13F-HR
03/31/13
0000933429
$bam3rdw
</FILER>
<SROS>                                       NONE
<DOCUMENT-COUNT>                             1

                              13F-HR

                         UMB BANK N A/MO
                      Kansas City, MO  64106

                           FORM 13F

                      FORM 13F COVER PAGE

Report for the Calandar Year or Quarter Ended:  March 31, 2013

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:      UMB BANK N A/MO
Address:   1010 GRAND BLVD
           KANSAS CITY, MO  64106

13F File Number:    28-492

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:     C. Warren Green
Title:    DIRECTOR OF PROJECT MANAGEMENT AND ADMINISTRATION
Phone:    (816) 860-7494

Signature, Place, and Date of Signing:

  C. Warren Green        Kansas City, MO       05/13/13

Report Type (Check only one.):

[ X]        13F HOLDING REPORT.

[  ]        13F NOTICE.

[  ]        13F COMBINATION REPORT.

List of Other Mangers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT
OF 1934.


                         FORM 13F SUMMARY PAGE
Report Summary:
List of Other Included Managers:

 No.   13F File Number          Name

 01    28-492                   UMB FINANCIAL CORPORATION




                                                             VALUE    SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                                                               
D 3M Corp                        COMMON           88579Y101 00007400    69606 SH        SOLE                 55030     1055    13521
D 3M Corp                        COMMON           88579Y101 00003141    29550 SH        DEFINED              26253     2285     1012
D Abbott Laboratories            COMMON           002824100 00004885   138307 SH        SOLE                123549     1755    13003
D Abbott Laboratories            COMMON           002824100 00001780    50390 SH        DEFINED              43663     3941     2786
D Abbvie Inc                     COMMON           00287Y109 00002646    64891 SH        SOLE                 59280     1485     4126
D Abbvie Inc                     COMMON           00287Y109 00001208    29630 SH        DEFINED              23218     3896     2516
D Aberdeen Asia Pacific Income   COMMON           003009107 00000118    15150 SH        SOLE                 15150        0        0
D Aberdeen Asia Pacific Income   COMMON           003009107 00000022     2800 SH        DEFINED               2800        0        0
D Adobe Systems Inc              COMMON           00724F101 00001337    30734 SH        SOLE                 22500     1000     7234
D Adobe Systems Inc              COMMON           00724F101 00000725    16654 SH        DEFINED              16454      200        0
D ADT Corp                       COMMON           00101J106 00004980   101765 SH        SOLE                 98779      787     2199
D ADT Corp                       COMMON           00101J106 00000365     7457 SH        DEFINED               4210     3247        0
D Aetna Inc New                  COMMON           00817Y108 00000494     9658 SH        SOLE                  9272        0      386
D Aetna Inc New                  COMMON           00817Y108 00000263     5141 SH        DEFINED               4541      600        0
D Affiliated Managers Group Inc  COMMON           008252108 00002869    18679 SH        SOLE                 12709      190     5780
D Affiliated Managers Group Inc  COMMON           008252108 00000065      425 SH        DEFINED                150      275        0
D AFLAC Inc                      COMMON           001055102 00001823    35035 SH        SOLE                 22966     1219    10850
D AFLAC Inc                      COMMON           001055102 00000510     9804 SH        DEFINED               8941      863        0
D Air Methods Corp               COMMON           009128307 00003302    68440 SH        SOLE                   750        0    67690
D Air Products and Chemicals Inc COMMON           009158106 00005237    60108 SH        SOLE                 55541      520     4047
D Air Products and Chemicals Inc COMMON           009158106 00001312    15058 SH        DEFINED              11587     3103      368
D Alcoa Inc                      COMMON           013817101 00000055     6514 SH        SOLE                  6514        0        0
D Alcoa Inc                      COMMON           013817101 00000218    25575 SH        DEFINED              25575        0        0
D Alerian MLP ETF                COMMON           00162Q866 00000260    14650 SH        SOLE                 14650        0        0
D Alexander & Baldwin Inc        COMMON           014491104 00000353     9874 SH        SOLE                  8374        0     1500
D Alexander & Baldwin Inc        COMMON           014491104 00000141     3941 SH        DEFINED               3941        0        0
D Allergan Inc                   COMMON           018490102 00008214    73579 SH        SOLE                 54840      400    18339
D Allergan Inc                   COMMON           018490102 00000610     5465 SH        DEFINED               4295     1070      100
D Alliant Energy Corp            COMMON           018802108 00001155    23010 SH        SOLE                 20764        0     2246
D Alliant Energy Corp            COMMON           018802108 00000654    13030 SH        DEFINED               8860        0     4170
D Allstate Corp                  COMMON           020002101 00005992   122107 SH        SOLE                107631     1640    12836
D Allstate Corp                  COMMON           020002101 00001044    21273 SH        DEFINED              18963     1875      435
D Altera Corp                    COMMON           021441100 00000405    11425 SH        SOLE                 10955        0      470
D Altera Corp                    COMMON           021441100 00000209     5885 SH        DEFINED               3530     2225      130
D Altria Group Inc               COMMON           02209S103 00000973    28283 SH        SOLE                 27788        0      495
D Altria Group Inc               COMMON           02209S103 00000456    13253 SH        DEFINED              11053      150     2050
D Amazon Com Inc                 COMMON           023135106 00000655     2457 SH        SOLE                  2432        0       25
D Amazon Com Inc                 COMMON           023135106 00000192      720 SH        DEFINED                720        0        0
D Ameren Corp                    COMMON           023608102 00000878    25075 SH        SOLE                 23207        0     1868
D Ameren Corp                    COMMON           023608102 00000977    27890 SH        DEFINED              24664      100     3126
D American Electric Power Inc    COMMON           025537101 00001352    27805 SH        SOLE                 25647        0     2158
D American Electric Power Inc    COMMON           025537101 00000440     9057 SH        DEFINED               9057        0        0
D American Express Co            COMMON           025816109 00005402    80080 SH        SOLE                 74892     1135     4053
D American Express Co            COMMON           025816109 00001190    17640 SH        DEFINED              15027      835     1778
D Ameriprise Financial Inc       COMMON           03076C106 00000258     3505 SH        SOLE                  3505        0        0
D Ameriprise Financial Inc       COMMON           03076C106 00000012      160 SH        DEFINED                160        0        0
D Amgen Inc                      COMMON           031162100 00001081    10545 SH        SOLE                  9893        0      652
D Amgen Inc                      COMMON           031162100 00000576     5620 SH        DEFINED               4646      224      750
D Anadarko Pete Corp             COMMON           032511107 00001409    16107 SH        SOLE                 16100        0        7
D Anadarko Pete Corp             COMMON           032511107 00000112     1285 SH        DEFINED               1285        0        0
D Analytical Bio Chemistry       COMMON           03268F107 00002363   812094 SH        SOLE                     0        0   812094
D Apache Corp                    COMMON           037411105 00003813    49415 SH        SOLE                 45264      350     3801
D Apache Corp                    COMMON           037411105 00000768     9959 SH        DEFINED               7282     2527      150
D Apple Inc                      COMMON           037833100 00026710    60340 SH        SOLE                 50680      439     9221
D Apple Inc                      COMMON           037833100 00004878    11019 SH        DEFINED               9057     1355      607
D Archer Daniels Midland Co      COMMON           039483102 00000296     8771 SH        SOLE                  8604        0      167
D Archer Daniels Midland Co      COMMON           039483102 00000290     8601 SH        DEFINED               7851      750        0
D Ashland Inc                    COMMON           044209104 00000273     3677 SH        SOLE                  3677        0        0
D AT & T Inc                     COMMON           00206R102 00011800   321601 SH        SOLE                297515     4682    19404
D AT & T Inc                     COMMON           00206R102 00006413   174796 SH        DEFINED             149356     8595    16845
D Athersys Inc                   COMMON           04744L106 00000017    10000 SH        SOLE                 10000        0        0
D Autodesk Inc                   COMMON           052769106 00000246     5973 SH        SOLE                  2665        0     3308
D Autodesk Inc                   COMMON           052769106 00000094     2290 SH        DEFINED               2290        0        0
D Automatic Data Processing Inc  COMMON           053015103 00000642     9871 SH        SOLE                  8779       75     1017
D Automatic Data Processing Inc  COMMON           053015103 00000567     8712 SH        DEFINED               3650     1350     3712
D Bank of America Corporation    COMMON           060505104 00000437    35889 SH        SOLE                 34286        0     1603
D Bank of America Corporation    COMMON           060505104 00000296    24289 SH        DEFINED              24289        0        0
D Bard C R Inc                   COMMON           067383109 00000261     2594 SH        SOLE                  2194      400        0
D Bard C R Inc                   COMMON           067383109 00000121     1200 SH        DEFINED               1100        0      100
D Baxter International Inc       COMMON           071813109 00003433    47254 SH        SOLE                 43120      375     3759
D Baxter International Inc       COMMON           071813109 00000663     9134 SH        DEFINED               6453     1901      780
D Beam Inc                       COMMON           073730103 00000273     4295 SH        SOLE                  2845      800      650
D Beam Inc                       COMMON           073730103 00000201     3160 SH        DEFINED               3100       60        0
D Becton Dickinson & Co          COMMON           075887109 00000794     8305 SH        SOLE                  7165        0     1140
D Becton Dickinson & Co          COMMON           075887109 00000759     7940 SH        DEFINED               7250      650       40
D Bed Bath & Beyond Inc          COMMON           075896100 00000224     3472 SH        SOLE                  3472        0        0
D Bed Bath & Beyond Inc          COMMON           075896100 00000050      770 SH        DEFINED                570      200        0
D Berkshire Hathaway Inc - Cl B  COMMON           084670702 00006522    62591 SH        SOLE                 45632      360    16599
D Berkshire Hathaway Inc - Cl B  COMMON           084670702 00008569    82240 SH        DEFINED              80740     1300      200
D Boardwalk Pipeline Partners LP COMMON           096627104 00000442    15065 SH        SOLE                 13065        0     2000
D Boeing Co                      COMMON           097023105 00014662   170783 SH        SOLE                140972     1605    28206
D Boeing Co                      COMMON           097023105 00002517    29321 SH        DEFINED              22917     4465     1939
D BP Prudhoe Bay Rty Tr          COMMON           055630107 00000008      100 SH        SOLE                   100        0        0
D BP Prudhoe Bay Rty Tr          COMMON           055630107 00000209     2500 SH        DEFINED               2500        0        0
D Bristol Myers Squibb Co        COMMON           110122108 00013915   337813 SH        SOLE                315463     2560    19790
D Bristol Myers Squibb Co        COMMON           110122108 00002696    65460 SH        DEFINED              52350     9495     3615
D Broadcom Corp                  COMMON           111320107 00004756   137140 SH        SOLE                103434     1840    31866
D Broadcom Corp                  COMMON           111320107 00000327     9440 SH        DEFINED               4680     4560      200
D Cabot Oil & Gas Corp           COMMON           127097103 00000309     4575 SH        SOLE                     0        0     4575
D Capitol Federal Financial      COMMON           14057J101 00000102     8479 SH        SOLE                  6479     2000        0
D Capitol Federal Financial      COMMON           14057J101 00000190    15730 SH        DEFINED              15165        0      565
D Cardinal Health Inc            COMMON           14149Y108 00000500    12017 SH        SOLE                 11832       85      100
D Cardinal Health Inc            COMMON           14149Y108 00000128     3065 SH        DEFINED               1690     1305       70
D Caterpillar Inc Del            COMMON           149123101 00011072   127305 SH        SOLE                108536     1580    17189
D Caterpillar Inc Del            COMMON           149123101 00003288    37805 SH        DEFINED              32039     2621     3145
D Celgene Corp                   COMMON           151020104 00005083    43850 SH        SOLE                 42650      310      890
D Celgene Corp                   COMMON           151020104 00000607     5235 SH        DEFINED               4410      825        0
D CenturyLink Inc                COMMON           156700106 00001392    39625 SH        SOLE                 37906      400     1319
D CenturyLink Inc                COMMON           156700106 00000305     8668 SH        DEFINED               7259     1025      384
D Cerner Corp                    COMMON           156782104 00018866   199137 SH        SOLE                188409     1017     9711
D Cerner Corp                    COMMON           156782104 00003062    32315 SH        DEFINED              27280     4785      250
D Chevron Corp                   COMMON           166764100 00025380   213603 SH        SOLE                188979     2170    22454
D Chevron Corp                   COMMON           166764100 00007028    59151 SH        DEFINED              48984     6499     3668
D Chubb Corp                     COMMON           171232101 00001728    19741 SH        SOLE                 16245      800     2696
D Chubb Corp                     COMMON           171232101 00001229    14036 SH        DEFINED              13562      400       74
D Church & Dwight Inc            COMMON           171340102 00000263     4070 SH        SOLE                  4070        0        0
D Cigna Corp                     COMMON           125509109 00000231     3700 SH        SOLE                  3700        0        0
D Cigna Corp                     COMMON           125509109 00000426     6825 SH        DEFINED               6025      800        0
D Cisco Systems Inc              COMMON           17275R102 00001510    72256 SH        SOLE                 53135     5000    14121
D Cisco Systems Inc              COMMON           17275R102 00000903    43199 SH        DEFINED              37624     4875      700
D Citizens Bancshares Co         COMMON           17316Q105 00000221     2950 SH        SOLE                     0        0     2950
D Citrix Sys Inc                 COMMON           177376100 00004139    57362 SH        SOLE                 41211      465    15686
D Citrix Sys Inc                 COMMON           177376100 00000109     1510 SH        DEFINED                800      610      100
D Clorox Co Del                  COMMON           189054109 00000962    10862 SH        SOLE                  6250      500     4112
D Clorox Co Del                  COMMON           189054109 00000560     6320 SH        DEFINED               2300        0     4020
D Coach Inc                      COMMON           189754104 00000453     9059 SH        SOLE                  4559        0     4500
D Coach Inc                      COMMON           189754104 00000055     1100 SH        DEFINED                500      600        0
D Coca Cola Co                   COMMON           191216100 00011626   287484 SH        SOLE                267588     1990    17906
D Coca Cola Co                   COMMON           191216100 00003536    87427 SH        DEFINED              79832     5250     2345
D Cognizant Technology Solutio   COMMON           192446102 00004061    52999 SH        SOLE                 51027      819     1153
D Cognizant Technology Solutio   COMMON           192446102 00000336     4385 SH        DEFINED               2530     1755      100
D Colgate Palmolive Co           COMMON           194162103 00001261    10686 SH        SOLE                 10053        0      633
D Colgate Palmolive Co           COMMON           194162103 00000691     5855 SH        DEFINED               5855        0        0
D Columbia Burlap & Bag Company  COMMON           19728Z913 00000473       25 SH        SOLE                    25        0        0
D Commerce Bancshares Inc        COMMON           200525103 00002710    66378 SH        SOLE                 46048    10664     9666
D Commerce Bancshares Inc        COMMON           200525103 00001244    30459 SH        DEFINED              29359     1100        0
D ConocoPhillips                 COMMON           20825C104 00007080   117803 SH        SOLE                108341     3060     6402
D ConocoPhillips                 COMMON           20825C104 00002831    47098 SH        DEFINED              40563     2675     3860
D Consolidated Edison Inc        COMMON           209115104 00000114     1874 SH        SOLE                   862        0     1012
D Consolidated Edison Inc        COMMON           209115104 00000211     3464 SH        DEFINED               1064        0     2400
D Continental Resources Inc      COMMON           212015101 00004419    50830 SH        SOLE                 49540      390      900
D Continental Resources Inc      COMMON           212015101 00000102     1175 SH        DEFINED                965      210        0
D Cooper Cos Inc                 COMMON           216648402 00000345     3200 SH        SOLE                     0        0     3200
D Costco Wholesale Corp          COMMON           22160K105 00013382   126113 SH        SOLE                102741     1560    21812
D Costco Wholesale Corp          COMMON           22160K105 00002756    25970 SH        DEFINED              20880     2975     2115
D Covance Inc                    COMMON           222816100 00000467     6285 SH        SOLE                  5605        0      680
D Cullen Frost Bankers Inc       COMMON           229899109 00000094     1500 SH        SOLE                  1500        0        0
D Cullen Frost Bankers Inc       COMMON           229899109 00000151     2410 SH        DEFINED               2410        0        0
D Cummins Inc                    COMMON           231021106 00000213     1838 SH        SOLE                  1550        0      288
D CVS Caremark Corporation       COMMON           126650100 00016647   302732 SH        SOLE                257972     2820    41940
D CVS Caremark Corporation       COMMON           126650100 00002372    43137 SH        DEFINED              32592     8910     1635
D Cytori Therapeutics Inc        COMMON           23283K105 00000078    31090 SH        SOLE                 31090        0        0
D Danaher Corp Del               COMMON           235851102 00009813   157889 SH        SOLE                119320     1885    36684
D Danaher Corp Del               COMMON           235851102 00000958    15415 SH        DEFINED              12960     2405       50
D Deere & Company                COMMON           244199105 00002236    26009 SH        SOLE                 21718      100     4191
D Deere & Company                COMMON           244199105 00001817    21136 SH        DEFINED              18195     2491      450
D Devon Energy Corp New          COMMON           25179M103 00000239     4231 SH        SOLE                  4231        0        0
D Devon Energy Corp New          COMMON           25179M103 00000071     1252 SH        DEFINED                424        0      828
D Digital Realty Trust Inc       COMMON           253868103 00005641    84302 SH        SOLE                 77657     1300     5345
D Digital Realty Trust Inc       COMMON           253868103 00001270    18985 SH        DEFINED              16635     1720      630
D Discover Financial Services    COMMON           254709108 00001513    33735 SH        SOLE                 14433        0    19302
D Discover Financial Services    COMMON           254709108 00000217     4841 SH        DEFINED               3213        0     1628
D Disney Walt Co                 COMMON           254687106 00014458   254539 SH        SOLE                209135     4070    41334
D Disney Walt Co                 COMMON           254687106 00003817    67198 SH        DEFINED              55872     6000     5326
D Dominion Resources Inc         COMMON           25746U109 00001634    28090 SH        SOLE                 24252        0     3838
D Dominion Resources Inc         COMMON           25746U109 00001365    23455 SH        DEFINED              19955      100     3400
D Dover Corp                     COMMON           260003108 00000692     9501 SH        SOLE                  9053        0      448
D Dover Corp                     COMMON           260003108 00000799    10970 SH        DEFINED               9570     1400        0
D Dow Chemical Co                COMMON           260543103 00000327    10259 SH        SOLE                 10237        0       22
D Dow Chemical Co                COMMON           260543103 00000157     4944 SH        DEFINED               4944        0        0
D DST Systems Inc                COMMON           233326107 00000210     2947 SH        SOLE                  2247        0      700
D DST Systems Inc                COMMON           233326107 00000112     1575 SH        DEFINED               1100      475        0
D Du Pont E I De Nemours & Co    COMMON           263534109 00003703    75325 SH        SOLE                 70758     1320     3247
D Du Pont E I De Nemours & Co    COMMON           263534109 00001787    36344 SH        DEFINED              33689     2250      405
D Duke Energy Hldg Corp          COMMON           26441C204 00015551   214235 SH        SOLE                202471     2024     9740
D Duke Energy Hldg Corp          COMMON           26441C204 00004438    61144 SH        DEFINED              48279     8248     4617
D Ebay Inc                       COMMON           278642103 00000374     6907 SH        SOLE                  6868        0       39
D Ebay Inc                       COMMON           278642103 00000115     2125 SH        DEFINED               1175      950        0
D Ecolab Inc                     COMMON           278865100 00000328     4096 SH        SOLE                  3535        0      561
D Ecolab Inc                     COMMON           278865100 00000538     6704 SH        DEFINED               6350      354        0
D EMC Corp                       COMMON           268648102 00005543   232011 SH        SOLE                170458     2090    59463
D EMC Corp                       COMMON           268648102 00000856    35810 SH        DEFINED              26610     6380     2820
D Emerson Electric Co            COMMON           291011104 00003744    67011 SH        SOLE                 59735     1100     6176
D Emerson Electric Co            COMMON           291011104 00002873    51414 SH        DEFINED              38649     6589     6176
D Empire District Electric Co    COMMON           291641108 00000493    22020 SH        SOLE                 22020        0        0
D Empire District Electric Co    COMMON           291641108 00000558    24925 SH        DEFINED              21425        0     3500
D Empire Pipeline Corp           COMMON           29203Z916 00015432    24300 SH        DEFINED              24300        0        0
D Energizer Hldgs Inc            COMMON           29266R108 00000246     2466 SH        SOLE                  2466        0        0
D Energy Select Sector SPDR Fund COMMON           81369Y506 00000325     4100 SH        SOLE                  4100        0        0
D Energy Transfer Partners LP    COMMON           29273R109 00000828    16329 SH        SOLE                 11329        0     5000
D Energy Transfer Partners LP    COMMON           29273R109 00000546    10768 SH        DEFINED                768        0    10000
D Entergy Corp                   COMMON           29364G103 00000191     3016 SH        SOLE                  1880        0     1136
D Entergy Corp                   COMMON           29364G103 00000076     1196 SH        DEFINED               1196        0        0
D Enterprise Products Partners   COMMON           293792107 00000217     3600 SH        SOLE                  3600        0        0
D Enterprise Products Partners   COMMON           293792107 00000314     5215 SH        DEFINED               5215        0        0
D EOG Resources Inc              COMMON           26875P101 00000779     6086 SH        SOLE                  4273        0     1813
D EOG Resources Inc              COMMON           26875P101 00000279     2175 SH        DEFINED               1775      400        0
D Evergreen National Corp        COMMON           30026Z919 00022252   500000 SH        DEFINED             500000        0        0
D Exelon Corp                    COMMON           30161N101 00000330     9571 SH        SOLE                  8185        0     1386
D Exelon Corp                    COMMON           30161N101 00000142     4125 SH        DEFINED               3400      725        0
D Express Scripts Hldg Co        COMMON           30219G108 00000534     9261 SH        SOLE                  9030        0      231
D Express Scripts Hldg Co        COMMON           30219G108 00000054      933 SH        DEFINED                349        0      584
D ExxonMobil Corp                COMMON           30231G102 00033096   367280 SH        SOLE                317578     4246    45456
D ExxonMobil Corp                COMMON           30231G102 00014159   157132 SH        DEFINED             129913     9428    17791
D Fairview Enterprises Inc       COMMON           30566Z915 00004267     1000 SH        DEFINED               1000        0        0
D Fedex Corp                     COMMON           31428X106 00002249    22906 SH        SOLE                 22374        0      532
D Fedex Corp                     COMMON           31428X106 00001192    12135 SH        DEFINED              11700      390       45
D Fifth Third Bancorp            COMMON           316773100 00000238    14578 SH        SOLE                 14530        0       48
D First Altus Bancorp Inc        COMMON           31847Z914 00000733     4560 SH        SOLE                     0        0     4560
D Firstenergy Corp               COMMON           337932107 00000907    21499 SH        SOLE                 20566        0      933
D Firstenergy Corp               COMMON           337932107 00000314     7450 SH        DEFINED               7450        0        0
D Fluor Corp New                 COMMON           343412102 00000108     1625 SH        SOLE                     0        0     1625
D Fluor Corp New                 COMMON           343412102 00000133     2000 SH        DEFINED                  0        0     2000
D Ford Mtr Co Del                COMMON           345370860 00000281    21388 SH        SOLE                 19734        0     1654
D Ford Mtr Co Del                COMMON           345370860 00000134    10182 SH        DEFINED               3482     1000     5700
D Franklin Res Inc               COMMON           354613101 00001317     8732 SH        SOLE                  6755       50     1927
D Franklin Res Inc               COMMON           354613101 00001047     6940 SH        DEFINED               6000      220      720
D Freeport-McMoran Copper & Gold COMMON           35671D857 00000840    25385 SH        SOLE                 25370        0       15
D Freeport-McMoran Copper & Gold COMMON           35671D857 00000109     3292 SH        DEFINED               2144        0     1148
D Gallagher Arthur J & CO        COMMON           363576109 00000133     3227 SH        SOLE                  2227        0     1000
D Gallagher Arthur J & CO        COMMON           363576109 00000335     8115 SH        DEFINED               8115        0        0
D Gen Mill Machine Shop & Mfg    COMMON           37034Z914 00000352       83 SH        SOLE                    83        0        0
D General Dynamics Corp          COMMON           369550108 00000296     4198 SH        SOLE                  4091        0      107
D General Dynamics Corp          COMMON           369550108 00000640     9075 SH        DEFINED               7425      650     1000
D General Electric Co            COMMON           369604103 00015169   656096 SH        SOLE                571152     4085    80859
D General Electric Co            COMMON           369604103 00003659   158254 SH        DEFINED             117307    10645    30302
D General Finance Inc            COMMON           369823109 00000565     3403 SH        SOLE                  3403        0        0
D General Mills Inc              COMMON           370334104 00001224    24822 SH        SOLE                 22535        0     2287
D General Mills Inc              COMMON           370334104 00001024    20760 SH        DEFINED              18000     2260      500
D Genuine Parts Co               COMMON           372460105 00000407     5220 SH        SOLE                  4220        0     1000
D Genuine Parts Co               COMMON           372460105 00000372     4773 SH        DEFINED               4773        0        0
D Gilead Sciences Inc            COMMON           375558103 00001174    23994 SH        SOLE                 22130        0     1864
D Gilead Sciences Inc            COMMON           375558103 00000558    11400 SH        DEFINED               9800     1600        0
D Goldman Sachs Group Inc        COMMON           38141G104 00000626     4257 SH        SOLE                  4003        0      254
D Goldman Sachs Group Inc        COMMON           38141G104 00000272     1850 SH        DEFINED               1850        0        0
D Google Inc                     COMMON           38259P508 00010672    13437 SH        SOLE                 10226      140     3071
D Google Inc                     COMMON           38259P508 00001376     1733 SH        DEFINED               1156      502       75
D Great Plains Energy Inc        COMMON           391164100 00000599    25835 SH        SOLE                 24835        0     1000
D Great Plains Energy Inc        COMMON           391164100 00000722    31133 SH        DEFINED              31133        0        0
D Gulfport Energy Corp           COMMON           402635304 00000270     5900 SH        SOLE                     0        0     5900
D Halliburton Co                 COMMON           406216101 00000041     1025 SH        SOLE                  1011        0       14
D Halliburton Co                 COMMON           406216101 00000191     4730 SH        DEFINED               4600        0      130
D Harley Davidson Inc            COMMON           412822108 00000389     7291 SH        SOLE                  6827      200      264
D Harley Davidson Inc            COMMON           412822108 00000969    18180 SH        DEFINED              17750      200      230
D Hartford Financial Services    COMMON           416515104 00006635   257165 SH        SOLE                184890     4585    67690
D Hartford Financial Services    COMMON           416515104 00000210     8140 SH        DEFINED               5620     2520        0
D Heinz H J Co                   COMMON           423074103 00000842    11647 SH        SOLE                 11638        0        9
D Heinz H J Co                   COMMON           423074103 00000393     5433 SH        DEFINED               4933      500        0
D Henry Jack & Assoc Inc         COMMON           426281101 00000702    15193 SH        SOLE                 15068        0      125
D Henry Jack & Assoc Inc         COMMON           426281101 00000046     1000 SH        DEFINED               1000        0        0
D Hess Corp                      COMMON           42809H107 00000535     7475 SH        SOLE                  5850        0     1625
D Hess Corp                      COMMON           42809H107 00000093     1300 SH        DEFINED               1300        0        0
D Hewlett Packard Co             COMMON           428236103 00000088     3709 SH        SOLE                  3709        0        0
D Hewlett Packard Co             COMMON           428236103 00000184     7700 SH        DEFINED               7700        0        0
D Highway Oil Inc                COMMON           43125Z912 00025425   492829 SH        DEFINED                  0   492829        0
D Home Depot Inc                 COMMON           437076102 00019536   279965 SH        SOLE                234185     2640    43140
D Home Depot Inc                 COMMON           437076102 00003683    52782 SH        DEFINED              41172     9397     2213
D Honeywell International Inc    COMMON           438516106 00000319     4237 SH        SOLE                  3927      300       10
D Honeywell International Inc    COMMON           438516106 00000284     3770 SH        DEFINED               3770        0        0
D Hormel Foods Corp              COMMON           440452100 00000326     7900 SH        DEFINED               7900        0        0
D Illinois Tool Works Inc        COMMON           452308109 00002176    35715 SH        SOLE                 29885        0     5830
D Illinois Tool Works Inc        COMMON           452308109 00000568     9318 SH        DEFINED               9158      160        0
D Integrys Energy Group Inc      COMMON           45822P105 00000440     7562 SH        SOLE                  5655        0     1907
D Integrys Energy Group Inc      COMMON           45822P105 00000354     6092 SH        DEFINED                  0        0     6092
D Intel Corp                     COMMON           458140100 00006440   294928 SH        SOLE                266606     2830    25492
D Intel Corp                     COMMON           458140100 00002644   121076 SH        DEFINED             111865     6706     2505
D InterActiveCorp                COMMON           44919P508 00004821   107906 SH        SOLE                 97121     3470     7315
D InterActiveCorp                COMMON           44919P508 00000362     8107 SH        DEFINED               4812     3295        0
D International Business         COMMON           459200101 00018556    86997 SH        SOLE                 76680     1130     9187
D International Business         COMMON           459200101 00008191    38403 SH        DEFINED              30971     3443     3989
D International Paper            COMMON           460146103 00000147     3162 SH        SOLE                  3162        0        0
D International Paper            COMMON           460146103 00000062     1322 SH        DEFINED               1322        0        0
D Intuit                         COMMON           461202103 00003598    54804 SH        SOLE                 50399     1295     3110
D Intuit                         COMMON           461202103 00000708    10785 SH        DEFINED              10410      185      190
D Invesco Ltd                    COMMON           G491BT108 00000337    11650 SH        SOLE                 11650        0        0
D iShares Barclays TIPS Bond     COMMON           464287176 00000253     2089 SH        SOLE                  2089        0        0
D iShares Barclays TIPS Bond     COMMON           464287176 00000015      122 SH        DEFINED                122        0        0
D Jacobs Engineering Group Inc   COMMON           469814107 00000323     5745 SH        SOLE                  4810      200      735
D Jacobs Engineering Group Inc   COMMON           469814107 00000067     1185 SH        DEFINED               1185        0        0
D Janus Cap Group Inc            COMMON           47102X105 00000117    12450 SH        SOLE                 12450        0        0
D Jarden Corp                    COMMON           471109108 00000225     5242 SH        SOLE                  5242        0        0
D JDS Uniphase Corporation       COMMON           46612J507 00000241    18016 SH        SOLE                   191        0    17825
D JM Smucker Co                  COMMON           832696405 00001375    13870 SH        SOLE                  8694        0     5176
D JM Smucker Co                  COMMON           832696405 00000107     1076 SH        DEFINED                793      183      100
D Johnson & Johnson              COMMON           478160104 00011912   146107 SH        SOLE                133844     1655    10608
D Johnson & Johnson              COMMON           478160104 00005101    62561 SH        DEFINED              57219     2273     3069
D Johnson Controls Inc           COMMON           478366107 00004184   119302 SH        SOLE                101543      745    17014
D Johnson Controls Inc           COMMON           478366107 00001122    31985 SH        DEFINED              30290      860      835
D Joy Global Inc                 COMMON           481165108 00002552    42880 SH        SOLE                 41560      375      945
D Joy Global Inc                 COMMON           481165108 00000093     1560 SH        DEFINED               1095      465        0
D JPMorgan Chase & Co            COMMON           46625H100 00016301   343464 SH        SOLE                317752     6945    18767
D JPMorgan Chase & Co            COMMON           46625H100 00002188    46110 SH        DEFINED              39405     6320      385
D Kansas City Life Insurance Co  COMMON           484836101 00000190     4845 SH        SOLE                  4845        0        0
D Kansas City Life Insurance Co  COMMON           484836101 00000047     1200 SH        DEFINED                600        0      600
D Kansas City Southern           COMMON           485170302 00004068    36680 SH        SOLE                 36180        0      500
D Kansas City Southern           COMMON           485170302 00001631    14710 SH        DEFINED               6210     8500        0
D Kemper Realty CO               COMMON           488990102 00000265       42 SH        SOLE                    42        0        0
D Keycorp New                    COMMON           493267108 00000359    36042 SH        SOLE                     0        0    36042
D Kimberly Clark Corp            COMMON           494368103 00003118    31822 SH        SOLE                 31364      125      333
D Kimberly Clark Corp            COMMON           494368103 00001019    10405 SH        DEFINED              10030      375        0
D Kinder Morgan Energy Partner   COMMON           494550106 00000162     1800 SH        SOLE                  1800        0        0
D Kinder Morgan Energy Partner   COMMON           494550106 00000112     1250 SH        DEFINED               1250        0        0
D Kinder Morgan Inc              COMMON           49456B101 00000423    10931 SH        SOLE                 10916        0       15
D Kraft Foods Group Inc          COMMON           50076Q106 00004889    94874 SH        SOLE                 88118      690     6066
D Kraft Foods Group Inc          COMMON           50076Q106 00000864    16775 SH        DEFINED              14430     1312     1033
D L Brands Inc                   COMMON           501797104 00001166    26098 SH        SOLE                 24343      605     1150
D L Brands Inc                   COMMON           501797104 00000125     2790 SH        DEFINED               1870      920        0
D Laclede Group Inc              COMMON           505597104 00000315     7374 SH        SOLE                  6374        0     1000
D Laclede Group Inc              COMMON           505597104 00000198     4642 SH        DEFINED               4317      325        0
D Leggett & Platt Inc            COMMON           524660107 00002069    61255 SH        SOLE                 50429        0    10826
D Leggett & Platt Inc            COMMON           524660107 00000743    21994 SH        DEFINED              19525     2469        0
D Lilly Eli & Co                 COMMON           532457108 00000671    11822 SH        SOLE                 11715        0      107
D Lilly Eli & Co                 COMMON           532457108 00000980    17265 SH        DEFINED               7565        0     9700
D Lincoln National Corp          COMMON           534187109 00003738   114634 SH        SOLE                 95304      850    18480
D Lincoln National Corp          COMMON           534187109 00000484    14840 SH        DEFINED              12730     1655      455
D Lockheed Martin Corp           COMMON           539830109 00000225     2335 SH        SOLE                  2330        0        5
D Lockheed Martin Corp           COMMON           539830109 00000048      500 SH        DEFINED                500        0        0
D Lowes Companies Inc            COMMON           548661107 00000536    14147 SH        SOLE                 13447      400      300
D Lowes Companies Inc            COMMON           548661107 00000474    12505 SH        DEFINED              12105        0      400
D Macy's Inc                     COMMON           55616P104 00000506    12102 SH        SOLE                 12102        0        0
D Marathon Oil Corp              COMMON           565849106 00001403    41593 SH        SOLE                 35135      950     5508
D Marathon Oil Corp              COMMON           565849106 00000515    15286 SH        DEFINED              11286        0     4000
D Marathon Petroleum Corp        COMMON           56585A102 00001169    13050 SH        SOLE                 12550        0      500
D Marathon Petroleum Corp        COMMON           56585A102 00000324     3618 SH        DEFINED               3618        0        0
D Marketing Sys Amer Inc         COMMON           570608109 00000000    10000 SH        DEFINED              10000        0        0
D Markwest Energy Partners L P   COMMON           570759100 00000728    11980 SH        SOLE                 11980        0        0
D Marriott Intl Inc New          COMMON           571903202 00000032      752 SH        SOLE                   502        0      251
D Marriott Intl Inc New          COMMON           571903202 00001601    37905 SH        DEFINED              37905        0        0
D Mastercard Inc - Class A       COMMON           57636Q104 00003757     6942 SH        SOLE                  6588      170      184
D Mastercard Inc - Class A       COMMON           57636Q104 00000506      935 SH        DEFINED                829      106        0
D Matson Inc                     COMMON           57686G105 00000243     9874 SH        SOLE                  8374        0     1500
D Matson Inc                     COMMON           57686G105 00000097     3941 SH        DEFINED               3941        0        0
D Maxim Integrated Products Inc  COMMON           57772K101 00003192    97797 SH        SOLE                 87937     1710     8150
D Maxim Integrated Products Inc  COMMON           57772K101 00000419    12830 SH        DEFINED              10765     1850      215
D McCormick & Co Inc             COMMON           579780206 00001684    22890 SH        SOLE                 21910        0      980
D McCormick & Co Inc             COMMON           579780206 00000533     7245 SH        DEFINED               6650      595        0
D McDonalds Corp                 COMMON           580135101 00012141   121790 SH        SOLE                109276     1665    10849
D McDonalds Corp                 COMMON           580135101 00005032    50477 SH        DEFINED              43752     3318     3407
D McKesson Corp                  COMMON           58155Q103 00000271     2513 SH        SOLE                  2513        0        0
D Medtronic Inc                  COMMON           585055106 00000182     3885 SH        SOLE                  2671      500      714
D Medtronic Inc                  COMMON           585055106 00000157     3346 SH        DEFINED               2796      350      200
D Merck & Co Inc                 COMMON           58933Y105 00006249   141376 SH        SOLE                129878     2770     8728
D Merck & Co Inc                 COMMON           58933Y105 00002911    65860 SH        DEFINED              56650     3439     5771
D Mettler Toledo International   COMMON           592688105 00000429     2012 SH        SOLE                   712      288     1012
D MFS Charter Income Tr          COMMON           552727109 00000200    19750 SH        SOLE                 19750        0        0
D MGE Energy Inc                 COMMON           55277P104 00000200     3615 SH        SOLE                  2615        0     1000
D MGP Ingredients Inc.           COMMON           55303J106 00000449   103320 SH        SOLE                103320        0        0
D Microsoft Corp                 COMMON           594918104 00004599   160759 SH        SOLE                143232      590    16937
D Microsoft Corp                 COMMON           594918104 00001501    52482 SH        DEFINED              42175     6139     4168
D Midcountry Finl Corp           COMMON           595652108 00000000   882353 SH        SOLE                882353        0        0
D Mississippi Lime CO            COMMON           60537Z918 00302813     4424 SH        DEFINED               4424        0        0
D Mohawk Inds Inc                COMMON           608190104 00000228     2015 SH        SOLE                  2015        0        0
D Mondelez International Inc     COMMON           609207105 00006173   201644 SH        SOLE                193506     2590     5548
D Mondelez International Inc     COMMON           609207105 00000631    20611 SH        DEFINED              11539     8565      507
D Monsanto Co                    COMMON           61166W101 00001013     9594 SH        SOLE                  9238        0      356
D Monsanto Co                    COMMON           61166W101 00001279    12108 SH        DEFINED              11978      130        0
D Morrow and Sons Inc            COMMON           61889Z910 00000036    14827 SH        SOLE                 14827        0        0
D Motorola Solutions Inc         COMMON           620076307 00000288     4497 SH        SOLE                  4488        0        9
D Motorola Solutions Inc         COMMON           620076307 00000010      156 SH        DEFINED                156        0        0
D Murphy Oil Corp                COMMON           626717102 00000791    12410 SH        SOLE                 12410        0        0
D Murphy Oil Corp                COMMON           626717102 00000019      300 SH        DEFINED                300        0        0
D Mylan Inc                      COMMON           628530107 00000089     3087 SH        SOLE                  3087        0        0
D Mylan Inc                      COMMON           628530107 00000206     7099 SH        DEFINED               7099        0        0
D National Oilwell Varco Inc     COMMON           637071101 00006651    94008 SH        SOLE                 72210      975    20823
D National Oilwell Varco Inc     COMMON           637071101 00000509     7200 SH        DEFINED               5580     1470      150
D Newmont Mining Corp            COMMON           651639106 00000367     8765 SH        SOLE                  8365      250      150
D Newmont Mining Corp            COMMON           651639106 00000224     5347 SH        DEFINED               5347        0        0
D NextEra Energy Inc             COMMON           65339F101 00006968    89697 SH        SOLE                 81856      675     7166
D NextEra Energy Inc             COMMON           65339F101 00003160    40685 SH        DEFINED              33125     2030     5530
D Nike Inc                       COMMON           654106103 00004722    80019 SH        SOLE                 74212     1040     4767
D Nike Inc                       COMMON           654106103 00000998    16905 SH        DEFINED              11785     1310     3810
D Noble Energy Inc               COMMON           655044105 00000786     6798 SH        SOLE                  6798        0        0
D Noble Energy Inc               COMMON           655044105 00000370     3200 SH        DEFINED               3200        0        0
D Norfolk Southern Corp          COMMON           655844108 00001654    21460 SH        SOLE                 20190      575      695
D Norfolk Southern Corp          COMMON           655844108 00000303     3933 SH        DEFINED               2070     1263      600
D Northern Trust Corp            COMMON           665859104 00000754    13818 SH        SOLE                 13655        0      163
D Northern Trust Corp            COMMON           665859104 00000448     8220 SH        DEFINED               7345      700      175
D Nucor Corp                     COMMON           670346105 00000491    10649 SH        SOLE                 10635        0       14
D Nucor Corp                     COMMON           670346105 00000363     7870 SH        DEFINED               7870        0        0
D O'Reilly Automotive Inc        COMMON           67103H107 00007128    69582 SH        SOLE                 67342     1360      880
D O'Reilly Automotive Inc        COMMON           67103H107 00000800     7805 SH        DEFINED               6455     1250      100
D Occidental Petroleum Corp      COMMON           674599105 00008063   102890 SH        SOLE                 89121      400    13369
D Occidental Petroleum Corp      COMMON           674599105 00001280    16335 SH        DEFINED              13865     2135      335
D OGE Energy Corp                COMMON           670837103 00000715    10215 SH        SOLE                 10215        0        0
D OGE Energy Corp                COMMON           670837103 00000086     1228 SH        DEFINED               1228        0        0
D Oilfield Manufacturers         COMMON           67803Z910 00001595     5146 SH        SOLE                  5146        0        0
D Old Republic International     COMMON           680223104 00000266    20912 SH        DEFINED              20912        0        0
D Omnicom Group Inc              COMMON           681919106 00000227     3851 SH        SOLE                  3851        0        0
D ONB Bancshares Inc             COMMON           69264Z918 00000370      816 SH        SOLE                   816        0        0
D Oracle Corp                    COMMON           68389X105 00010641   329130 SH        SOLE                273019     4060    52051
D Oracle Corp                    COMMON           68389X105 00003154    97545 SH        DEFINED              84675     9670     3200
D Paccar Inc                     COMMON           693718108 00000850    16807 SH        SOLE                 16607        0      200
D Paccar Inc                     COMMON           693718108 00000039      770 SH        DEFINED                770        0        0
D Paychex Inc                    COMMON           704326107 00004445   126774 SH        SOLE                117054     1120     8600
D Paychex Inc                    COMMON           704326107 00001447    41270 SH        DEFINED              37670     2550     1050
D Pepsico Inc                    COMMON           713448108 00006122    77388 SH        SOLE                 71192      900     5296
D Pepsico Inc                    COMMON           713448108 00003620    45755 SH        DEFINED              41824     2861     1070
D Peterson Manufacturing Co      COMMON           71636A928 00000970    51317 SH        DEFINED              51317        0        0
D Peterson Manufacturing Co      COMMON           71636A910 00007644    31200 SH        DEFINED              31200        0        0
D Petsmart Inc                   COMMON           716768106 00001208    19460 SH        SOLE                 18800        0      660
D Petsmart Inc                   COMMON           716768106 00000196     3150 SH        DEFINED               1885     1215       50
D Pfizer Inc                     COMMON           717081103 00005614   194521 SH        SOLE                188249     2179     4093
D Pfizer Inc                     COMMON           717081103 00003088   106990 SH        DEFINED             104571     2031      388
D PG&E Corporation               COMMON           69331C108 00001485    33348 SH        SOLE                 27441        0     5907
D PG&E Corporation               COMMON           69331C108 00000255     5728 SH        DEFINED               5220      508        0
D Philip Morris International    COMMON           718172109 00015230   164273 SH        SOLE                146810     1080    16383
D Philip Morris International    COMMON           718172109 00003192    34435 SH        DEFINED              26985     5780     1670
D Phillips 66                    COMMON           718546104 00001783    25486 SH        SOLE                 23382      825     1279
D Phillips 66                    COMMON           718546104 00001037    14822 SH        DEFINED              12920      952      950
D Pioneer Svc Corp               COMMON           72387A919 00000787      500 SH        SOLE                   500        0        0
D Plains All Amern Pipeline LP   COMMON           726503105 00000430     7620 SH        SOLE                  6920        0      700
D Plains All Amern Pipeline LP   COMMON           726503105 00000316     5600 SH        DEFINED               5600        0        0
D Plum Creek Timber Co Inc       COMMON           729251108 00000263     5030 SH        SOLE                  5030        0        0
D Plum Creek Timber Co Inc       COMMON           729251108 00000018      337 SH        DEFINED                337        0        0
D PNC Finl Svcs Group Inc        COMMON           693475105 00000366     5509 SH        SOLE                  5495        0       14
D Praxair Inc                    COMMON           74005P104 00005810    52093 SH        SOLE                 38296      700    13097
D Praxair Inc                    COMMON           74005P104 00000990     8877 SH        DEFINED               8035      792       50
D Price T Rowe Group Inc         COMMON           74144T108 00004693    62686 SH        SOLE                 57674     1470     3542
D Price T Rowe Group Inc         COMMON           74144T108 00001139    15213 SH        DEFINED              12373     2570      270
D Principal Financial Group Inc  COMMON           74251V102 00000019      563 SH        SOLE                   543        0       20
D Principal Financial Group Inc  COMMON           74251V102 00000808    23752 SH        DEFINED                  0        0    23752
D Procter & Gamble Co            COMMON           742718109 00015562   201941 SH        SOLE                186281     1480    14180
D Procter & Gamble Co            COMMON           742718109 00005711    74109 SH        DEFINED              63107     5719     5283
D Progressive Corp Ohio          COMMON           743315103 00000219     8684 SH        SOLE                  8379        0      305
D Progressive Corp Ohio          COMMON           743315103 00000014      550 SH        DEFINED                  0      300      250
D QEP Resources Inc              COMMON           74733V100 00001084    34060 SH        SOLE                 34060        0        0
D Qualcomm Inc                   COMMON           747525103 00012329   184178 SH        SOLE                150503     1810    31865
D Qualcomm Inc                   COMMON           747525103 00003651    54546 SH        DEFINED              47560     4651     2335
D Questar Corp                   COMMON           748356102 00001419    58320 SH        SOLE                 36320        0    22000
D Raytheon Co                    COMMON           755111507 00000806    13715 SH        SOLE                 12694        0     1021
D Raytheon Co                    COMMON           755111507 00000767    13045 SH        DEFINED              12045        0     1000
D Robinson Milling Co (Majority  COMMON           77081Z920 00001469     1438 SH        DEFINED               1438        0        0
D Salesforce.com Inc             COMMON           79466L302 00004597    25705 SH        SOLE                 24960      205      540
D Salesforce.com Inc             COMMON           79466L302 00000318     1780 SH        DEFINED               1060      720        0
D SCANA Corp                     COMMON           80589M102 00000986    19268 SH        SOLE                 19268        0        0
D SCANA Corp                     COMMON           80589M102 00000674    13170 SH        DEFINED              12870      100      200
D Schwab Charles Corp            COMMON           808513105 00000500    28269 SH        SOLE                 25805        0     2464
D Schwab Charles Corp            COMMON           808513105 00000064     3645 SH        DEFINED               3545      100        0
D Sealed Air Corp New            COMMON           81211K100 00000260    10798 SH        SOLE                 10610        0      188
D Sealed Air Corp New            COMMON           81211K100 00000006      246 SH        DEFINED                246        0        0
D Sempra Energy                  COMMON           816851109 00000220     2750 SH        SOLE                  2750        0        0
D Sherwin Williams CO            COMMON           824348106 00000579     3430 SH        SOLE                  3430        0        0
D Solarwinds Inc                 COMMON           83416B109 00000236     4000 SH        SOLE                     0        0     4000
D Southern Co                    COMMON           842587107 00003114    66371 SH        SOLE                 56834     2466     7071
D Southern Co                    COMMON           842587107 00000759    16182 SH        DEFINED              15662      325      195
D Southwest Airlines Co          COMMON           844741108 00000045     3305 SH        SOLE                  3305        0        0
D Southwest Airlines Co          COMMON           844741108 00000120     8890 SH        DEFINED               8890        0        0
D SPDR S&P 500 ETF Trust         COMMON           78462F103 00001502     9584 SH        SOLE                  9537        0       47
D SPDR S&P 500 ETF Trust         COMMON           78462F103 00000043      275 SH        DEFINED                275        0        0
D Spectra Energy Corp            COMMON           847560109 00006382   207551 SH        SOLE                191668     1845    14038
D Spectra Energy Corp            COMMON           847560109 00001697    55190 SH        DEFINED              41053     3292    10845
D Sprint Nextel Corp             COMMON           852061100 00000174    28021 SH        SOLE                 27021        0     1000
D Sprint Nextel Corp             COMMON           852061100 00000022     3550 SH        DEFINED                500     1800     1250
D St Jude Med Inc                COMMON           790849103 00000230     5690 SH        SOLE                  5240      250      200
D Staples Inc                    COMMON           855030102 00000091     6778 SH        SOLE                  2158        0     4620
D Staples Inc                    COMMON           855030102 00000060     4474 SH        DEFINED               3074     1400        0
D Starbucks Corp                 COMMON           855244109 00004809    84438 SH        SOLE                 73419      670    10349
D Starbucks Corp                 COMMON           855244109 00000979    17185 SH        DEFINED               7610     3175     6400
D SunTrust Banks Inc             COMMON           867914103 00002593    89998 SH        SOLE                 84047      700     5251
D SunTrust Banks Inc             COMMON           867914103 00000155     5375 SH        DEFINED               2630     2745        0
D Syntroleum Corp                COMMON           871630208 00000097   245338 SH        SOLE                245338        0        0
D Sysco Corp                     COMMON           871829107 00000121     3427 SH        SOLE                  3230        0      197
D Sysco Corp                     COMMON           871829107 00000128     3653 SH        DEFINED               2203     1450        0
D Target Corp                    COMMON           87612E106 00004601    67211 SH        SOLE                 61536     1200     4475
D Target Corp                    COMMON           87612E106 00001852    27050 SH        DEFINED              23475     1325     2250
D Teco Energy Inc                COMMON           872375100 00000081     4565 SH        SOLE                  4565        0        0
D Teco Energy Inc                COMMON           872375100 00000107     6000 SH        DEFINED               6000        0        0
D Texas Instruments Inc          COMMON           882508104 00003434    96791 SH        SOLE                 87916     3165     5710
D Texas Instruments Inc          COMMON           882508104 00001312    36985 SH        DEFINED              34870     1240      875
D Textron Inc                    COMMON           883203101 00000212     7113 SH        SOLE                     0        0     7113
D The Hershey Company            COMMON           427866108 00000433     4943 SH        SOLE                  4935        0        8
D The Hershey Company            COMMON           427866108 00000228     2600 SH        DEFINED               2600        0        0
D The Mosaic Company             COMMON           61945C103 00000163     2730 SH        SOLE                  2630        0      100
D The Mosaic Company             COMMON           61945C103 00000176     2950 SH        DEFINED               2950        0        0
D Thermo Fisher Scientific Inc   COMMON           883556102 00007184    93916 SH        SOLE                 68785      665    24466
D Thermo Fisher Scientific Inc   COMMON           883556102 00000875    11435 SH        DEFINED               9160     2085      190
D Tidewater Inc                  COMMON           886423102 00000331     6559 SH        SOLE                   334        0     6225
D Time Warner Cable Inc          COMMON           88732J207 00000203     2110 SH        SOLE                  2100        0       10
D Time Warner Cable Inc          COMMON           88732J207 00000003       36 SH        DEFINED                  0       36        0
D TJX Cos Inc                    COMMON           872540109 00005894   126082 SH        SOLE                120363      525     5194
D TJX Cos Inc                    COMMON           872540109 00001008    21570 SH        DEFINED              16950     4470      150
D Torchmark Corp                 COMMON           891027104 00000358     5985 SH        SOLE                  5985        0        0
D Travelers Companies Inc        COMMON           89417E109 00000210     2492 SH        SOLE                  2483        0        9
D Travelers Companies Inc        COMMON           89417E109 00000225     2667 SH        DEFINED               2667        0        0
D TRW Automotive Holdings Corp   COMMON           87264S106 00000249     4525 SH        SOLE                     0        0     4525
D Tupperware Brands Corporation  COMMON           899896104 00000594     7262 SH        SOLE                  7262        0        0
D Turkiye Garanti Bankasi A S    COMMON           900148701 00000270    50896 SH        SOLE                 13160        0    37736
D UMB Financial Corp             COMMON           902788108 00063577   129564 SH        SOLE                629178   604869    61598
D UMB Financial Corp             COMMON           902788108 00061931   126209 SH        DEFINED             349394     6806   905898
D Union Pacific Corp             COMMON           907818108 00011416    80163 SH        SOLE                 74937     1230     3996
D Union Pacific Corp             COMMON           907818108 00003739    26253 SH        DEFINED              22958     1645     1650
D United Parcel Service Inc      COMMON           911312106 00004054    47198 SH        SOLE                 43537      835     2826
D United Parcel Service Inc      COMMON           911312106 00000783     9110 SH        DEFINED               8245      750      115
D United Technologies Corp       COMMON           913017109 00013848   148213 SH        SOLE                123849     2460    21904
D United Technologies Corp       COMMON           913017109 00002882    30849 SH        DEFINED              26745     3564      540
D UnitedHealth Group Inc         COMMON           91324P102 00010743   187784 SH        SOLE                154193     2285    31306
D UnitedHealth Group Inc         COMMON           91324P102 00001301    22745 SH        DEFINED              18305     3980      460
D UniTek Global Services Inc.    COMMON           91324T302 00000117    40000 SH        SOLE                 40000        0        0
D US Bancorp Del                 COMMON           902973304 00008861   261166 SH        SOLE                217755     3560    39851
D US Bancorp Del                 COMMON           902973304 00001736    51159 SH        DEFINED              40219    10515      425
D V F Corp                       COMMON           918204108 00008487    50596 SH        SOLE                 46831      850     2915
D V F Corp                       COMMON           918204108 00016983   101238 SH        DEFINED              98784     1854      600
D Valero Energy Corp New         COMMON           91913Y100 00000956    21024 SH        SOLE                 14542        0     6482
D Valero Energy Corp New         COMMON           91913Y100 00000467    10275 SH        DEFINED              10275        0        0
D Verizon Communications Inc     COMMON           92343V104 00013139   267333 SH        SOLE                229653     2085    35595
D Verizon Communications Inc     COMMON           92343V104 00004260    86678 SH        DEFINED              73637     5745     7296
D Visa Inc                       COMMON           92826C839 00000301     1773 SH        SOLE                  1680        0       93
D Visa Inc                       COMMON           92826C839 00000012       70 SH        DEFINED                  0        0       70
D Volkswagen ag                  COMMON           928662402 00000234     5883 SH        SOLE                     0        0     5883
D Wal Mart Stores Inc            COMMON           931142103 00005911    78990 SH        SOLE                 74420        0     4570
D Wal Mart Stores Inc            COMMON           931142103 00003380    45171 SH        DEFINED              19380      995    24796
D Walgreen Co                    COMMON           931422109 00000278     5835 SH        SOLE                  5497        0      338
D Walgreen Co                    COMMON           931422109 00000298     6250 SH        DEFINED               5850      400        0
D Waters Corp                    COMMON           941848103 00002345    24975 SH        SOLE                 24425      220      330
D Waters Corp                    COMMON           941848103 00000060      635 SH        DEFINED                600       35        0
D Wells Fargo & Co               COMMON           949746101 00016477   445435 SH        SOLE                366701     5085    73649
D Wells Fargo & Co               COMMON           949746101 00003514    94993 SH        DEFINED              79933    11200     3860
D Weyerhaeuser Co                COMMON           962166104 00009761   311055 SH        SOLE                278598     2470    29987
D Weyerhaeuser Co                COMMON           962166104 00002016    64256 SH        DEFINED              38988     6888    18380
D Whole Foods Market Inc         COMMON           966837106 00000026      300 SH        SOLE                   300        0        0
D Whole Foods Market Inc         COMMON           966837106 00000191     2200 SH        DEFINED               2000        0      200
D Williams Companies Inc         COMMON           969457100 00000651    17390 SH        SOLE                 17390        0        0
D Williams Companies Inc         COMMON           969457100 00000150     4000 SH        DEFINED               4000        0        0
D Williams Partners LP           COMMON           96950F104 00000220     4250 SH        SOLE                  3492        0      758
D Williams Partners LP           COMMON           96950F104 00000166     3209 SH        DEFINED               3209        0        0
D Wisconsin Energy Corp          COMMON           976657106 00000150     3500 SH        SOLE                  3500        0        0
D Wisconsin Energy Corp          COMMON           976657106 00000051     1200 SH        DEFINED               1200        0        0
D Wisdomtree Earnings 500 Fund   COMMON           97717W588 00000816    15000 SH        DEFINED              15000        0        0
D WPX Energy Inc                 COMMON           98212B103 00000354    22096 SH        SOLE                  5796        0    16300
D Xcel Energy Inc                COMMON           98389B100 00000260     8760 SH        SOLE                  8524        0      236
D Yum Brands Inc                 COMMON           988498101 00005690    79096 SH        SOLE                 77142      425     1529
D Yum Brands Inc                 COMMON           988498101 00000563     7825 SH        DEFINED               5870     1930       25
D Zimmer Holdings Inc            COMMON           98956P102 00000564     7492 SH        SOLE                  6876      100      516
D Zimmer Holdings Inc            COMMON           98956P102 00000294     3910 SH        DEFINED               3660      250        0
D Analytical Bio Chemistry PFD   PREFERRED        03268Z939 00000280     7000 SH        SOLE                     0        0     7000
D Kansas City Southern $1.00 PFD PREFERRED        485170203 00000129     4949 SH        SOLE                  4949        0        0
D Kansas City Southern $1.00 PFD PREFERRED        485170203 00000146     5600 SH        DEFINED               5600        0        0