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

                                    FORM 13F

                               FORM 13F COVERPAGE

Report for the Calendar Quarter Ended: 03/31/13

If amended report check here: [_]; Amendment Number:
                                                     -----------

Institutional Investment Manager Filing this Report:

Name:    Francis L. Coolidge
Address: 800 Boylston Street
         Boston Ma 02199-3600

Form 13F File Number: 28-3933

The institutional investment manager filing this report and the person by whom
it is signed here by represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, that 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:
Title:
Phone:

Signature, Place, and Date of Signing:

Francis L. Coolidge         Boston, Ma.              5/14/13
-------------------------   ----------------------   ---------------------------
(Signature)                 (City, State)            (Date)

[_]  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).)

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

List of Other Managers Reporting for this Manager:

Form 13F File Number      Name
28-04578                  Loring, Wolcott & Coolidge Fiduciary Advisors LLP



FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                   4
                                           -----------

Form 13F Information Table Entry Total:            605
                                           -----------

Form 13F Information Table Value Total:    $91,719,000
                                           -----------

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
6     28-03905                 Robert N. Shapiro
8     28-03911                 Edward P. Lawrence
10    28-11158                 Martin Hall
14    801-69700                Barclays Capital, Inc.






                                                     Value    Shares/Par   SH    Put    Investment    Other      Voting Authority
Name of Issuer           Title of Class    CUSIP   (x 1,000)    Amount    /PRN  /Call   Discretion   Managers    Sole    Shared None
------------------------ --------------- --------- ---------- ---------- ------ ----- -------------- -------- ---------- ------ ----
                                                                                               
3-D SYSTEMS CORP         COMMON STOCK    88554D205      65.57       2085 SHARES       SHARED - Other                2085
3M CO                    COMMON STOCK    88579Y101     740.78       7005 SHARES       SHARED - Other       14              7005
3M CO                    COMMON STOCK    88579Y101      34.37        325 SHARES       SHARED - Other     8 14               325
3M CO                    COMMON STOCK    88579Y101   1,553.26      14688 SHARES       SHARED - Other               14688
3M CO                    COMMON STOCK    88579Y101      51.82        490 SHARES       SHARED - Other       14        490
3M CO                    COMMON STOCK    88579Y101      50.55        478 SHARES       SHARED - Other        8        478
3M CO                    COMMON STOCK    88579Y101       6.13         58 SHARES       SOLE                            58
ABB LTD-SPON ADR         COMMON STOCK    000375204      15.04        684 SHARES       SHARED - Other                 684
ABBOTT LABS              COMMON STOCK    002824100     497.26      13605 SHARES       SHARED - Other               13605
ABBOTT LABS              COMMON STOCK    002824100     146.20       4000 SHARES       SHARED - Other        6       4000
ABBOTT LABS              COMMON STOCK    002824100      78.58       2150 SHARES       SHARED - Other     6 14       2150
ABBOTT LABS              COMMON STOCK    002824100      18.28        500 SHARES       SHARED - Other        8        500
ABBVIE INC               COMMON STOCK    00287Y109     568.28      13605 SHARES       SHARED - Other               13605
ABBVIE INC               COMMON STOCK    00287Y109     167.08       4000 SHARES       SHARED - Other        6       4000
ABBVIE INC               COMMON STOCK    00287Y109      89.81       2150 SHARES       SHARED - Other     6 14       2150
ACACIA RESEARCH CORP     COMMON STOCK    003881307      30.19       1029 SHARES       SHARED - Other                1029
ACCENTURE PLC CL A       COMMON STOCK    G1151C101     585.99       7655 SHARES       SHARED - Other       14              7655
ACCENTURE PLC CL A       COMMON STOCK    G1151C101      27.94        365 SHARES       SHARED - Other     8 14               365
ACCENTURE PLC CL A       COMMON STOCK    G1151C101      40.95        535 SHARES       SHARED - Other       14        535
ACE LIMITED              COMMON STOCK    H0023R105     289.93       3220 SHARES       SHARED - Other                3220
ACE LIMITED              COMMON STOCK    H0023R105      19.63        218 SHARES       SHARED - Other        8        218
ACE LIMITED              COMMON STOCK    H0023R105       5.40         60 SHARES       SOLE                            60
ADOBE SYS INC            COMMON STOCK    00724F101     187.55       4283 SHARES       SHARED - Other                4283
ADOBE SYS INC            COMMON STOCK    00724F101      17.52        400 SHARES       SHARED - Other        8        400
ADT CORP                 COMMON STOCK    00101J106      68.01       1460 SHARES       SHARED - Other                1460
ADVISORY BOARD COMPANY   COMMON STOCK    00762W107      66.40       1304 SHARES       SHARED - Other                1304






                                                                                               
AGNICO EAGLE MINES LTD   COMMON STOCK    008474108      30.37        804 SHARES       SHARED - Other                 804
AIR PRODUCTS & CHEMICALS
  INC                    COMMON STOCK    009158106     503.71       5881 SHARES       SHARED - Other                5881
AIR PRODUCTS & CHEMICALS
  INC                    COMMON STOCK    009158106     158.45       1850 SHARES       SHARED - Other        6       1850
AIR PRODUCTS & CHEMICALS
  INC                    COMMON STOCK    009158106      15.76        184 SHARES       SHARED - Other        8        184
AIR PRODUCTS & CHEMICALS
  INC                    COMMON STOCK    009158106       5.57         65 SHARES       SOLE                            65
ALLIED NEVADA GOLD CORP  COMMON STOCK    019344100      21.54       1827 SHARES       SHARED - Other                1827
ALTRIA GROUP INC         COMMON STOCK    02209S103      35.26       1000 SHARES       SHARED - Other                1000
AMAZON.COM INC           COMMON STOCK    023135106     104.36        403 SHARES       SHARED - Other                 403
AMERICAN EXPRESS CO      COMMON STOCK    025816109     418.53       6380 SHARES       SHARED - Other       14              6380
AMERICAN EXPRESS CO      COMMON STOCK    025816109      20.01        305 SHARES       SHARED - Other     8 14               305
AMERICAN EXPRESS CO      COMMON STOCK    025816109      75.44       1150 SHARES       SHARED - Other                1150
AMERICAN EXPRESS CO      COMMON STOCK    025816109     445.95       6798 SHARES       SHARED - Other       14       6798
AMERICAN EXPRESS CO      COMMON STOCK    025816109      27.88        425 SHARES       SHARED - Other        8        425
AMERICAN EXPRESS CO      COMMON STOCK    025816109      14.24        217 SHARES       SHARED - Other     8 14        217
AMERICAN EXPRESS CO      COMMON STOCK    025816109      12.00        183 SHARES       SHARED - Other    10 14        183
AMERICAN SCIENCE &
  ENGINE INC.            COMMON STOCK    029429107      37.87        624 SHARES       SHARED - Other                 624
AMERISOURCEBERGEN CORP   COMMON STOCK    03073E105     409.20       7775 SHARES       SHARED - Other       14              7775
AMERISOURCEBERGEN CORP   COMMON STOCK    03073E105      19.21        365 SHARES       SHARED - Other     8 14               365
AMERISOURCEBERGEN CORP   COMMON STOCK    03073E105      29.21        555 SHARES       SHARED - Other       14        555
AMGEN INC                COMMON STOCK    031162100     302.48       2878 SHARES       SHARED - Other                2878
AMGEN INC                COMMON STOCK    031162100      37.31        355 SHARES       SHARED - Other        8        355
AMGEN INC                COMMON STOCK    031162100       4.10         39 SHARES       SOLE                            39
ANADARKO PETE CORP       COMMON STOCK    032511107     125.24       1447 SHARES       SHARED - Other                1447
ANADARKO PETE CORP       COMMON STOCK    032511107      13.85        160 SHARES       SHARED - Other        8        160
ANADARKO PETE CORP       COMMON STOCK    032511107       4.50         52 SHARES       SOLE                            52
ANIKA THERAPEUTICS INC   COMMON STOCK    035255108       8.07        580 SHARES       SHARED - Other                 580
APPLE INC                COMMON STOCK    037833100     323.49        759 SHARES       SHARED - Other                 759
APPLE INC                COMMON STOCK    037833100     675.97       1586 SHARES       SHARED - Other       14       1586






                                                                                               
APPLE INC                COMMON STOCK    037833100      23.44         55 SHARES       SHARED - Other     6 14         55
APPLE INC                COMMON STOCK    037833100      23.02         54 SHARES       SHARED - Other        8         54
APPLE INC                COMMON STOCK    037833100      23.44         55 SHARES       SHARED - Other     8 14         55
APPLE INC                COMMON STOCK    037833100      19.61         46 SHARES       SHARED - Other    10 14         46
APPLE INC                COMMON STOCK    037833100       1.28          3 SHARES       SOLE                             3
APPLIED MATERIALS INC    COMMON STOCK    038222105      47.50       3550 SHARES       SHARED - Other                3550
ARIAD PHARMACEUTICALS
  INC                    COMMON STOCK    04033A100     312.71      18128 SHARES       SHARED - Other       14      18128
ARIAD PHARMACEUTICALS
  INC                    COMMON STOCK    04033A100      11.11        644 SHARES       SHARED - Other     8 14        644
ARIAD PHARMACEUTICALS
  INC                    COMMON STOCK    04033A100       9.45        548 SHARES       SHARED - Other    10 14        548
ARM HOLDINGS PLC-SPONS
 ADR                     COMMON STOCK    042068106      31.51        771 SHARES       SHARED - Other                 771
ASSOCIATED BANC CORP     COMMON STOCK    045487105       7.32        500 SHARES       SHARED - Other                 500
ASTRONICS CORP           COMMON STOCK    046433108      32.77       1190 SHARES       SHARED - Other                1190
AT&T INC                 COMMON STOCK    00206R102     250.85       6668 SHARES       SHARED - Other                6668
AT&T INC                 COMMON STOCK    00206R102      65.46       1740 SHARES       SHARED - Other     6 14       1740
AT&T INC                 COMMON STOCK    00206R102      26.33        700 SHARES       SHARED - Other        8        700
AT&T INC                 COMMON STOCK    00206R102      13.54        360 SHARES       SOLE                           360
AURICO GOLD INC          COMMON STOCK    05155C105      28.11       4700 SHARES       SHARED - Other                4700
AUTOMATIC DATA
  PROCESSING INC         COMMON STOCK    053015103     386.85       6020 SHARES       SHARED - Other       14              6020
AUTOMATIC DATA
  PROCESSING INC         COMMON STOCK    053015103      17.99        280 SHARES       SHARED - Other     8 14               280
AUTOMATIC DATA
  PROCESSING INC         COMMON STOCK    053015103   1,111.12      17291 SHARES       SHARED - Other               17291
AUTOMATIC DATA
  PROCESSING INC         COMMON STOCK    053015103      26.99        420 SHARES       SHARED - Other       14        420
AUTOMATIC DATA
  PROCESSING INC         COMMON STOCK    053015103     186.35       2900 SHARES       SHARED - Other        6       2900
AUTOMATIC DATA
  PROCESSING INC         COMMON STOCK    053015103      23.45        365 SHARES       SHARED - Other        8        365
AUTOMATIC DATA
  PROCESSING INC         COMMON STOCK    053015103       7.00        109 SHARES       SOLE                           109
BAIDU INC SPONS ADR      COMMON STOCK    056752108      79.36        944 SHARES       SHARED - Other                 944
BANCO BRADESCO-SPONS ADR COMMON STOCK    059460303      91.63       5500 SHARES       SHARED - Other                5500
BANK MONTREAL QUEBEC     COMMON STOCK    063671101      27.57        450 SHARES       SHARED - Other                 450
BANK MONTREAL QUEBEC     COMMON STOCK    063671101      24.51        400 SHARES       SHARED - Other        8        400






                                                                                               
BANK OF AMERICA CORP     COMMON STOCK    060505104      69.90       5725 SHARES       SHARED - Other                5725
BANK OF NEW YORK MELLON
  CORP                   COMMON STOCK    064058100     726.28      26410 SHARES       SHARED - Other       14             26410
BANK OF NEW YORK MELLON
  CORP                   COMMON STOCK    064058100      34.51       1255 SHARES       SHARED - Other     8 14              1255
BANK OF NEW YORK MELLON
  CORP                   COMMON STOCK    064058100      51.29       1865 SHARES       SHARED - Other       14       1865
BAXTER INTL INC          COMMON STOCK    071813109     189.30       2700 SHARES       SHARED - Other                2700
BAXTER INTL INC          COMMON STOCK    071813109      17.53        250 SHARES       SHARED - Other        8        250
BECTON DICKINSON         COMMON STOCK    075887109      71.60        750 SHARES       SHARED - Other                 750
BECTON DICKINSON         COMMON STOCK    075887109      19.09        200 SHARES       SHARED - Other        8        200
BED BATH & BEYOND INC    COMMON STOCK    075896100      74.78       1150 SHARES       SHARED - Other                1150
BED BATH & BEYOND INC    COMMON STOCK    075896100      19.51        300 SHARES       SHARED - Other        8        300
BERKSHIRE HATHAWAY INC
  CL A                   COMMON STOCK    084670108     158.00          1 SHARES       SHARED - Other                   1
BERKSHIRE HATHAWAY
  INC-CL B               COMMON STOCK    084670702     731.03       6945 SHARES       SHARED - Other       14              6945
BERKSHIRE HATHAWAY
  INC-CL B               COMMON STOCK    084670702      34.74        330 SHARES       SHARED - Other     8 14               330
BERKSHIRE HATHAWAY
  INC-CL B               COMMON STOCK    084670702     187.26       1779 SHARES       SHARED - Other                1779
BERKSHIRE HATHAWAY
  INC-CL B               COMMON STOCK    084670702      51.58        490 SHARES       SHARED - Other       14        490
BERKSHIRE HATHAWAY
  INC-CL B               COMMON STOCK    084670702      52.63        500 SHARES       SOLE                           500
BHP BILLITON LTD ADR     COMMON STOCK    088606108      40.83        600 SHARES       SHARED - Other                 600
BHP BILLITON LTD ADR     COMMON STOCK    088606108      20.42        300 SHARES       SHARED - Other        8        300
BIOSCRIP INC             COMMON STOCK    09069N108      29.68       2390 SHARES       SHARED - Other                2390
BLACKROCK INC CLASS A    COMMON STOCK    09247X101     177.81        713 SHARES       SHARED - Other                 713
BLACKROCK INC CLASS A    COMMON STOCK    09247X101      15.46         62 SHARES       SHARED - Other        8         62
BLACKROCK INC CLASS A    COMMON STOCK    09247X101       4.49         18 SHARES       SOLE                            18
BOEING CO                COMMON STOCK    097023105     263.63       3039 SHARES       SHARED - Other                3039
BOEING CO                COMMON STOCK    097023105      24.12        278 SHARES       SHARED - Other        8        278
BOEING CO                COMMON STOCK    097023105       7.89         91 SHARES       SOLE                            91
BORG WARNER AUTOMOTIVE
  INC                    COMMON STOCK    099724106       7.26        100 SHARES       SHARED - Other                 100
BORG WARNER AUTOMOTIVE
  INC                    COMMON STOCK    099724106      10.89        150 SHARES       SHARED - Other        8        150
BP PLC SPONS ADR         COMMON STOCK    055622104     170.90       4146 SHARES       SHARED - Other                4146






                                                                                               
BP PLC SPONS ADR         COMMON STOCK    055622104     123.66       3000 SHARES       SHARED - Other        6       3000
BP PLC SPONS ADR         COMMON STOCK    055622104      27.21        660 SHARES       SOLE                           660
BRIGHT HORIZONS FAMILY
  SOLUTIONS              COMMON STOCK    109194100       9.67        288 SHARES       SHARED - Other                 288
BRISTOL MYERS SQUIBB CO  COMMON STOCK    110122108   1,780.43      43713 SHARES       SHARED - Other               43713
BRISTOL MYERS SQUIBB CO  COMMON STOCK    110122108     393.66       9665 SHARES       SHARED - Other       14       9665
BRISTOL MYERS SQUIBB CO  COMMON STOCK    110122108      18.33        450 SHARES       SHARED - Other     6 14        450
BRISTOL MYERS SQUIBB CO  COMMON STOCK    110122108      26.23        644 SHARES       SHARED - Other        8        644
BRISTOL MYERS SQUIBB CO  COMMON STOCK    110122108      14.34        352 SHARES       SHARED - Other     8 14        352
BRISTOL MYERS SQUIBB CO  COMMON STOCK    110122108      12.14        298 SHARES       SHARED - Other    10 14        298
BRISTOL MYERS SQUIBB CO  COMMON STOCK    110122108       8.55        210 SHARES       SOLE                           210
BROADRIDGE FINL
  SOLUTIONS INC          COMMON STOCK    11133T103      69.33       2950 SHARES       SHARED - Other                2950
CABOT OIL & GAS CORP     COMMON STOCK    127097103     377.79       5504 SHARES       SHARED - Other       14       5504
CABOT OIL & GAS CORP     COMMON STOCK    127097103      12.56        183 SHARES       SHARED - Other     8 14        183
CABOT OIL & GAS CORP     COMMON STOCK    127097103      10.64        155 SHARES       SHARED - Other    10 14        155
CANADIAN NATIONAL
  RAILWAY CO             COMMON STOCK    136375102     943.98       9768 SHARES       SHARED - Other                9768
CANADIAN NATIONAL
  RAILWAY CO             COMMON STOCK    136375102     497.70       5150 SHARES       SHARED - Other        6       5150
CANADIAN NATIONAL
  RAILWAY CO             COMMON STOCK    136375102      48.32        500 SHARES       SHARED - Other     6 14        500
CAPITAL ONE FINANCIAL
  CORP                   COMMON STOCK    14040H105       8.31        150 SHARES       SHARED - Other                 150
CAPITAL ONE FINANCIAL
  CORP                   COMMON STOCK    14040H105      22.16        400 SHARES       SHARED - Other        8        400
CATAMARAN CORPORATION    COMMON STOCK    148887102      34.39        646 SHARES       SHARED - Other                 646
CELGENE CORP             COMMON STOCK    151020104     172.05       1474 SHARES       SHARED - Other                1474
CENOVUS ENERGY INC       COMMON STOCK    15135U109      52.24       1772 SHARES       SHARED - Other                1772
CENOVUS ENERGY INC       COMMON STOCK    15135U109     461.13      15642 SHARES       SHARED - Other       14      15642
CENOVUS ENERGY INC       COMMON STOCK    15135U109      17.33        588 SHARES       SHARED - Other        8        588
CENOVUS ENERGY INC       COMMON STOCK    15135U109      16.66        565 SHARES       SHARED - Other     8 14        565
CENOVUS ENERGY INC       COMMON STOCK    15135U109      14.15        480 SHARES       SHARED - Other    10 14        480
CENTURYLINK INC          COMMON STOCK    156700106       3.04         84 SHARES       SHARED - Other                  84
CHART INDUSTRIES INC     COMMON STOCK    16115Q308      34.92        440 SHARES       SHARED - Other                 440






                                                                                               
CHECK POINT SOFTWARE
  TECH LT ORD            COMMON STOCK    M22465104      40.44        875 SHARES       SHARED - Other                 875
CHECK POINT SOFTWARE
  TECH LT ORD            COMMON STOCK    M22465104      23.11        500 SHARES       SHARED - Other        8        500
CHEMBIO DIAGNOSTICS INC  COMMON STOCK    163572209       3.91        875 SHARES       SHARED - Other                 875
CHEVRON CORP             COMMON STOCK    166764100     478.31       4060 SHARES       SHARED - Other                4060
CHEVRON CORP             COMMON STOCK    166764100     289.11       2454 SHARES       SHARED - Other       14       2454
CHEVRON CORP             COMMON STOCK    166764100      51.60        438 SHARES       SHARED - Other        8        438
CHEVRON CORP             COMMON STOCK    166764100      11.78        100 SHARES       SHARED - Other     8 14        100
CHEVRON CORP             COMMON STOCK    166764100       9.90         84 SHARES       SHARED - Other    10 14         84
CHEVRON CORP             COMMON STOCK    166764100      15.55        132 SHARES       SOLE                           132
CHUBB CORP               COMMON STOCK    171232101     497.49       5622 SHARES       SHARED - Other                5622
CHUBB CORP               COMMON STOCK    171232101      22.21        251 SHARES       SHARED - Other        8        251
CHUBB CORP               COMMON STOCK    171232101       8.32         94 SHARES       SOLE                            94
CHURCH & DWIGHT INC      COMMON STOCK    171340102     413.84       6543 SHARES       SHARED - Other       14       6543
CHURCH & DWIGHT INC      COMMON STOCK    171340102      16.82        266 SHARES       SHARED - Other     8 14        266
CHURCH & DWIGHT INC      COMMON STOCK    171340102      14.23        225 SHARES       SHARED - Other    10 14        225
CINTAS CORP              COMMON STOCK    172908105     373.69       8445 SHARES       SHARED - Other       14              8445
CINTAS CORP              COMMON STOCK    172908105      17.70        400 SHARES       SHARED - Other     8 14               400
CINTAS CORP              COMMON STOCK    172908105      25.67        580 SHARES       SHARED - Other       14        580
CISCO SYSTEMS INC        COMMON STOCK    17275R102     698.23      33944 SHARES       SHARED - Other               33944
CISCO SYSTEMS INC        COMMON STOCK    17275R102     514.25      25000 SHARES       SHARED - Other        6      25000
CISCO SYSTEMS INC        COMMON STOCK    17275R102      67.88       3300 SHARES       SHARED - Other     6 14       3300
CISCO SYSTEMS INC        COMMON STOCK    17275R102      21.54       1047 SHARES       SHARED - Other        8       1047
CISCO SYSTEMS INC        COMMON STOCK    17275R102       9.44        459 SHARES       SOLE                           459
CITIGROUP INC            COMMON STOCK    172967424       7.41        170 SHARES       SHARED - Other                 170
CITRIX SYS INC           COMMON STOCK    177376100      34.02        500 SHARES       SHARED - Other                 500
COACH INC                COMMON STOCK    189754104      18.90        378 SHARES       SHARED - Other                 378
COCA COLA CO             COMMON STOCK    191216100      49.03       1200 SHARES       SHARED - Other                1200
COCA COLA CO             COMMON STOCK    191216100      16.34        400 SHARES       SHARED - Other        8        400






                                                                                               
COCA COLA CO             COMMON STOCK    191216100       2.66         65 SHARES       SOLE                            65
COGNIZANT TECHNOLOGY
  SOLUTIONS CORP         COMMON STOCK    192446102      22.38        300 SHARES       SHARED - Other        8        300
COLGATE PALMOLIVE CO     COMMON STOCK    194162103      17.66        150 SHARES       SHARED - Other                 150
COLGATE PALMOLIVE CO     COMMON STOCK    194162103      17.66        150 SHARES       SHARED - Other        8        150
COMCAST CORP-CL A        COMMON STOCK    20030N101      89.88       2159 SHARES       SHARED - Other                2159
COMERICA INC             COMMON STOCK    200340107     443.17      12790 SHARES       SHARED - Other       14             12790
COMERICA INC             COMMON STOCK    200340107      20.27        585 SHARES       SHARED - Other     8 14               585
COMERICA INC             COMMON STOCK    200340107      31.01        895 SHARES       SHARED - Other       14        895
COMPANHIA ENERGETICA DE
  MINAS GERAIS           COMMON STOCK    204409601      21.88       1875 SHARES       SHARED - Other                1875
CONOCOPHILLIPS           COMMON STOCK    20825C104     166.72       2811 SHARES       SHARED - Other                2811
CONTINENTAL RESOURCES
  INC                    COMMON STOCK    212015101      35.19        423 SHARES       SHARED - Other                 423
COVIDIEN PLC             COMMON STOCK    G2554F113     531.49       7915 SHARES       SHARED - Other       14              7915
COVIDIEN PLC             COMMON STOCK    G2554F113      24.85        370 SHARES       SHARED - Other     8 14               370
COVIDIEN PLC             COMMON STOCK    G2554F113      36.60        545 SHARES       SHARED - Other       14        545
CRAWFORD & CO CL B       COMMON STOCK    224633107      45.56       5849 SHARES       SHARED - Other                5849
CRAY INC                 COMMON STOCK    225223304     102.18       4724 SHARES       SHARED - Other                4724
CVS CAREMARK CORP        COMMON STOCK    126650100     213.06       3775 SHARES       SHARED - Other                3775
CVS CAREMARK CORP        COMMON STOCK    126650100      22.58        400 SHARES       SHARED - Other        8        400
DANAHER CORP             COMMON STOCK    235851102      83.19       1369 SHARES       SHARED - Other                1369
DANAHER CORP             COMMON STOCK    235851102     342.99       5644 SHARES       SHARED - Other       14       5644
DANAHER CORP             COMMON STOCK    235851102      12.09        199 SHARES       SHARED - Other     8 14        199
DANAHER CORP             COMMON STOCK    235851102      10.27        169 SHARES       SHARED - Other    10 14        169
DEERE & CO               COMMON STOCK    244199105      65.64        759 SHARES       SHARED - Other                 759
DEERE & CO               COMMON STOCK    244199105      36.32        420 SHARES       SHARED - Other        8        420
DEERE & CO               COMMON STOCK    244199105       3.37         39 SHARES       SOLE                            39
DEVON ENERGY CORPORATION
  NEW                    COMMON STOCK    25179M103     452.40       8310 SHARES       SHARED - Other       14              8310
DEVON ENERGY CORPORATION
  NEW                    COMMON STOCK    25179M103      21.23        390 SHARES       SHARED - Other     8 14               390
DEVON ENERGY CORPORATION
  NEW                    COMMON STOCK    25179M103      32.12        590 SHARES       SHARED - Other       14        590






                                                                                               
DISNEY WALT CO NEW       COMMON STOCK    254687106     432.27       7349 SHARES       SHARED - Other                7349
DISNEY WALT CO NEW       COMMON STOCK    254687106     428.92       7292 SHARES       SHARED - Other       14       7292
DISNEY WALT CO NEW       COMMON STOCK    254687106      17.00        289 SHARES       SHARED - Other        8        289
DISNEY WALT CO NEW       COMMON STOCK    254687106      17.41        296 SHARES       SHARED - Other     8 14        296
DISNEY WALT CO NEW       COMMON STOCK    254687106      14.76        251 SHARES       SHARED - Other    10 14        251
DISNEY WALT CO NEW       COMMON STOCK    254687106      11.41        194 SHARES       SOLE                           194
DOMINION RESOURCES
  INC VA                 COMMON STOCK    25746U109      48.06        800 SHARES       SHARED - Other                 800
DOVER CORP               COMMON STOCK    260003108     366.89       5030 SHARES       SHARED - Other       14       5030
DOVER CORP               COMMON STOCK    260003108      21.88        300 SHARES       SHARED - Other     6 14        300
DOVER CORP               COMMON STOCK    260003108      12.91        177 SHARES       SHARED - Other     8 14        177
DOVER CORP               COMMON STOCK    260003108      10.94        150 SHARES       SHARED - Other    10 14        150
DOW CHEMICAL CO          COMMON STOCK    260543103     234.43       7641 SHARES       SHARED - Other                7641
DOW CHEMICAL CO          COMMON STOCK    260543103      13.01        424 SHARES       SHARED - Other        8        424
DOW CHEMICAL CO          COMMON STOCK    260543103       4.23        138 SHARES       SOLE                           138
DU PONT E I DE NEMOURS
  & CO                   COMMON STOCK    263534109     457.50       9375 SHARES       SHARED - Other                9375
DU PONT E I DE NEMOURS
  & CO                   COMMON STOCK    263534109      48.80       1000 SHARES       SHARED - Other       14       1000
DUKE ENERGY CORP         COMMON STOCK    26441C204      14.24        195 SHARES       SHARED - Other                 195
DUKE ENERGY CORP         COMMON STOCK    26441C204     136.67       1872 SHARES       SHARED - Other        6       1872
DUNKIN BRANDS GROUP INC  COMMON STOCK    265504100     426.58      10860 SHARES       SHARED - Other       14      10860
DUNKIN BRANDS GROUP INC  COMMON STOCK    265504100      13.63        347 SHARES       SHARED - Other     8 14        347
DUNKIN BRANDS GROUP INC  COMMON STOCK    265504100      11.59        295 SHARES       SHARED - Other    10 14        295
EAGLE MATERIALS INC      COMMON STOCK    26969P108      34.19        507 SHARES       SHARED - Other                 507
EBAY INC                 COMMON STOCK    278642103      72.69       1301 SHARES       SHARED - Other                1301
EDWARDS LIFESCIENCES
  CORP                   COMMON STOCK    28176E108      16.32        200 SHARES       SHARED - Other                 200
ELLIE MAE INC            COMMON STOCK    28849P100      43.90       1893 SHARES       SHARED - Other                1893
EMC CORP MASS            COMMON STOCK    268648102     262.20      11336 SHARES       SHARED - Other               11336
EMC CORP MASS            COMMON STOCK    268648102     418.72      18103 SHARES       SHARED - Other       14      18103
EMC CORP MASS            COMMON STOCK    268648102       8.95        387 SHARES       SHARED - Other        8        387






                                                                                               
EMC CORP MASS            COMMON STOCK    268648102      14.66        634 SHARES       SHARED - Other     8 14        634
EMC CORP MASS            COMMON STOCK    268648102      12.47        539 SHARES       SHARED - Other    10 14        539
EMC CORP MASS            COMMON STOCK    268648102       2.34        101 SHARES       SOLE                           101
EMERSON ELEC CO          COMMON STOCK    291011104     226.87       4052 SHARES       SHARED - Other                4052
EMERSON ELEC CO          COMMON STOCK    291011104      33.20        593 SHARES       SHARED - Other        8        593
EMERSON ELEC CO          COMMON STOCK    291011104       7.22        129 SHARES       SOLE                           129
EOG RES INC              COMMON STOCK    26875P101     249.34       1965 SHARES       SHARED - Other                1965
EOG RES INC              COMMON STOCK    26875P101     315.83       2489 SHARES       SHARED - Other       14       2489
EOG RES INC              COMMON STOCK    26875P101       4.44         35 SHARES       SHARED - Other        8         35
EOG RES INC              COMMON STOCK    26875P101      12.82        101 SHARES       SHARED - Other     8 14        101
EOG RES INC              COMMON STOCK    26875P101      10.91         86 SHARES       SHARED - Other    10 14         86
EOG RES INC              COMMON STOCK    26875P101       3.05         24 SHARES       SOLE                            24
EVEREST RE GROUP LIMITED COMMON STOCK    G3223R108      55.04        432 SHARES       SHARED - Other                 432
EW SCRIPPS COMPANY CL A  COMMON STOCK    811054402       2.80        224 SHARES       SHARED - Other                 224
EXELON CORP              COMMON STOCK    30161N101      14.03        396 SHARES       SHARED - Other                 396
EXONE CO/THE             COMMON STOCK    302104104      93.06       3126 SHARES       SHARED - Other                3126
EXPEDITORS INTL WASH INC COMMON STOCK    302130109     349.61       9585 SHARES       SHARED - Other       14              9585
EXPEDITORS INTL WASH INC COMMON STOCK    302130109      15.87        435 SHARES       SHARED - Other     8 14               435
EXPEDITORS INTL WASH INC COMMON STOCK    302130109      24.26        665 SHARES       SHARED - Other       14        665
EXPRESS SCRIPTS HLDG     COMMON STOCK    30219G108      55.90        976 SHARES       SHARED - Other                 976
EXPRESS SCRIPTS HLDG     COMMON STOCK    30219G108     301.58       5266 SHARES       SHARED - Other       14       5266
EXPRESS SCRIPTS HLDG     COMMON STOCK    30219G108      12.26        214 SHARES       SHARED - Other     8 14        214
EXPRESS SCRIPTS HLDG     COMMON STOCK    30219G108      10.37        181 SHARES       SHARED - Other    10 14        181
EXXON MOBIL CORP         COMMON STOCK    30231G102   4,276.90      48272 SHARES       SHARED - Other               48272
EXXON MOBIL CORP         COMMON STOCK    30231G102     159.48       1800 SHARES       SHARED - Other       14       1800
EXXON MOBIL CORP         COMMON STOCK    30231G102     448.76       5065 SHARES       SHARED - Other        6       5065
EXXON MOBIL CORP         COMMON STOCK    30231G102     132.90       1500 SHARES       SHARED - Other     6 14       1500
EXXON MOBIL CORP         COMMON STOCK    30231G102      67.34        760 SHARES       SHARED - Other        8        760






                                                                                               
EXXON MOBIL CORP         COMMON STOCK    30231G102     152.48       1721 SHARES       SOLE                          1721
FISERV INC               COMMON STOCK    337738108     315.74       3686 SHARES       SHARED - Other       14       3686
FISERV INC               COMMON STOCK    337738108      12.85        150 SHARES       SHARED - Other     8 14        150
FISERV INC               COMMON STOCK    337738108      10.88        127 SHARES       SHARED - Other    10 14        127
FMC TECHNOLOGIES INC     COMMON STOCK    30249U101     525.69       9960 SHARES       SHARED - Other       14       9960
FMC TECHNOLOGIES INC     COMMON STOCK    30249U101      18.16        344 SHARES       SHARED - Other     8 14        344
FMC TECHNOLOGIES INC     COMMON STOCK    30249U101      15.36        291 SHARES       SHARED - Other    10 14        291
FRANCO NEVADA CORP       COMMON STOCK    351858105      25.50        598 SHARES       SHARED - Other                 598
GENERAL ELECTRIC CO      COMMON STOCK    369604103   1,855.52      80256 SHARES       SHARED - Other               80256
GENERAL ELECTRIC CO      COMMON STOCK    369604103     296.95      12844 SHARES       SHARED - Other       14      12844
GENERAL ELECTRIC CO      COMMON STOCK    369604103     346.80      15000 SHARES       SHARED - Other        6      15000
GENERAL ELECTRIC CO      COMMON STOCK    369604103     107.51       4650 SHARES       SHARED - Other     6 14       4650
GENERAL ELECTRIC CO      COMMON STOCK    369604103      24.28       1050 SHARES       SHARED - Other        8       1050
GENERAL ELECTRIC CO      COMMON STOCK    369604103       9.25        400 SHARES       SHARED - Other     8 14        400
GENERAL ELECTRIC CO      COMMON STOCK    369604103       7.84        339 SHARES       SHARED - Other    10 14        339
GENERAL ELECTRIC CO      COMMON STOCK    369604103      55.46       2399 SHARES       SOLE                          2399
GENERAL MLS INC          COMMON STOCK    370334104     883.76      18147 SHARES       SHARED - Other               18147
GENERAL MLS INC          COMMON STOCK    370334104     499.18      10250 SHARES       SHARED - Other        6      10250
GENERAL MLS INC          COMMON STOCK    370334104      25.96        533 SHARES       SHARED - Other        8        533
GENERAL MLS INC          COMMON STOCK    370334104      12.03        247 SHARES       SOLE                           247
GILEAD SCIENCES INC      COMMON STOCK    375558103      76.84       1628 SHARES       SHARED - Other                1628
GLAXO SMITHKLINE
  SPONSORED ADR          COMMON STOCK    37733W105     405.51       8615 SHARES       SHARED - Other       14              8615
GLAXO SMITHKLINE
  SPONSORED ADR          COMMON STOCK    37733W105      19.06        405 SHARES       SHARED - Other     8 14               405
GLAXO SMITHKLINE
  SPONSORED ADR          COMMON STOCK    37733W105      28.48        605 SHARES       SHARED - Other       14        605
GOOGLE INC-CL A          COMMON STOCK    38259P508     456.39        589 SHARES       SHARED - Other                 589
GOOGLE INC-CL A          COMMON STOCK    38259P508      27.12         35 SHARES       SHARED - Other        8         35
GUIDEWIRE SOFTWARE INC   COMMON STOCK    40171V100      38.21       1042 SHARES       SHARED - Other                1042
HALCON RESOURCES CORP    COMMON STOCK    40537Q209      31.58       4302 SHARES       SHARED - Other                4302






                                                                                               
HECKMANN CORP            COMMON STOCK    422680108      33.13       8140 SHARES       SHARED - Other                8140
HEINZ H J CO             COMMON STOCK    423074103     144.58       2000 SHARES       SHARED - Other                2000
HEINZ H J CO             COMMON STOCK    423074103      13.52        187 SHARES       SOLE                           187
HEWLETT PACKARD CO       COMMON STOCK    428236103       9.82        448 SHARES       SHARED - Other                 448
HEXCEL CORP              COMMON STOCK    428291108      34.70       1200 SHARES       SHARED - Other                1200
HMS HLDGS CORP           COMMON STOCK    40425J101      70.10       2663 SHARES       SHARED - Other                2663
HOLOGIC INC              COMMON STOCK    436440101      34.90       1612 SHARES       SHARED - Other                1612
HOME DEPOT INC           COMMON STOCK    437076102     585.78       8225 SHARES       SHARED - Other                8225
HOME DEPOT INC           COMMON STOCK    437076102      37.39        525 SHARES       SOLE                           525
HONEYWELL INTERNATIONAL
  INC                    COMMON STOCK    438516106     198.59       2700 SHARES       SHARED - Other                2700
HONEYWELL INTERNATIONAL
  INC                    COMMON STOCK    438516106      14.71        200 SHARES       SHARED - Other        8        200
ILLINOIS TOOL WKS INC    COMMON STOCK    452308109     510.98       8255 SHARES       SHARED - Other       14              8255
ILLINOIS TOOL WKS INC    COMMON STOCK    452308109      23.83        385 SHARES       SHARED - Other     8 14               385
ILLINOIS TOOL WKS INC    COMMON STOCK    452308109     334.26       5400 SHARES       SHARED - Other                5400
ILLINOIS TOOL WKS INC    COMMON STOCK    452308109      35.59        575 SHARES       SHARED - Other       14        575
ILLINOIS TOOL WKS INC    COMMON STOCK    452308109      12.38        200 SHARES       SHARED - Other        8        200
ILLINOIS TOOL WKS INC    COMMON STOCK    452308109       1.24         20 SHARES       SOLE                            20
INGERSOLL-RAND PLC       COMMON STOCK    G47791101     385.67       7025 SHARES       SHARED - Other       14              7025
INGERSOLL-RAND PLC       COMMON STOCK    G47791101      17.84        325 SHARES       SHARED - Other     8 14               325
INGERSOLL-RAND PLC       COMMON STOCK    G47791101      26.63        485 SHARES       SHARED - Other       14        485
INSULET CORP             COMMON STOCK    45784P101      39.14       1500 SHARES       SHARED - Other                1500
INTEGRATED DEVICE
  TECHNOLOGY INC         COMMON STOCK    458118106      39.25       5482 SHARES       SHARED - Other                5482
INTEL CORP               COMMON STOCK    458140100      82.46       3910 SHARES       SHARED - Other                3910
INTERMOLECULAR INC       COMMON STOCK    45882D109      41.17       4534 SHARES       SHARED - Other                4534
INTERNATIONAL BUSINESS
  MACHINES CORP          COMMON STOCK    459200101     571.44       2730 SHARES       SHARED - Other                2730
INTERNATIONAL BUSINESS
  MACHINES CORP          COMMON STOCK    459200101     569.98       2723 SHARES       SHARED - Other       14       2723
INTERNATIONAL BUSINESS
  MACHINES CORP          COMMON STOCK    459200101     104.66        500 SHARES       SHARED - Other     6 14        500
INTERNATIONAL BUSINESS
  MACHINES CORP          COMMON STOCK    459200101      51.70        247 SHARES       SHARED - Other        8        247






                                                                                               
INTERNATIONAL BUSINESS
  MACHINES CORP          COMMON STOCK    459200101      18.84         90 SHARES       SHARED - Other     8 14         90
INTERNATIONAL BUSINESS
  MACHINES CORP          COMMON STOCK    459200101      15.91         76 SHARES       SHARED - Other    10 14         76
INTERNATIONAL BUSINESS
  MACHINES CORP          COMMON STOCK    459200101      10.47         50 SHARES       SOLE                            50
INTUIT                   COMMON STOCK    461202103      95.76       1500 SHARES       SHARED - Other                1500
ISHARES COHEN & STEERS
  RLTY                   MUTUAL FUND     464287564      11.54        135 UNITS        SHARED - Other                 135
ISHARES CORE S&P 500 ETF MUTUAL FUND     464287200   2,055.78      13100 SHARES       SHARED - Other               13100
ISHARES DJ US MEDICAL
  DEVICE                 MUTUAL FUND     464288810     312.41       4109 SHARES       SHARED - Other                4109
ISHARES DJ US MEDICAL
  DEVICE                 MUTUAL FUND     464288810      16.04        211 SHARES       SHARED - Other        8        211
ISHARES DJ US MEDICAL
  DEVICE                 MUTUAL FUND     464288810       4.49         59 SHARES       SOLE                            59
ISHARES MSCI EAFE INDEX
  FUND                   MUTUAL FUND     464287465     215.94       3660 UNITS        SHARED - Other                3660
ISHARES MSCI EAFE INDEX
  FUND                   MUTUAL FUND     464287465   1,301.54      22060 UNITS        SHARED - Other        6      22060
ISHARES MSCI EAFE INDEX
  FUND                   MUTUAL FUND     464287465      43.37        735 UNITS        SHARED - Other        8        735
ISHARES MSCI EAFE INDEX
  FUND                   MUTUAL FUND     464287465       1.06         18 UNITS        SOLE                            18
ISHARES MSCI EMERGING
  MARKETS INDEX          MUTUAL FUND     464287234       0.92         22 UNITS        SOLE                            22
ISHARES RUSSELL 2000
  INDEX FUND             MUTUAL FUND     464287655      37.27        403 UNITS        SHARED - Other                 403
ISHARES RUSSELL MIDCAP
  INDEX FUND             MUTUAL FUND     464287499      41.68        331 UNITS        SHARED - Other                 331
JACOBS ENGR GROUP INC    COMMON STOCK    469814107      51.28        950 SHARES       SHARED - Other                 950
JACOBS ENGR GROUP INC    COMMON STOCK    469814107      26.99        500 SHARES       SHARED - Other        8        500
JOHNSON & JOHNSON        COMMON STOCK    478160104     935.77      11537 SHARES       SHARED - Other               11537
JOHNSON & JOHNSON        COMMON STOCK    478160104     315.11       3885 SHARES       SHARED - Other       14       3885
JOHNSON & JOHNSON        COMMON STOCK    478160104      39.83        491 SHARES       SHARED - Other        8        491
JOHNSON & JOHNSON        COMMON STOCK    478160104      12.82        158 SHARES       SHARED - Other     8 14        158
JOHNSON & JOHNSON        COMMON STOCK    478160104      10.87        134 SHARES       SHARED - Other    10 14        134
JOHNSON & JOHNSON        COMMON STOCK    478160104      13.71        169 SHARES       SOLE                           169
JP MORGAN CHASE & CO     COMMON STOCK    46625H100   1,613.54      33214 SHARES       SHARED - Other               33214
JP MORGAN CHASE & CO     COMMON STOCK    46625H100     222.69       4584 SHARES       SHARED - Other       14       4584
JP MORGAN CHASE & CO     COMMON STOCK    46625H100      39.54        814 SHARES       SHARED - Other        8        814
JP MORGAN CHASE & CO     COMMON STOCK    46625H100       9.04        186 SHARES       SHARED - Other     8 14        186






                                                                                               
JP MORGAN CHASE & CO     COMMON STOCK    46625H100       7.68        158 SHARES       SHARED - Other    10 14        158
JP MORGAN CHASE & CO     COMMON STOCK    46625H100      10.15        209 SHARES       SOLE                           209
KAYNE ANDERSON           COMMON STOCK    486606106     100.54       2875 SHARES       SHARED - Other                2875
KIMBERLY CLARK CORP      COMMON STOCK    494368103     345.09       3470 SHARES       SHARED - Other       14              3470
KIMBERLY CLARK CORP      COMMON STOCK    494368103      15.91        160 SHARES       SHARED - Other     8 14               160
KIMBERLY CLARK CORP      COMMON STOCK    494368103     815.49       8200 SHARES       SHARED - Other                8200
KIMBERLY CLARK CORP      COMMON STOCK    494368103      24.37        245 SHARES       SHARED - Other       14        245
KIMBERLY CLARK CORP      COMMON STOCK    494368103       9.95        100 SHARES       SHARED - Other        8        100
KINDER MORGAN ENERGY     MASTER LIMITED
  PARTNERS LP            PARTNERSHIP     494550106      35.74        400 UNITS        SHARED - Other                 400
KINDER MORGAN ENERGY     MASTER LIMITED
  PARTNERS LP            PARTNERSHIP     494550106      22.34        250 UNITS        SHARED - Other        8        250
KINROSS GOLD CORP        COMMON STOCK    496902404      18.59       2648 SHARES       SHARED - Other                2648
KRAFT FOODS GROUP INC    COMMON STOCK    50076Q106      42.21        816 SHARES       SHARED - Other                 816
KRAFT FOODS GROUP INC    COMMON STOCK    50076Q106      10.60        205 SHARES       SHARED - Other        8        205
KRAFT FOODS GROUP INC    COMMON STOCK    50076Q106       3.78         73 SHARES       SOLE                            73
L BRANDS, INC            COMMON STOCK    501797104     479.54      10227 SHARES       SHARED - Other       14      10227
L BRANDS, INC            COMMON STOCK    501797104      17.02        363 SHARES       SHARED - Other     8 14        363
L BRANDS, INC            COMMON STOCK    501797104      14.44        308 SHARES       SHARED - Other    10 14        308
LAUDER ESTEE COS CL-A    COMMON STOCK    518439104     448.54       6966 SHARES       SHARED - Other       14       6966
LAUDER ESTEE COS CL-A    COMMON STOCK    518439104      15.39        239 SHARES       SHARED - Other     8 14        239
LAUDER ESTEE COS CL-A    COMMON STOCK    518439104      13.07        203 SHARES       SHARED - Other    10 14        203
LENNAR CORP-CL A         COMMON STOCK    526057104     385.15       9524 SHARES       SHARED - Other       14       9524
LENNAR CORP-CL A         COMMON STOCK    526057104      15.65        387 SHARES       SHARED - Other     8 14        387
LENNAR CORP-CL A         COMMON STOCK    526057104      13.26        328 SHARES       SHARED - Other    10 14        328
LILLY ELI & CO           COMMON STOCK    532457108     174.95       3079 SHARES       SHARED - Other                3079
LILLY ELI & CO           COMMON STOCK    532457108     223.02       3925 SHARES       SHARED - Other        6       3925
LILLY ELI & CO           COMMON STOCK    532457108      34.66        610 SHARES       SHARED - Other        8        610
LILLY ELI & CO           COMMON STOCK    532457108      10.51        185 SHARES       SOLE                           185
LOCKHEED MARTIN CORP     COMMON STOCK    539830109      85.58        900 SHARES       SHARED - Other                 900






                                                                                               
LOWES COS INC            COMMON STOCK    548661107     427.77      10974 SHARES       SHARED - Other               10974
LOWES COS INC            COMMON STOCK    548661107      32.94        845 SHARES       SHARED - Other        8        845
LOWES COS INC            COMMON STOCK    548661107       9.82        252 SHARES       SOLE                           252
LUXOTTICA GROUP SPA
  SPONS ADR              COMMON STOCK    55068R202     403.39       7958 SHARES       SHARED - Other       14       7958
LUXOTTICA GROUP SPA
  SPONS ADR              COMMON STOCK    55068R202      14.24        281 SHARES       SHARED - Other     8 14        281
LUXOTTICA GROUP SPA
  SPONS ADR              COMMON STOCK    55068R202      12.06        238 SHARES       SHARED - Other    10 14        238
MCDONALDS CORP           COMMON STOCK    580135101     257.91       2541 SHARES       SHARED - Other                2541
MCDONALDS CORP           COMMON STOCK    580135101     415.03       4089 SHARES       SHARED - Other       14       4089
MCDONALDS CORP           COMMON STOCK    580135101      34.00        335 SHARES       SHARED - Other        8        335
MCDONALDS CORP           COMMON STOCK    580135101      14.82        146 SHARES       SHARED - Other     8 14        146
MCDONALDS CORP           COMMON STOCK    580135101      12.48        123 SHARES       SHARED - Other    10 14        123
MCDONALDS CORP           COMMON STOCK    580135101     108.20       1066 SHARES       SOLE                          1066
MEDTRONIC INC            COMMON STOCK    585055106      34.79        750 SHARES       SHARED - Other                 750
MERCK & CO INC           COMMON STOCK    58933Y105     558.22      12274 SHARES       SHARED - Other               12274
MERCK & CO INC           COMMON STOCK    58933Y105      27.15        597 SHARES       SHARED - Other        8        597
MERCK & CO INC           COMMON STOCK    58933Y105      32.06        705 SHARES       SOLE                           705
MICROSOFT CORP           COMMON STOCK    594918104     327.50      11455 SHARES       SHARED - Other       14             11455
MICROSOFT CORP           COMMON STOCK    594918104      15.30        535 SHARES       SHARED - Other     8 14               535
MICROSOFT CORP           COMMON STOCK    594918104     807.04      28228 SHARES       SHARED - Other               28228
MICROSOFT CORP           COMMON STOCK    594918104      22.73        795 SHARES       SHARED - Other       14        795
MICROSOFT CORP           COMMON STOCK    594918104     343.08      12000 SHARES       SHARED - Other        6      12000
MICROSOFT CORP           COMMON STOCK    594918104      56.87       1989 SHARES       SHARED - Other        8       1989
MICROSOFT CORP           COMMON STOCK    594918104      10.92        382 SHARES       SOLE                           382
MONDELEZ INTERNATIONAL
  INC                    COMMON STOCK    609207105     113.15       3753 SHARES       SHARED - Other                3753
MONDELEZ INTERNATIONAL
  INC                    COMMON STOCK    609207105      15.08        500 SHARES       SHARED - Other        8        500
MONSANTO CO NEW          COMMON STOCK    61166W101     319.81       3040 SHARES       SHARED - Other       14              3040
MONSANTO CO NEW          COMMON STOCK    61166W101      14.73        140 SHARES       SHARED - Other     8 14               140
MONSANTO CO NEW          COMMON STOCK    61166W101     133.92       1273 SHARES       SHARED - Other                1273






                                                                                               
MONSANTO CO NEW          COMMON STOCK    61166W101      22.62        215 SHARES       SHARED - Other       14        215
MONSANTO CO NEW          COMMON STOCK    61166W101      19.46        185 SHARES       SHARED - Other        8        185
MORGAN STANLEY           COMMON STOCK    617446448     115.40       5308 SHARES       SHARED - Other                5308
NATIONAL GRID PLC SPONS
  ADR                    COMMON STOCK    636274300     186.43       3100 SHARES       SHARED - Other                3100
NATIONAL GRID PLC SPONS
  ADR                    COMMON STOCK    636274300      19.49        324 SHARES       SHARED - Other        8        324
NATIONAL GRID PLC SPONS
  ADR                    COMMON STOCK    636274300       6.19        103 SHARES       SOLE                           103
NATIONAL-OILWELL INC     COMMON STOCK    637071101      61.05        900 SHARES       SHARED - Other                 900
NATIONAL-OILWELL INC     COMMON STOCK    637071101      74.61       1100 SHARES       SHARED - Other        6       1100
NATIONAL-OILWELL INC     COMMON STOCK    637071101      23.74        350 SHARES       SHARED - Other        8        350
NEENAH PAPER INC         COMMON STOCK    640079109       3.47        121 SHARES       SHARED - Other                 121
NEOGENOMICS INC          COMMON STOCK    64049M209       2.45        600 SHARES       SHARED - Other                 600
NEONODE INC              COMMON STOCK    64051M402      18.38       3180 SHARES       SHARED - Other                3180
NEW GOLD INC             COMMON STOCK    644535106      94.64      11226 SHARES       SHARED - Other               11226
NEXTERA ENERGY INC       COMMON STOCK    65339F101     899.17      11248 SHARES       SHARED - Other               11248
NEXTERA ENERGY INC       COMMON STOCK    65339F101      79.94       1000 SHARES       SHARED - Other       14       1000
NEXTERA ENERGY INC       COMMON STOCK    65339F101     579.57       7250 SHARES       SHARED - Other        6       7250
NEXTERA ENERGY INC       COMMON STOCK    65339F101     103.92       1300 SHARES       SHARED - Other     6 14       1300
NEXTERA ENERGY INC       COMMON STOCK    65339F101      30.62        383 SHARES       SHARED - Other        8        383
NEXTERA ENERGY INC       COMMON STOCK    65339F101      10.23        128 SHARES       SOLE                           128
NIKE INC-CLASS B         COMMON STOCK    654106103      38.97        650 SHARES       SHARED - Other                 650
NOAH HOLDINGS LTD SPONS
  ADR                    COMMON STOCK    65487X102       1.53        212 SHARES       SHARED - Other                 212
NORFOLK SOUTHERN CORP    COMMON STOCK    655844108      37.68        500 SHARES       SHARED - Other                 500
NOVARTIS AG SPONSORED
  ADR                    COMMON STOCK    66987V109     195.07       2726 SHARES       SHARED - Other                2726
NOVARTIS AG SPONSORED
  ADR                    COMMON STOCK    66987V109     410.33       5734 SHARES       SHARED - Other       14       5734
NOVARTIS AG SPONSORED
  ADR                    COMMON STOCK    66987V109      33.99        475 SHARES       SHARED - Other     6 14        475
NOVARTIS AG SPONSORED
  ADR                    COMMON STOCK    66987V109      14.38        201 SHARES       SHARED - Other     8 14        201
NOVARTIS AG SPONSORED
  ADR                    COMMON STOCK    66987V109      12.24        171 SHARES       SHARED - Other    10 14        171
OCCIDENTAL PETE CORP     COMMON STOCK    674599105     318.40       3925 SHARES       SHARED - Other       14       3925






                                                                                               
OCCIDENTAL PETE CORP     COMMON STOCK    674599105      12.90        159 SHARES       SHARED - Other     8 14        159
OCCIDENTAL PETE CORP     COMMON STOCK    674599105      10.95        135 SHARES       SHARED - Other    10 14        135
OMNICOM GROUP            COMMON STOCK    681919106     540.79       9095 SHARES       SHARED - Other       14              9095
OMNICOM GROUP            COMMON STOCK    681919106      25.57        430 SHARES       SHARED - Other     8 14               430
OMNICOM GROUP            COMMON STOCK    681919106     436.14       7335 SHARES       SHARED - Other       14       7335
OMNICOM GROUP            COMMON STOCK    681919106      16.17        272 SHARES       SHARED - Other     8 14        272
OMNICOM GROUP            COMMON STOCK    681919106      13.68        230 SHARES       SHARED - Other    10 14        230
ORACLE CORPORATION       COMMON STOCK    68389X105     454.69      14051 SHARES       SHARED - Other               14051
ORACLE CORPORATION       COMMON STOCK    68389X105     417.12      12890 SHARES       SHARED - Other       14      12890
ORACLE CORPORATION       COMMON STOCK    68389X105     176.04       5440 SHARES       SHARED - Other        6       5440
ORACLE CORPORATION       COMMON STOCK    68389X105      97.08       3000 SHARES       SHARED - Other     6 14       3000
ORACLE CORPORATION       COMMON STOCK    68389X105      59.74       1846 SHARES       SHARED - Other        8       1846
ORACLE CORPORATION       COMMON STOCK    68389X105      14.95        462 SHARES       SHARED - Other     8 14        462
ORACLE CORPORATION       COMMON STOCK    68389X105      12.72        393 SHARES       SHARED - Other    10 14        393
ORACLE CORPORATION       COMMON STOCK    68389X105       9.71        300 SHARES       SOLE                           300
OREXIGEN THERAPEUTICS
  INC                    COMMON STOCK    686164104      37.41       6574 SHARES       SHARED - Other                6574
PACCAR INC               COMMON STOCK    693718108     282.75       5865 SHARES       SHARED - Other       14              5865
PACCAR INC               COMMON STOCK    693718108      13.02        270 SHARES       SHARED - Other     8 14               270
PACCAR INC               COMMON STOCK    693718108      20.01        415 SHARES       SHARED - Other       14        415
PALL CORP                COMMON STOCK    696429307     181.40       2714 SHARES       SHARED - Other                2714
PALL CORP                COMMON STOCK    696429307      33.42        500 SHARES       SHARED - Other        8        500
PEPSICO INC              COMMON STOCK    713448108   1,062.60      13366 SHARES       SHARED - Other               13366
PEPSICO INC              COMMON STOCK    713448108      79.50       1000 SHARES       SHARED - Other       14       1000
PEPSICO INC              COMMON STOCK    713448108     445.20       5600 SHARES       SHARED - Other        6       5600
PEPSICO INC              COMMON STOCK    713448108      91.43       1150 SHARES       SHARED - Other     6 14       1150
PEPSICO INC              COMMON STOCK    713448108      37.44        471 SHARES       SHARED - Other        8        471
PEPSICO INC              COMMON STOCK    713448108       9.54        120 SHARES       SOLE                           120
PETROLEO BRASILEIRO S.A.
  ADR                    COMMON STOCK    71654V408      12.94        804 SHARES       SHARED - Other                 804






                                                                                               
PETSMART INC             COMMON STOCK    716768106      63.43       1000 SHARES       SHARED - Other                1000
PETSMART INC             COMMON STOCK    716768106      25.37        400 SHARES       SHARED - Other        8        400
PFIZER INC               COMMON STOCK    717081103     882.24      30255 SHARES       SHARED - Other               30255
PFIZER INC               COMMON STOCK    717081103     291.60      10000 SHARES       SHARED - Other        6      10000
PFIZER INC               COMMON STOCK    717081103      32.28       1107 SHARES       SHARED - Other        8       1107
PFIZER INC               COMMON STOCK    717081103      13.97        479 SHARES       SOLE                           479
PHILIP MORRIS
  INTERNATIONAL          COMMON STOCK    718172109      94.44       1000 SHARES       SHARED - Other                1000
PHILLIPS 66              COMMON STOCK    718546104      89.39       1405 SHARES       SHARED - Other                1405
PNC FINANCIAL SERVICES
  GROUP                  COMMON STOCK    693475105     199.93       3026 SHARES       SHARED - Other                3026
PNC FINANCIAL SERVICES
  GROUP                  COMMON STOCK    693475105      17.97        272 SHARES       SHARED - Other        8        272
PNC FINANCIAL SERVICES
  GROUP                  COMMON STOCK    693475105       7.00        106 SHARES       SOLE                           106
POTASH CORP SASK INC     COMMON STOCK    73755L107      10.12        255 SHARES       SHARED - Other                 255
PRAXAIR INC              COMMON STOCK    74005P104      66.92        600 SHARES       SHARED - Other                 600
PRAXAIR INC              COMMON STOCK    74005P104     303.05       2717 SHARES       SHARED - Other       14       2717
PRAXAIR INC              COMMON STOCK    74005P104      22.31        200 SHARES       SHARED - Other        8        200
PRAXAIR INC              COMMON STOCK    74005P104      12.27        110 SHARES       SHARED - Other     8 14        110
PRAXAIR INC              COMMON STOCK    74005P104      10.37         93 SHARES       SHARED - Other    10 14         93
PRECISION CASTPARTS CORP COMMON STOCK    740189105      51.96        284 SHARES       SHARED - Other                 284
PRECISION CASTPARTS CORP COMMON STOCK    740189105     400.48       2189 SHARES       SHARED - Other       14       2189
PRECISION CASTPARTS CORP COMMON STOCK    740189105      13.72         75 SHARES       SHARED - Other     8 14         75
PRECISION CASTPARTS CORP COMMON STOCK    740189105      11.53         63 SHARES       SHARED - Other    10 14         63
PROCTER & GAMBLE CO      COMMON STOCK    742718109     781.83       9923 SHARES       SHARED - Other                9923
PROCTER & GAMBLE CO      COMMON STOCK    742718109     441.22       5600 SHARES       SHARED - Other        6       5600
PROCTER & GAMBLE CO      COMMON STOCK    742718109      78.79       1000 SHARES       SHARED - Other     6 14       1000
PROCTER & GAMBLE CO      COMMON STOCK    742718109      34.43        437 SHARES       SHARED - Other        8        437
PROCTER & GAMBLE CO      COMMON STOCK    742718109      11.35        144 SHARES       SOLE                           144
QUALCOMM INC             COMMON STOCK    747525103     201.99       3067 SHARES       SHARED - Other                3067
QUALCOMM INC             COMMON STOCK    747525103      32.14        488 SHARES       SHARED - Other        8        488






                                                                                               
QUALCOMM INC             COMMON STOCK    747525103       2.17         33 SHARES       SOLE                            33
QUANTA SERVICES
  INCORPORATED           COMMON STOCK    74762E102      38.33       1370 SHARES       SHARED - Other                1370
RANDGOLD RESOURCES LTD
  ADR                    COMMON STOCK    752344309      38.97        484 SHARES       SHARED - Other                 484
RANGE RESOURCES CORP     COMMON STOCK    75281A109     472.95       5865 SHARES       SHARED - Other       14       5865
RANGE RESOURCES CORP     COMMON STOCK    75281A109      17.10        212 SHARES       SHARED - Other     8 14        212
RANGE RESOURCES CORP     COMMON STOCK    75281A109      14.52        180 SHARES       SHARED - Other    10 14        180
RIO TINTO PLC SPNSD ADR  COMMON STOCK    767204100     211.83       4608 SHARES       SHARED - Other                4608
RIO TINTO PLC SPNSD ADR  COMMON STOCK    767204100     105.73       2300 SHARES       SHARED - Other        6       2300
ROPER INDS INC NEW       COMMON STOCK    776696106     365.24       2962 SHARES       SHARED - Other                2962
ROPER INDS INC NEW       COMMON STOCK    776696106     241.19       1956 SHARES       SHARED - Other       14       1956
ROPER INDS INC NEW       COMMON STOCK    776696106     243.54       1975 SHARES       SHARED - Other        6       1975
ROPER INDS INC NEW       COMMON STOCK    776696106       9.74         79 SHARES       SHARED - Other     8 14         79
ROPER INDS INC NEW       COMMON STOCK    776696106       8.26         67 SHARES       SHARED - Other    10 14         67
ROYAL DUTCH-ADR A        COMMON STOCK    780259206     350.96       5500 SHARES       SHARED - Other                5500
ROYAL GOLD INC           COMMON STOCK    780287108      67.01       1010 SHARES       SHARED - Other                1010
SALESFORCE.COM           COMMON STOCK    79466L302      59.07        354 SHARES       SHARED - Other                 354
SCHLUMBERGER LTD         COMMON STOCK    806857108     403.66       5385 SHARES       SHARED - Other       14              5385
SCHLUMBERGER LTD         COMMON STOCK    806857108      19.11        255 SHARES       SHARED - Other     8 14               255
SCHLUMBERGER LTD         COMMON STOCK    806857108     565.20       7540 SHARES       SHARED - Other                7540
SCHLUMBERGER LTD         COMMON STOCK    806857108     508.30       6781 SHARES       SHARED - Other       14       6781
SCHLUMBERGER LTD         COMMON STOCK    806857108     115.81       1545 SHARES       SHARED - Other        6       1545
SCHLUMBERGER LTD         COMMON STOCK    806857108      41.60        555 SHARES       SHARED - Other        8        555
SCHLUMBERGER LTD         COMMON STOCK    806857108      14.92        199 SHARES       SHARED - Other     8 14        199
SCHLUMBERGER LTD         COMMON STOCK    806857108      12.67        169 SHARES       SHARED - Other    10 14        169
SCHLUMBERGER LTD         COMMON STOCK    806857108       4.35         58 SHARES       SOLE                            58
SCRIPPS NETWORKS         COMMON STOCK    811065101      45.15        675 SHARES       SHARED - Other                 675
SIMON PROPERTY GROUP INC REIT            828806109      95.03        562 SHARES       SHARED - Other                 562
SIMON PROPERTY GROUP INC REIT            828806109     446.42       2640 SHARES       SHARED - Other        6       2640






                                                                                               
SIRONA DENTAL SYSTEMS    COMMON STOCK    82966C103     486.87       6644 SHARES       SHARED - Other       14       6644
SIRONA DENTAL SYSTEMS    COMMON STOCK    82966C103      15.32        209 SHARES       SHARED - Other     8 14        209
SIRONA DENTAL SYSTEMS    COMMON STOCK    82966C103      12.97        177 SHARES       SHARED - Other    10 14        177
SOTHEBY'S (DELAWARE)     COMMON STOCK    835898107     323.67       9164 SHARES       SHARED - Other       14       9164
SOTHEBY'S (DELAWARE)     COMMON STOCK    835898107      11.30        320 SHARES       SHARED - Other     8 14        320
SOTHEBY'S (DELAWARE)     COMMON STOCK    835898107       9.61        272 SHARES       SHARED - Other    10 14        272
SOURCEFIRE INC           COMMON STOCK    83616T108      33.16        598 SHARES       SHARED - Other                 598
SPDR GOLD TRUST          MUTUAL FUND     78463V107     121.73        800 UNITS        SHARED - Other                 800
SPDR GOLD TRUST          MUTUAL FUND     78463V107      40.32        265 UNITS        SHARED - Other        8        265
SPDR S&P BIOTECH ETF     MUTUAL FUND     78464A870     244.81       2495 SHARES       SHARED - Other                2495
SPDR S&P BIOTECH ETF     MUTUAL FUND     78464A870      15.01        153 SHARES       SHARED - Other        8        153
SPDR S&P BIOTECH ETF     MUTUAL FUND     78464A870       5.79         59 SHARES       SOLE                            59
SPDR S&P MIDCAP 400 ETF
  TRUST                  MUTUAL FUND     78467Y107       1.03          5 UNITS        SOLE                             5
SPECTRA ENERGY CORP      COMMON STOCK    847560109       8.85        292 SHARES       SHARED - Other                 292
SPLUNK INC               COMMON STOCK    848637104      75.45       1893 SHARES       SHARED - Other                1893
STATE STREET CORP        COMMON STOCK    857477103      14.61        252 SHARES       SHARED - Other                 252
STREAMLINE HEALTH
  SOLUTIONS              COMMON STOCK    86323X106      21.45       3004 SHARES       SHARED - Other                3004
SUNCOR ENERGY INC        COMMON STOCK    867224107     234.40       8242 SHARES       SHARED - Other                8242
SUNCOR ENERGY INC        COMMON STOCK    867224107      75.37       2650 SHARES       SHARED - Other        6       2650
SUNCOR ENERGY INC        COMMON STOCK    867224107       8.42        296 SHARES       SHARED - Other        8        296
SUNCOR ENERGY INC        COMMON STOCK    867224107       3.38        119 SHARES       SOLE                           119
SYSCO CORP               COMMON STOCK    871829107     387.03      11330 SHARES       SHARED - Other       14             11330
SYSCO CORP               COMMON STOCK    871829107      18.28        535 SHARES       SHARED - Other     8 14               535
SYSCO CORP               COMMON STOCK    871829107     153.72       4500 SHARES       SHARED - Other                4500
SYSCO CORP               COMMON STOCK    871829107      27.67        810 SHARES       SHARED - Other       14        810
TE CONNECTIVITY LIMITED  COMMON STOCK    H84989104     583.97      14150 SHARES       SHARED - Other       14             14150
TE CONNECTIVITY LIMITED  COMMON STOCK    H84989104      27.86        675 SHARES       SHARED - Other     8 14               675
TE CONNECTIVITY LIMITED  COMMON STOCK    H84989104      41.06        995 SHARES       SHARED - Other       14        995






                                                                                               
TEARLAB CORP             COMMON STOCK    878193101      36.32       5123 SHARES       SHARED - Other                5123
TECO ENERGY INC          COMMON STOCK    872375100     236.81      12976 SHARES       SHARED - Other               12976
TEVA PHARMACEUTICAL INDS
  LTD ADR                COMMON STOCK    881624209      99.39       2555 SHARES       SHARED - Other                2555
TEXAS INSTRUMENTS INC    COMMON STOCK    882508104     247.42       7055 SHARES       SHARED - Other                7055
TEXAS INSTRUMENTS INC    COMMON STOCK    882508104      21.04        600 SHARES       SHARED - Other        8        600
TEXAS INSTRUMENTS INC    COMMON STOCK    882508104       5.37        153 SHARES       SOLE                           153
THERMO FISHER SCIENTIFIC
  INC                    COMMON STOCK    883556102      62.67        800 SHARES       SHARED - Other                 800
THERMO FISHER SCIENTIFIC
  INC                    COMMON STOCK    883556102      23.50        300 SHARES       SHARED - Other        8        300
THORATEC CORPORATION     COMMON STOCK    885175307      36.40       1000 SHARES       SHARED - Other                1000
THORATEC CORPORATION     COMMON STOCK    885175307      14.56        400 SHARES       SHARED - Other        8        400
TIME WARNER INC          COMMON STOCK    887317303     460.97       7900 SHARES       SHARED - Other       14              7900
TIME WARNER INC          COMMON STOCK    887317303      21.59        370 SHARES       SHARED - Other     8 14               370
TIME WARNER INC          COMMON STOCK    887317303      32.68        560 SHARES       SHARED - Other       14        560
TOLL BROTHERS INC        COMMON STOCK    889478103     369.35      11162 SHARES       SHARED - Other       14      11162
TOLL BROTHERS INC        COMMON STOCK    889478103      13.17        398 SHARES       SHARED - Other     8 14        398
TOLL BROTHERS INC        COMMON STOCK    889478103      11.22        339 SHARES       SHARED - Other    10 14        339
TRANSCANADA CORP         COMMON STOCK    89353D107      35.63        750 SHARES       SHARED - Other                 750
TRANSCANADA CORP         COMMON STOCK    89353D107      23.76        500 SHARES       SHARED - Other        8        500
TYCO INTERNATIONAL LTD   COMMON STOCK    H89128104     458.48      14709 SHARES       SHARED - Other       14      14709
TYCO INTERNATIONAL LTD   COMMON STOCK    H89128104      16.99        545 SHARES       SHARED - Other     8 14        545
TYCO INTERNATIONAL LTD   COMMON STOCK    H89128104      14.37        461 SHARES       SHARED - Other    10 14        461
UNION PAC CORP           COMMON STOCK    907818108     342.07       2450 SHARES       SHARED - Other                2450
UNI-PIXEL INC            COMMON STOCK    904572203     100.98       3761 SHARES       SHARED - Other                3761
UNITED PARCEL
  SERVICE-CLASS B        COMMON STOCK    911312106     145.07       1743 SHARES       SHARED - Other                1743
UNITED PARCEL
  SERVICE-CLASS B        COMMON STOCK    911312106      16.56        199 SHARES       SHARED - Other        8        199
UNITED PARCEL
  SERVICE-CLASS B        COMMON STOCK    911312106       4.91         59 SHARES       SOLE                            59
UNITED TECHNOLOGIES CORP COMMON STOCK    913017109     396.58       4232 SHARES       SHARED - Other                4232
UNITED TECHNOLOGIES CORP COMMON STOCK    913017109      34.11        364 SHARES       SHARED - Other        8        364






                                                                                               
UNITED TECHNOLOGIES CORP COMMON STOCK    913017109       9.28         99 SHARES       SOLE                            99
US AIRWAYS GROUP         COMMON STOCK    90341W108      79.98       5049 SHARES       SHARED - Other                5049
US BANCORP NEW           COMMON STOCK    902973304     218.45       6484 SHARES       SHARED - Other                6484
US BANCORP NEW           COMMON STOCK    902973304      18.70        555 SHARES       SHARED - Other        8        555
US BANCORP NEW           COMMON STOCK    902973304       5.69        169 SHARES       SOLE                           169
VALE S.A. ADR            COMMON STOCK    91912E105     234.90      13500 SHARES       SHARED - Other               13500
VALE S.A. ADR            COMMON STOCK    91912E105     175.74      10100 SHARES       SHARED - Other        6      10100
VANGUARD FTSE EMERGING
  MARKETS ETF            MUTUAL FUND     922042858      84.56       2010 UNITS        SHARED - Other                2010
VANGUARD FTSE EMERGING
  MARKETS ETF            MUTUAL FUND     922042858      11.36        270 UNITS        SHARED - Other        8        270
VARIAN MEDICAL SYSTEMS
  INC                    COMMON STOCK    92220P105     370.47       5240 SHARES       SHARED - Other       14       5240
VARIAN MEDICAL SYSTEMS
  INC                    COMMON STOCK    92220P105      12.16        172 SHARES       SHARED - Other     8 14        172
VARIAN MEDICAL SYSTEMS
  INC                    COMMON STOCK    92220P105      10.32        146 SHARES       SHARED - Other    10 14        146
VERIZON COMMUNICATIONS   COMMON STOCK    92343V104     243.59       4928 SHARES       SHARED - Other                4928
VERIZON COMMUNICATIONS   COMMON STOCK    92343V104      74.15       1500 SHARES       SHARED - Other       14       1500
VERIZON COMMUNICATIONS   COMMON STOCK    92343V104      80.82       1635 SHARES       SHARED - Other     6 14       1635
VERIZON COMMUNICATIONS   COMMON STOCK    92343V104      23.63        478 SHARES       SHARED - Other        8        478
VERIZON COMMUNICATIONS   COMMON STOCK    92343V104       7.71        156 SHARES       SOLE                           156
VIACOM INC CL B          COMMON STOCK    92553P201      34.84        532 SHARES       SHARED - Other                 532
VMWARE INC.              COMMON STOCK    928563402      62.31        816 SHARES       SHARED - Other                 816
VODAFONE GROUP ADR       COMMON STOCK    92857W209      41.37       1450 SHARES       SHARED - Other                1450
VODAFONE GROUP ADR       COMMON STOCK    92857W209      14.27        500 SHARES       SHARED - Other        8        500
WAGEWORKS INC            COMMON STOCK    930427109      47.48       1916 SHARES       SHARED - Other                1916
WAL MART STORES INC      COMMON STOCK    931142103     491.95       6365 SHARES       SHARED - Other       14              6365
WAL MART STORES INC      COMMON STOCK    931142103      23.57        305 SHARES       SHARED - Other     8 14               305
WAL MART STORES INC      COMMON STOCK    931142103     645.22       8348 SHARES       SHARED - Other                8348
WAL MART STORES INC      COMMON STOCK    931142103      34.01        440 SHARES       SHARED - Other       14        440
WAL MART STORES INC      COMMON STOCK    931142103      12.13        157 SHARES       SHARED - Other        8        157
WAL MART STORES INC      COMMON STOCK    931142103       5.72         74 SHARES       SOLE                            74






                                                                                               
WALGREEN CO              COMMON STOCK    931422109     366.36       7687 SHARES       SHARED - Other                7687
WALGREEN CO              COMMON STOCK    931422109      24.35        511 SHARES       SHARED - Other        8        511
WALGREEN CO              COMMON STOCK    931422109       7.86        165 SHARES       SOLE                           165
WASTE MANAGEMENT
  INTERNATIONAL          COMMON STOCK    94106L109      36.81        950 SHARES       SHARED - Other                 950
WASTE MANAGEMENT
  INTERNATIONAL          COMMON STOCK    94106L109      29.06        750 SHARES       SHARED - Other        8        750
WELLS FARGO & CO         COMMON STOCK    949746101     371.90      10046 SHARES       SHARED - Other               10046
WELLS FARGO & CO         COMMON STOCK    949746101     347.43       9385 SHARES       SHARED - Other        6       9385
WELLS FARGO & CO         COMMON STOCK    949746101      23.62        638 SHARES       SHARED - Other        8        638
WELLS FARGO & CO         COMMON STOCK    949746101      14.44        390 SHARES       SOLE                           390
WESTPORT INNOVATIONS INC COMMON STOCK    960908309      43.04       1528 SHARES       SHARED - Other                1528
WHITEWAVE FOODS CO - A   COMMON STOCK    966244105     205.78      12861 SHARES       SHARED - Other       14      12861
WHITEWAVE FOODS CO - A   COMMON STOCK    966244105       8.90        556 SHARES       SHARED - Other     8 14        556
WHITEWAVE FOODS CO - A   COMMON STOCK    966244105       7.55        472 SHARES       SHARED - Other    10 14        472
WILLIS GROUP HOLDINS PLC COMMON STOCK    G96666105     267.19       6940 SHARES       SHARED - Other       14              6940
WILLIS GROUP HOLDINS PLC COMMON STOCK    G96666105      12.51        325 SHARES       SHARED - Other     8 14               325
WILLIS GROUP HOLDINS PLC COMMON STOCK    G96666105      18.48        480 SHARES       SHARED - Other       14        480
XOOM CORP                COMMON STOCK    98419Q101      16.85        801 SHARES       SHARED - Other                 801
YANDEX N V SHS CLASS A   COMMON STOCK    N97284108      32.95       1451 SHARES       SHARED - Other                1451
ZIMMER HLDGS INC         COMMON STOCK    98956P102     178.34       2400 SHARES       SHARED - Other                2400