       373      5,935  SH             X       1      5,268       667       0
ROWE T PRICE MID CAP VALUE F   COM             77957Y106       256     10,219  SH         X           1      2,191         0   8,028
ROYAL DUTCH SHELL PLC          SPON ADR B      780259107       351      4,890  SH         X           1      2,197         0   2,693
ROYAL DUTCH SHELL PLC          SPON ADR B      780259107       130      1,805  SH             X       1      1,686       119       0
ROYAL DUTCH SHELL PLC          SPONS ADR A     780259206        92      1,288  SH         X           1      1,226         0      62
ROYAL DUTCH SHELL PLC          SPONS ADR A     780259206       230      3,237  SH             X       1      3,237         0       0
ROYCE FD                       PENN MUT INV    780905840    37,110  2,973,529  SH         X           1  2,961,222       573  11,734
ROYCE FD                       PENN MUT INV    780905840       257     20,608  SH         X           1     18,377     2,231       0
SEI INVESTMENTS CO             COM             784117103       217      9,636  SH         X           1      9,516         0     120
SCHLUMBERGER LTD               COM             806857108       342      3,953  SH         X           1      3,953         0       0
SHERWIN WILLIAMS CO            COM             824348106       271      3,235  SH         X           1      3,235         0       0


                                       12




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
SIMMONS 1ST NATL CORP          CL A $1 PAR     828730200       271     10,566  SH         X           1     10,566         0       0
SOUTHERN CO                    COM             842587107     4,687    116,083  SH         X           1    112,300         0   3,783
SOUTHERN CO                    COM             842587107       205      5,085  SH              X      1      4,893       192       0
SOUTHWESTERN ENERGY CO         COM             845467109       215      5,004  SH         X           1      5,004         0       0
SPRINT NEXTEL CORP             COM SER 1       852061100       428     79,468  SH         X           1     78,731         0     737
STRYKER CORP                   COM             863667101       545      9,292  SH         X           1      9,292         0       0
SUBSEA 7 S A                   SPONSORED ADR   864323100       216      8,389  SH         X           1      8,389         0       0
TARGET CORP                    COM             87612E106       499     10,633  SH         X           1     10,548         0      85
TELECOMUNICACOES DE SAO PAUL   SPON ADR PFD    87929A102       208      7,019  SH         X           1      7,019         0       0
TELEFONICA S A                 SPONSORED ADR   879382208       221      9,023  SH         X           1      3,767         0   5,256
TELEFONICA S A                 SPONSORED ADR   879382208        14        569  SH              X      1        302       267       0
THORATEC CORP                  COM NEW         885175307       224      6,815  SH         X           1      6,750         0      65
3M CO                          COM             88579Y101       211      2,227  SH         X           1      1,317         0     910
TIFFANY & CO                   NEW COM         886547108       272      3,458  SH         X           1      3,458         0       0
TIM PARTICIPACOES S A          SPONS ADR PFD   88706P106       229      4,646  SH         X           1      4,646         0       0
TRIMBLE NAVIGATION LTD         COM             896239100       472     11,910  SH         X           1     11,910         0       0
TRUSTMARK CORP                 COM             898402102       327     13,965  SH         X           1     13,965         0       0
USA TRUCK INC                  COM             902925106       176     15,613  SH         X           1     15,613         0       0
UNILEVER N V                   N Y SHS NEW     904784709       219      6,672  SH         X           1      5,738         0     934
UNION PAC CORP                 COM             907818108       251      2,404  SH         X           1      2,376         0      28
UNION PAC CORP                 COM             907818108       459      4,400  SH              X      1      4,400         0       0
UNITED TECHNOLOGIES CORP       COM             913017109       375      4,241  SH         X           1      4,241         0       0
V F CORP                       COM             918204108       399      3,672  SH         X           1      3,672         0       0
VANGUARD WORLD FD              MEGA CAP INDEX  921910873     3,400     75,605  SH         X           1     75,605         0       0
VANGUARD TAX-MANAGED INTL FD   MSCI EAFE ETF   921943858     1,486     39,017  SH         X           1     39,017         0       0


                                       13




                                                                                           INVESTMENT
                                                                                           DISCRETION        **VOTING AUTHORITY**
                                 TITLE OF                 MKT VAL    Shares/  SH/ PUT/  SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER                   CLASS         CUSIP      X 1000     PRN Amt  PRN CALL   (A) (B) (C) MGR    (A)       (B)      (C)
------------------------------ --------------- --------- --------- ---------- --- ----- ---- --- --- --- --------- --------- -------
                                                                                      
VANGUARD INDEX FDS             500 PORTFOLIO   922908108       266      2,182  SH         X           1          0         0   2,182
VANGUARD INDEX FDS             500 PORTFOLIO   922908108        97        795  SH              X      1        795         0       0
VANGUARD INDEX FDS             VALUE PTFL      922908405       949     43,412  SH         X           1     43,412         0       0
VANGUARD INDEX FDS             MID CAP ETF     922908629     2,291     28,483  SH         X           1     28,483         0       0
VANGUARD INDEX FDS             SMALL CP ETF    922908751     1,545     19,796  SH         X           1     19,796         0       0
VERIZON COMMUNICATIONS INC     COM             92343V104       583     15,650  SH         X           1     10,654         0   4,996
VERIZON COMMUNICATIONS INC     COM             92343V104        46      1,241  SH              X      1        235     1,006       0
VISA INC                       COM CL A        92826C839       244      2,900  SH         X           1      2,900         0       0
VODAFONE GROUP PLC NEW         SPONS ADR NEW   92857W209       498     18,640  SH         X           1     12,454         0   6,186
VODAFONE GROUP PLC NEW         SPONS ADR NEW   92857W209        28      1,042  SH              X      1        291       751       0
VOLKSWAGEN AG                  SPONSORED ADR   928662303       209      5,696  SH         X           1      5,696         0       0
WT MUT FD                      CRM MDCP VAL I  92934R769       240      7,741  SH         X           1          0         0   7,741
WAL MART STORES INC            COM             931142103     1,097     20,635  SH         X           1     20,635         0       0
WASHINGTON MUT INVS FD INC     COM             939330106       852     29,272  SH         X           1     29,272         0       0
WELLPOINT INC                  COM             94973V107       220      2,796  SH         X           1      2,756         0      40
WESTERN UN CO                  COM             959802109       431     21,533  SH         X           1     21,325         0     208
YANZHOU COAL MNG CO LTD        SPON ADR H SHS  984846105       238      6,186  SH         X           1      6,186         0       0
YUM BRANDS INC                 COM             988498101     1,157     20,940  SH         X           1     20,940         0       0
FINAL TOTALS                                             1,026,999 23,626,676                           14,820,086 8,433,272 373,318


                                       14