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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE QUARTER ENDED: 09/30/2010

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:    People's United Financial, Inc.
ADDRESS: 850 Main Street
         Bridgeport, CT 06604

Form 13F File Number: 28-05107

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:    R. David Rosato
TITLE:   Senior Vice President and Treasurer
PHONE:   (203) 338-7286


/s/R. David Rosato
--------------------------------
Bridgeport, CT

11/12/2010

REPORT TYPE (CHECK ONLY ONE.):

[X]  13F HOLDINGS REPORT

[_]  13F NOTICE

[_]  13F COMBINATION REPORT





                              FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:                         2

FORM 13F INFORMATION TABLE ENTRY TOTAL:                  671

FORM 13F INFORMATION TABLE VALUE TOTAL:          $ 1,112,784

List of other included managers:

No.   Form 13F File Number   Name
---   --------------------   ----
001   28-20631               People's United Bank
002   28-12043               People's Securities Inc.







                                                                FORM 13F INFORMATION TABLE
                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X1000)  PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
   --------------------------- ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------
                                                                                        
D  3M CO                       COMMON           88579Y101     1184    13658 SH       DEFINED          002        0    13658       0
D  3M CO                       COMMON           88579Y101     2178    25119 SH       OTHER            001    24401      413     305
D  3M CO                       COMMON           88579Y101    11311   130445 SH       SOLE             001   120642     1236    8567
D  ABBOTT LABS                 COMMON           002824100     1047    20044 SH       DEFINED          002        0    20044       0
D  ABBOTT LABS                 COMMON           002824100     1291    24705 SH       SOLE             002        0        0   24705
D  ABBOTT LABS                 COMMON           002824100     1093    20930 SH       OTHER            001    20291      639       0
D  ABBOTT LABS                 COMMON           002824100     7399   141637 SH       SOLE             001   136953     1963    2721
D  ACCENTURE PLC IRELAND       SPONSORED ADR    G1151C101      160     3777 SH       OTHER            001      650      550    2577
D  ACCENTURE PLC IRELAND       SPONSORED ADR    G1151C101      454    10685 SH       SOLE             001     6275        0    4410
D  ACME UTD CORP               COMMON           004816104      123    11732 SH       SOLE             001        0        0   11732
D  ACTIVISION BLIZZARD INC     COMMON           00507V109      124    11450 SH       DEFINED          002        0    11450       0
D  AETNA INC                   COMMON           00817Y108      526    16627 SH       DEFINED          002        0    16627       0
D  AETNA INC                   COMMON           00817Y108       34     1084 SH       SOLE             001     1084        0       0
D  AETNA INC                   COMMON           00817Y108      212     6710 SH       OTHER            001     6710        0       0
D  AFLAC INC                   COMMON           001055102      998    19292 SH       OTHER            001    18371      921       0
D  AFLAC INC                   COMMON           001055102     9619   186020 SH       SOLE             001   179656     2509    3855
D  AIR PRODS & CHEMS INC       COMMON           009158106      233     2819 SH       OTHER            001     2764       55       0
D  AIR PRODS & CHEMS INC       COMMON           009158106     4750    57353 SH       SOLE             001    57049      202     102
D  ALCOA INC                   COMMON           013817101       74     6125 SH       OTHER            001     5425        0     700
D  ALCOA INC                   COMMON           013817101     2111   174306 SH       SOLE             001   174306        0       0
D  ALLERGAN INC                COMMON           018490102      516     7760 SH       OTHER            001     6922      838       0
D  ALLERGAN INC                COMMON           018490102     7973   119843 SH       SOLE             001   115947     1472    2424
D  ALLIANCEBERNSTEIN INCOME    COMMON           01881E101       84    10000 SH       DEFINED          002        0    10000       0
D  ALTRIA GROUP INC            COMMON           02209S103      382    15897 SH       DEFINED          002        0    15897       0
D  ALTRIA GROUP INC            COMMON           02209S103      634    26394 SH       OTHER            001    24088     1376     930
D  ALTRIA GROUP INC            COMMON           02209S103     4384   182506 SH       SOLE             001   157537     2536   22433
D  AMAZON COM INC              COMMON           023135106      242     1540 SH       DEFINED          002        0     1540       0
D  AMERICAN EXPRESS CO         COMMON           025816109      433    10300 SH       DEFINED          002        0    10300       0
D  AMERICAN EXPRESS CO         COMMON           025816109      417     9910 SH       OTHER            001     9160      750       0
D  AMERICAN EXPRESS CO         COMMON           025816109     1304    31036 SH       SOLE             001    29569        0    1467
D  AMETEK INC                  COMMON           031100100      229     4800 SH       SOLE             001     4800        0       0
D  AMGEN INC                   COMMON           031162100      302     5475 SH       DEFINED          002        0     5475       0
D  AMGEN INC                   COMMON           031162AN0     4633  4650000 PRN      DEFINED          002        0  4650000       0
D  AMGEN INC                   COMMON           031162100      322     5836 SH       OTHER            001     5835        1       0
D  AMGEN INC                   COMMON           031162100     4132    74977 SH       SOLE             001    74477        0     500
D  ANALOG DEVICES INC          COMMON           032654105       21      684 SH       OTHER            001      555      129       0
D  ANALOG DEVICES INC          COMMON           032654105      670    21339 SH       SOLE             001    20962        0     377
D  ANWORTH MORTGAGE ASSET CP   COMMON           037347101        7     1000 SH       OTHER            001     1000        0       0
D  ANWORTH MORTGAGE ASSET CP   COMMON           037347101       71    10000 SH       SOLE             001    10000        0       0
D  APACHE CORP                 COMMON           037411105     2548    26062 SH       DEFINED          002        0    26062       0
D  APACHE CORP                 COMMON           037411105      694     7100 SH       SOLE             002      500        0    6600
D  APACHE CORP                 COMMON           037411105      730     7463 SH       OTHER            001     6386      402     675
D  APACHE CORP                 COMMON           037411105     8346    85368 SH       SOLE             001    80345     2603    2420
D  APPLE INC                   COMMON           037833100     7761    27350 SH       DEFINED          002        0    27350       0
D  APPLE INC                   COMMON           037833100      627     2210 SH       SOLE             002      200        0    2010
D  APPLE INC                   COMMON           037833100     1525     5373 SH       OTHER            001     4758      484     131
D  APPLE INC                   COMMON           037833100    19060    67173 SH       SOLE             001    63454     1257    2462
D  APPLIED MATLS INC           COMMON           038222105      162    13870 SH       DEFINED          002        0    13870       0
D  ARROW FINL CORP             COMMON           042744102      210     8376 SH       SOLE             001     8376        0       0
D  ARROW FINL CORP             COMMON           042744102      340    13554 SH       OTHER            001    13554        0       0
D  ASTRAZENECA PLC             SPONSORED ADR    046353108       24      474 SH       OTHER            001      124        0     350
D  ASTRAZENECA PLC             SPONSORED ADR    046353108      443     8730 SH       SOLE             001        0        0    8730
D  AT&T INC                    COMMON           00206R102     1764    61689 SH       DEFINED          002        0    61689       0
D  AT&T INC                    COMMON           00206R102      216     7556 SH       SOLE             002        0        0    7556
D  AT&T INC                    COMMON           00206R102     2422    84685 SH       OTHER            001    80320     2165    2200
D  AT&T INC                    COMMON           00206R102    16871   589878 SH       SOLE             001   552110     9719   28049
D  AUTOMATIC DATA PROCESSING I COMMON           053015103      665    15820 SH       DEFINED          002        0    15820       0
D  AUTOMATIC DATA PROCESSING I COMMON           053015103      762    18123 SH       OTHER            001    13730      343    4050
D  AUTOMATIC DATA PROCESSING I COMMON           053015103     2385    56751 SH       SOLE             001    55708      738     305
D  AVALONBAY CMNTYS INC        COMMON           053484101      204     1959 SH       SOLE             001     1959        0       0
D  AVALONBAY CMNTYS INC        COMMON           053484101      208     2003 SH       OTHER            001     2003        0       0
D  AVNET INC                   COMMON           053807103      537    19900 SH       DEFINED          002        0    19900       0
D  AVON PRODS INC              COMMON           054303102       90     2818 SH       OTHER            001     1918        0     900
D  AVON PRODS INC              COMMON           054303102      763    23757 SH       SOLE             001    23434       77     246
D  BAKER HUGHES INC            COMMON           057224107      155     3641 SH       OTHER            001     3641        0       0
D  BAKER HUGHES INC            COMMON           057224107      962    22583 SH       SOLE             001    22393      190       0
D  BALFOUR MACLAINE CORP       COMMON           058459AA6        0    15000 SH       DEFINED          002        0    15000       0
D  BALL CORP                   COMMON           058498106      471     8000 SH       DEFINED          002        0     8000       0
D  BANK OF AMERICA CORP        COMMON           060505104      409    31178 SH       DEFINED          002        0    31178       0
D  BANK OF AMERICA CORP        COMMON           060505724     1294    51500 SH       DEFINED          002        0    51500       0
D  BANK OF AMERICA CORP        COMMON           060505104      695    53021 SH       OTHER            001    50093     2928       0
D  BANK OF AMERICA CORP        COMMON           060505104    10564   806245 SH       SOLE             001   788354     6731   11160
D  BANK OF NEW YORK MELLON COR COMMON           064058100      225     8615 SH       DEFINED          002        0     8615       0
D  BANK OF NEW YORK MELLON COR COMMON           064058100      681    26046 SH       OTHER            001    25910      136       0
D  BANK OF NEW YORK MELLON COR COMMON           064058100     3355   128378 SH       SOLE             001   127688      470     220
D  BAXTER INTL INC             COMMON           071813109     1058    22175 SH       DEFINED          002        0    22175       0
D  BB & T CORP                 COMMON           054937107     1695    70375 SH       SOLE             001    70375        0       0
D  BECTON DICKINSON & CO       COMMON           075887109     1305    17606 SH       DEFINED          002        0    17606       0
D  BECTON DICKINSON & CO       COMMON           075887109      321     4331 SH       SOLE             002        0        0    4331
D  BECTON DICKINSON & CO       COMMON           075887109      278     3754 SH       OTHER            001     2434        0    1320
D  BECTON DICKINSON & CO       COMMON           075887109      444     5996 SH       SOLE             001     3396        0    2600
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108      498        4 SH       SOLE             002        0        0       4
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108      498        4 SH       OTHER            001        2        0       2
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108    13322      107 SH       SOLE             001      107        0       0
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702      301     3644 SH       DEFINED          002        0     3644       0
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702      634     7667 SH       OTHER            001     1570        0    6097
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702     1933    23385 SH       SOLE             001    23335        0      50
D  BEST BUY INC                COMMON           086516101      438    10725 SH       DEFINED          002        0    10725       0
D  BEST BUY INC                COMMON           086516101      477    11686 SH       OTHER            001    10649     1037       0
D  BEST BUY INC                COMMON           086516101     9981   244461 SH       SOLE             001   237394     2548    4519
D  BHP BILLITON LTD            SPONSORED ADR    088606108      550     7211 SH       OTHER            001     5643      601     967
D  BHP BILLITON LTD            SPONSORED ADR    088606108     8703   114032 SH       SOLE             001   106796     1436    5800
D  BIGLARI HLDGS INC           COMMON           08986R101     1298     3948 SH       SOLE             001     3948        0       0
D  BOEING CO                   COMMON           097023105      553     8311 SH       DEFINED          002        0     8311       0
D  BOEING CO                   COMMON           097023105      656     9865 SH       SOLE             002        0        0    9865
D  BOEING CO                   COMMON           097023105      839    12604 SH       OTHER            001     4195       61    8348
D  BOEING CO                   COMMON           097023105     6306    94774 SH       SOLE             001    87926      315    6533
D  BP PLC                      SPONSORED ADR    055622104      259     6297 SH       OTHER            001     6241        0      56
D  BP PLC                      SPONSORED ADR    055622104     1059    25712 SH       SOLE             001    23797      857    1058
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108      695    25633 SH       DEFINED          002        0    25633       0
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108      344    12700 SH       SOLE             002        0        0   12700
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108      766    28254 SH       OTHER            001    25344      156    2754
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108     2023    74624 SH       SOLE             001    50978      200   23446
D  BROADCOM CORP               COMMON           111320107      469    13245 SH       DEFINED          002        0    13245       0
D  CANADIAN NATL RY CO         COMMON           136375102      344     5375 SH       SOLE             001       50        0    5325
D  CANADIAN NATL RY CO         COMMON           136375102       18      280 SH       OTHER            001        0        0     280
D  CAPITAL ONE FINL CORP       COMMON           14040H105      306     7744 SH       OTHER            001     6739     1005       0
D  CAPITAL ONE FINL CORP       COMMON           14040H105     7992   202067 SH       SOLE             001   195233     2618    4216
D  CARNIVAL CORP               COMMON           143658300       12      317 SH       OTHER            001      275        0      42
D  CARNIVAL CORP               COMMON           143658300      483    12641 SH       SOLE             001    10885        0    1756
D  CATERPILLAR INC             COMMON           149123101      979    12449 SH       DEFINED          002        0    12449       0
D  CATERPILLAR INC             COMMON           149123101      425     5400 SH       SOLE             002        0        0    5400
D  CATERPILLAR INC             COMMON           149123101      604     7675 SH       OTHER            001     7575        0     100
D  CATERPILLAR INC             COMMON           149123101     5283    67149 SH       SOLE             001    67149        0       0
D  CELGENE CORP                COMMON           151020104       27      465 SH       OTHER            001      300        0     165
D  CELGENE CORP                COMMON           151020104      209     3625 SH       SOLE             001      500        0    3125
D  CENOVUS ENERGY INC          COMMON           15135U109        5      165 SH       OTHER            001      165        0       0
D  CENOVUS ENERGY INC          COMMON           15135U109      303    10539 SH       SOLE             001    10539        0       0
D  CHEMBIO DIAGNOSTICS INC     COMMON           163572100       15    60960 SH       SOLE             002        0        0   60960
D  CHESAPEAKE ENERGY CORP      COMMON           165167107      200     8850 SH       DEFINED          002        0     8850       0
D  CHEVRON CORP                COMMON           166764100     4555    56194 SH       DEFINED          002        0    56194       0
D  CHEVRON CORP                COMMON           166764100     1419    17503 SH       SOLE             002      500        0   17003
D  CHEVRON CORP                COMMON           166764100     2764    34104 SH       OTHER            001    33097      503     504
D  CHEVRON CORP                COMMON           166764100    21100   260333 SH       SOLE             001   248661     3619    8053
D  CHICAGO BRIDGE & IRON CO    COMMON           167250109      585    23920 SH       DEFINED          002        0    23920       0
D  CHIMERA INVT CORP           COMMON           16934Q109      101    25500 SH       SOLE             001    25500        0       0
D  CHINA MILK PRODUCTS GRP LTD SPONSORED ADR    G2112C107        3    15000 SH       SOLE             001    15000        0       0
D  CHUBB CORP                  COMMON           171232101      237     4152 SH       OTHER            001     4077       75       0
D  CHUBB CORP                  COMMON           171232101     1650    28946 SH       SOLE             001    28321      270     355
D  CIGNA CORP                  COMMON           125509109      309     8642 SH       DEFINED          002        0     8642       0
D  CISCO SYS INC               COMMON           17275R102     1735    79223 SH       DEFINED          002        0    79223       0
D  CISCO SYS INC               COMMON           17275R102      289    13200 SH       SOLE             002        0        0   13200
D  CISCO SYS INC               COMMON           17275R102     1405    64157 SH       OTHER            001    59292     1803    3062
D  CISCO SYS INC               COMMON           17275R102    15127   690748 SH       SOLE             001   665631    14031   11086
D  CITIGROUP INC               COMMON           172967101      227    58081 SH       DEFINED          002        0    58081       0
D  CITIGROUP INC               COMMON           172967101      122    31216 SH       OTHER            001    30377        0     839
D  CITIGROUP INC               COMMON           172967101      317    80961 SH       SOLE             001    80361        0     600
D  CITRIX SYS INC              COMMON           177376100       48      708 SH       OTHER            001      575        0     133
D  CITRIX SYS INC              COMMON           177376100      437     6407 SH       SOLE             001     3805        0    2602
D  CLECO CORP                  COMMON           12561W105      259     8760 SH       OTHER            001     8500        0     260
D  CLECO CORP                  COMMON           12561W105      112     3785 SH       SOLE             001        0        0    3785
D  CLOROX CO                   COMMON           189054109      137     2054 SH       OTHER            001     1954        0     100
D  CLOROX CO                   COMMON           189054109      490     7345 SH       SOLE             001     7345        0       0
D  COACH INC                   COMMON           189754104       43     1000 SH       OTHER            001     1000        0       0
D  COACH INC                   COMMON           189754104     3210    74732 SH       SOLE             001    74577        0     155
D  COCA COLA CO                COMMON           191216100     3370    57592 SH       DEFINED          002        0    57592       0
D  COCA COLA CO                COMMON           191216100      732    12500 SH       SOLE             002     1200        0   11300
D  COCA COLA CO                COMMON           191216100      960    16409 SH       OTHER            001    15589      672     148
D  COCA COLA CO                COMMON           191216100     7031   120152 SH       SOLE             001   116961        0    3191
D  COGNIZANT TECHNOLOGY SOLUTI COMMON           192446102       19      301 SH       OTHER            001      230        0      71
D  COGNIZANT TECHNOLOGY SOLUTI COMMON           192446102      263     4084 SH       SOLE             001     1330        0    2754
D  COLGATE PALMOLIVE CO        COMMON           194162103      657     8545 SH       DEFINED          002        0     8545       0
D  COLGATE PALMOLIVE CO        COMMON           194162103     1246    16216 SH       SOLE             002        0        0   16216
D  COLGATE PALMOLIVE CO        COMMON           194162103      334     4351 SH       OTHER            001     2595     1646     110
D  COLGATE PALMOLIVE CO        COMMON           194162103     3851    50101 SH       SOLE             001    47664      125    2312
D  COMCAST CORP                COMMON           20030N101      241    13348 SH       DEFINED          002        0    13348       0
D  COMCAST CORP                COMMON           20030N101       25     1393 SH       OTHER            001     1393        0       0
D  COMCAST CORP                COMMON           20030N101      225    12464 SH       SOLE             001    11954        0     510
D  COMCAST CORP CL A SPL       COMMON           20030N200      459    27000 SH       SOLE             001    27000        0       0
D  CON EDISON INC              COMMON           209115104      494    10250 SH       OTHER            001    10050        0     200
D  CON EDISON INC              COMMON           209115104     2398    49740 SH       SOLE             001    49551        0     189
D  CONOCOPHILLIPS              COMMON           20825C104      557     9691 SH       DEFINED          002        0     9691       0
D  CONOCOPHILLIPS              COMMON           20825C104      726    12650 SH       SOLE             002        0      600   12050
D  CONOCOPHILLIPS              COMMON           20825C104      581    10111 SH       OTHER            001     9421      420     270
D  CONOCOPHILLIPS              COMMON           20825C104    12936   225246 SH       SOLE             001   214454     1290    9502
D  CONTINENTAL AIRLS INC       COMMON           210795308        6      224 SH       OTHER            001        0        0     224
D  CONTINENTAL AIRLS INC       COMMON           210795308      209     8412 SH       SOLE             001        0        0    8412
D  COOPER INDUSTRIES PLC       SPONSORED ADR    G24140108      339     6936 SH       SOLE             001     4341        0    2595
D  COOPER INDUSTRIES PLC       SPONSORED ADR    G24140108        6      120 SH       OTHER            001        0        0     120
D  CORNING INC                 COMMON           219350105      915    50055 SH       DEFINED          002        0    50055       0
D  CORNING INC                 COMMON           219350105      197    10800 SH       SOLE             002        0        0   10800
D  CORNING INC                 COMMON           219350105      919    50279 SH       OTHER            001    48081     2198       0
D  CORNING INC                 COMMON           219350105    12924   706980 SH       SOLE             001   689019     7465   10496
D  CORPORATE PROPERTY ASSOCIAT COMMON           22002Y107      171    16000 SH       SOLE             001    16000        0       0
D  COSTCO WHSL CORP            COMMON           22160K105      144     2240 SH       OTHER            001     2100        0     140
D  COSTCO WHSL CORP            COMMON           22160K105     1792    27780 SH       SOLE             001    25015        0    2765
D  COVIDIEN PLC                SPONSORED ADR    G2554F105        9      219 SH       OTHER            001      219        0       0
D  COVIDIEN PLC                SPONSORED ADR    G2554F105      601    14948 SH       SOLE             001    14948        0       0
D  CRYSTAL ROCK HOLDINGS INC   COMMON           22940F103       14    20000 SH       DEFINED          002        0    20000       0
D  CSX CORP                    COMMON           126408103     1090    19711 SH       DEFINED          002        0    19711       0
D  CSX CORP                    COMMON           126408103     1496    27046 SH       OTHER            001    22332      714    4000
D  CSX CORP                    COMMON           126408103     6225   112521 SH       SOLE             001   108675     1466    2380
D  CVS CAREMARK CORP           COMMON           126650100      415    13200 SH       DEFINED          002        0    13200       0
D  CVS CAREMARK CORP           COMMON           126650100      319    10136 SH       SOLE             002        0        0   10136
D  CVS CAREMARK CORP           COMMON           126650100      640    20350 SH       OTHER            001    19470      880       0
D  CVS CAREMARK CORP           COMMON           126650100    10245   325560 SH       SOLE             001   319360     2317    3883
D  DANAHER CORP                COMMON           235851102      475    11695 SH       OTHER            001    10367     1328       0
D  DANAHER CORP                COMMON           235851102     4889   120385 SH       SOLE             001   114928     4049    1408
D  DARDEN RESTAURANTS INC      COMMON           237194105      133     3100 SH       OTHER            001     3100        0       0
D  DARDEN RESTAURANTS INC      COMMON           237194105     1237    28926 SH       SOLE             001    28811        0     115
D  DEERE & CO                  COMMON           244199105     1538    22040 SH       DEFINED          002      100    21940       0
D  DEERE & CO                  COMMON           244199105      481     6892 SH       OTHER            001     6237      425     230
D  DEERE & CO                  COMMON           244199105    10884   155977 SH       SOLE             001   149557     1133    5287
D  DELL INC                    COMMON           24702R101       24     1840 SH       OTHER            001     1840        0       0
D  DELL INC                    COMMON           24702R101      283    21845 SH       SOLE             001    21845        0       0
D  DEVON ENERGY CORP           COMMON           25179M103       84     1305 SH       OTHER            001     1171        2     132
D  DEVON ENERGY CORP           COMMON           25179M103     4456    68834 SH       SOLE             001    66281        0    2553
D  DIAGEO PLC                  SPONSORED ADR    25243Q205      568     8231 SH       SOLE             001      231        0    8000
D  DIAGEO PLC                  SPONSORED ADR    25243Q205      116     1685 SH       OTHER            001     1345        0     340
D  DISCOVER FINL SVCS          COMMON           254709108      168    10065 SH       SOLE             001    10065        0       0
D  DISNEY (WALT) CO            COMMON           254687106      982    29676 SH       DEFINED          002        0    29676       0
D  DISNEY (WALT) CO            COMMON           254687106      633    19133 SH       OTHER            001    17445     1047     641
D  DISNEY (WALT) CO            COMMON           254687106    11645   351827 SH       SOLE             001   335703     3245   12879
D  DOCUMENT SECURITYSYSTEMS    COMMON           25614T101       44    13000 SH       SOLE             001    13000        0       0
D  DOMINION RES INC VA         COMMON           25746U109      420     9628 SH       OTHER            001     8678      420     530
D  DOMINION RES INC VA         COMMON           25746U109     2916    66780 SH       SOLE             001    57952        0    8828
D  DOVER CORP                  COMMON           260003108      165     3152 SH       SOLE             001     3129        0      23
D  DOVER CORP                  COMMON           260003108      422     8090 SH       OTHER            001     6000     2090       0
D  DOW CHEM CO                 COMMON           260543103      209     7598 SH       DEFINED          002        0     7598       0
D  DOW CHEM CO                 COMMON           260543103      414    15078 SH       OTHER            001    14984        0      94
D  DOW CHEM CO                 COMMON           260543103     2451    89243 SH       SOLE             001    85572        0    3671
D  DU PONT E I DE NEMOURS & CO COMMON           263534109      305     6843 SH       DEFINED          002        0     6843       0
D  DU PONT E I DE NEMOURS & CO COMMON           263534109     1374    30797 SH       OTHER            001    29181     1106     510
D  DU PONT E I DE NEMOURS & CO COMMON           263534109    10107   226523 SH       SOLE             001   208707     1990   15826
D  DUKE ENERGY CORP            COMMON           26441C105       67     3800 SH       OTHER            001     3800        0       0
D  DUKE ENERGY CORP            COMMON           26441C105      118     6651 SH       SOLE             001     5651        0    1000
D  E M C CORP MASS             COMMON           268648102     3162   155676 SH       DEFINED          002        0   155676       0
D  E M C CORP MASS             COMMON           268648102      747    36785 SH       OTHER            001    33929     1985     871
D  E M C CORP MASS             COMMON           268648102    10774   530497 SH       SOLE             001   495696    16222   18579
D  EATON CORP                  COMMON           278058102      412     5000 SH       SOLE             001     5000        0       0
D  EBAY INC                    COMMON           278642103       60     2441 SH       OTHER            001     2350        0      91
D  EBAY INC                    COMMON           278642103      207     8487 SH       SOLE             001     4996        0    3491
D  ECOLAB INC                  COMMON           278865100      349     6881 SH       SOLE             001     6331        0     550
D  EDWARDS LIFESCIENCES CORP   COMMON           28176E108      240     3577 SH       DEFINED          002        0     3577       0
D  ELAN CORP PLC               SPONSORED ADR    284131208      482    83808 SH       DEFINED          002        0    83808       0
D  EMERSON ELEC CO             COMMON           291011104      443     8415 SH       DEFINED          002        0     8415       0
D  EMERSON ELEC CO             COMMON           291011104      574    10895 SH       OTHER            001    10715       80     100
D  EMERSON ELEC CO             COMMON           291011104     4826    91636 SH       SOLE             001    91336        0     300
D  ENCANA CORP                 COMMON           292505104        5      165 SH       OTHER            001      165        0       0
D  ENCANA CORP                 COMMON           292505104      440    14549 SH       SOLE             001    14549        0       0
D  ENERGY SELECT SECTOR SPDR   OTHER            81369Y506      894    15950 SH       SOLE             001     N.A.     N.A.    N.A.
D  ENERGY SELECT SECTOR SPDR   OTHER            81369Y506       18      320 SH       OTHER            001     N.A.     N.A.    N.A.
D  ENTERPRISE PRODS PARTNERS L COMMON           293792107      189     4767 SH       OTHER            001     4767        0       0
D  ENTERPRISE PRODS PARTNERS L COMMON           293792107      397    10017 SH       SOLE             001    10017        0       0
D  EXELON CORP                 COMMON           30161N101      521    12231 SH       OTHER            001    10845     1386       0
D  EXELON CORP                 COMMON           30161N101     8947   210120 SH       SOLE             001   202054     4678    3388
D  EXPRESS SCRIPTS INC         COMMON           302182100      552    11340 SH       DEFINED          002        0    11340       0
D  EXPRESS SCRIPTS INC         COMMON           302182100      693    14231 SH       OTHER            001    10763      610    2858
D  EXPRESS SCRIPTS INC         COMMON           302182100     6951   142724 SH       SOLE             001   137694     1807    3223
D  EXXON MOBIL CORP            COMMON           30231G102     4863    78703 SH       DEFINED          002        0    78703       0
D  EXXON MOBIL CORP            COMMON           30231G102     1582    25599 SH       SOLE             002        0        0   25599
D  EXXON MOBIL CORP            COMMON           30231G102     6958   112607 SH       OTHER            001    95653    10207    6747
D  EXXON MOBIL CORP            COMMON           30231G102    22615   365992 SH       SOLE             001   350545     4448   10999
D  FEDERAL HOME LN MTG CORP    COMMON           313400624        6    14200 SH       DEFINED          002        0    14200       0
D  FEDEX CORP                  COMMON           31428X106      853     9975 SH       DEFINED          002        0     9975       0
D  FEDEX CORP                  COMMON           31428X106      212     2485 SH       SOLE             001     2485        0       0
D  FINANCIAL SELECT SECTOR SPD OTHER            81369Y605      252    17600 SH       DEFINED          002     N.A.     N.A.    N.A.
D  FIRST BANCORP INC ME        COMMON           31866P102       79     5724 SH       SOLE             001     5724        0       0
D  FIRST BANCORP INC ME        COMMON           31866P102       83     6000 SH       OTHER            001     6000        0       0
D  FIRSTENERGY CORP            COMMON           337932107       32      833 SH       OTHER            001      833        0       0
D  FIRSTENERGY CORP            COMMON           337932107      324     8395 SH       SOLE             001     8395        0       0
D  FISERV INC                  COMMON           337738108        6      120 SH       OTHER            001      120        0       0
D  FISERV INC                  COMMON           337738108      299     5555 SH       SOLE             001     5555        0       0
D  FORTUNE BRANDS INC          COMMON           349631101       43      880 SH       OTHER            001      880        0       0
D  FORTUNE BRANDS INC          COMMON           349631101      286     5809 SH       SOLE             001     5809        0       0
D  FREEPORT-MCMORAN COPPER & G COMMON           35671D857      542     6348 SH       DEFINED          002      155     6193       0
D  FREEPORT-MCMORAN COPPER & G COMMON           35671D857       35      406 SH       OTHER            001      301        0     105
D  FREEPORT-MCMORAN COPPER & G COMMON           35671D857      294     3439 SH       SOLE             001     1450        0    1989
D  FRONTIER COMMUNICATIONS COR COMMON           35906A108      111    13580 SH       OTHER            001    13383       95     102
D  FRONTIER COMMUNICATIONS COR COMMON           35906A108      411    50271 SH       SOLE             001    49069      135    1067
D  FRONTIER OIL CORP           COMMON           35914P105       14     1050 SH       OTHER            001     1050        0       0
D  FRONTIER OIL CORP           COMMON           35914P105      356    26582 SH       SOLE             001    26582        0       0
D  GANNETT INC                 COMMON           364730101      171    14013 SH       SOLE             001    13900        0     113
D  GENERAL DYNAMICS CORP       COMMON           369550108      386     6148 SH       OTHER            001     5604      544       0
D  GENERAL DYNAMICS CORP       COMMON           369550108     5130    81678 SH       SOLE             001    77434     2539    1705
D  GENERAL ELEC CAP CORP       COMMON           369622519       41     1600 SH       OTHER            001     1600        0       0
D  GENERAL ELEC CAP CORP       COMMON           369622519      238     9200 SH       SOLE             001     9200        0       0
D  GENERAL ELECTRIC CO         COMMON           369604103     1807   111226 SH       DEFINED          002        0   111226       0
D  GENERAL ELECTRIC CO         COMMON           369604103      408    25107 SH       SOLE             002        0     1300   23807
D  GENERAL ELECTRIC CO         COMMON           369604103     2565   157871 SH       OTHER            001   147331     2460    8080
D  GENERAL ELECTRIC CO         COMMON           369604103    16426  1010836 SH       SOLE             001   959480    21438   29918
D  GENERAL MILLS INC           COMMON           370334104      545    14920 SH       DEFINED          002        0    14920       0
D  GENERAL MILLS INC           COMMON           370334104     1145    31349 SH       OTHER            001    29922     1427       0
D  GENERAL MILLS INC           COMMON           370334104     7602   208043 SH       SOLE             001   201852     2064    4127
D  GENUINE PARTS CO            COMMON           372460105      727    16303 SH       OTHER            001    14462     1303     538
D  GENUINE PARTS CO            COMMON           372460105    12329   276502 SH       SOLE             001   256230     6260   14012
D  GILEAD SCIENCES INC         COMMON           375558103      525    14740 SH       DEFINED          002        0    14740       0
D  GILEAD SCIENCES INC         COMMON           375558103      484    13587 SH       OTHER            001    12412      990     185
D  GILEAD SCIENCES INC         COMMON           375558103     8246   231570 SH       SOLE             001   221257     2477    7836
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105      508    12850 SH       DEFINED          002        0    12850       0
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105      110     2793 SH       SOLE             001     1936        0     857
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105      201     5085 SH       OTHER            001     5085        0       0
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104     1132     7830 SH       DEFINED          002        0     7830       0
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104       25      174 SH       OTHER            001      174        0       0
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104     1347     9320 SH       SOLE             001     9313        0       7
D  GOOGLE INC                  COMMON           38259P508      446      849 SH       OTHER            001      773       76       0
D  GOOGLE INC                  COMMON           38259P508     5608    10666 SH       SOLE             001    10278      162     226
D  HALLIBURTON CO              COMMON           406216101      569    17200 SH       DEFINED          002        0    17200       0
D  HALLIBURTON CO              COMMON           406216101      139     4200 SH       OTHER            001     4200        0       0
D  HALLIBURTON CO              COMMON           406216101      157     4750 SH       SOLE             001     4750        0       0
D  HAMPDEN BANCORP INC         COMMON           40867E107      228    22936 SH       SOLE             001    22936        0       0
D  HARRIS CORP DEL             COMMON           413875105       12      279 SH       OTHER            001      195       84       0
D  HARRIS CORP DEL             COMMON           413875105      559    12630 SH       SOLE             001    12630        0       0
D  HCP INC                     COMMON           40414L109       15      420 SH       OTHER            001        0        0     420
D  HCP INC                     COMMON           40414L109      369    10256 SH       SOLE             001        0        0   10256
D  HEALTH CARE REIT INC        COMMON           42217K106       17      350 SH       OTHER            001        0        0     350
D  HEALTH CARE REIT INC        COMMON           42217K106      400     8441 SH       SOLE             001        0        0    8441
D  HEINZ (H.J.) CO             COMMON           423074103      501    10580 SH       DEFINED          002        0    10580       0
D  HEINZ (H.J.) CO             COMMON           423074103      653    13792 SH       SOLE             001     3249        0   10543
D  HEINZ (H.J.) CO             COMMON           423074103      183     3870 SH       OTHER            001     3500        0     370
D  HEWLETT PACKARD CO          COMMON           428236103     1176    27942 SH       DEFINED          002        0    27942       0
D  HEWLETT PACKARD CO          COMMON           428236103     1130    26862 SH       OTHER            001    21675      846    4341
D  HEWLETT PACKARD CO          COMMON           428236103     8782   208744 SH       SOLE             001   201314     1741    5689
D  HOME DEPOT INC              COMMON           437076102      762    24046 SH       DEFINED          002        0    24046       0
D  HOME DEPOT INC              COMMON           437076102     1015    32035 SH       OTHER            001    30687     1348       0
D  HOME DEPOT INC              COMMON           437076102    13702   432501 SH       SOLE             001   423351     3478    5672
D  HONEYWELL INTL INC          COMMON           438516106      646    14692 SH       DEFINED          002        0    14692       0
D  HONEYWELL INTL INC          COMMON           438516106      415     9437 SH       OTHER            001     9437        0       0
D  HONEYWELL INTL INC          COMMON           438516106     4100    93315 SH       SOLE             001    93315        0       0
D  HSBC HLDGS PLC              SPONSORED  ADR   404280406       17      342 SH       OTHER            001        0        0     342
D  HSBC HLDGS PLC              SPONSORED  ADR   404280406      405     8006 SH       SOLE             001        0        0    8006
D  HUBBELL INC CLASS B         COMMON           443510201      279     5502 SH       DEFINED          002        0     5502       0
D  HUBBELL INC CLASS B         COMMON           443510201       53     1050 SH       SOLE             001     1050        0       0
D  HUBBELL INC CLASS B         COMMON           443510201      178     3500 SH       OTHER            001     3500        0       0
D  IDEXX LABS INC              COMMON           45168D104      128     2076 SH       OTHER            001     1586      340     150
D  IDEXX LABS INC              COMMON           45168D104      398     6447 SH       SOLE             001     6261        0     186
D  ILLINOIS TOOL WKS INC       COMMON           452308109      245     5200 SH       SOLE             002        0        0    5200
D  ILLINOIS TOOL WKS INC       COMMON           452308109      225     4781 SH       OTHER            001     4655      126       0
D  ILLINOIS TOOL WKS INC       COMMON           452308109     1876    39904 SH       SOLE             001    39904        0       0
D  INTEL CORP                  COMMON           458140100      595    30974 SH       DEFINED          002        0    30974       0
D  INTEL CORP                  COMMON           458140100      223    11625 SH       SOLE             002        0        0   11625
D  INTEL CORP                  COMMON           458140100     1455    75774 SH       OTHER            001    64395     3158    8221
D  INTEL CORP                  COMMON           458140100    16296   848744 SH       SOLE             001   815250     8859   24635
D  INTL BUSINESS MACHS         COMMON           459200101     2409    17956 SH       DEFINED          002        0    17956       0
D  INTL BUSINESS MACHS         COMMON           459200101     2390    17814 SH       SOLE             002        0      400   17414
D  INTL BUSINESS MACHS         COMMON           459200101     2769    20646 SH       OTHER            001    17783     1490    1373
D  INTL BUSINESS MACHS         COMMON           459200101    13828   103084 SH       SOLE             001   101541      110    1433
D  INTUIT                      COMMON           461202103       11      250 SH       OTHER            001        0        0     250
D  INTUIT                      COMMON           461202103      197     4497 SH       SOLE             001        0        0    4497
D  ISHARES BARCLAYS 1-3 YR CRE OTHER            464288646     3429    32646 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES BARCLAYS 1-3 YR CRE OTHER            464288646     1587    15106 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES BARCLAYS 3-7 YR     OTHER            464288661      954     8071 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES BARCLAYS 3-7 YR     OTHER            464288661      459     3886 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES BARCLAYS 7-10YR     OTHER            464287440      476     4812 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES COMEX GOLD TR       OTHER            464285105      567    44310 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES COMEX GOLD TR       OTHER            464285105      127     9900 SH       OTHER            001     N.A.     N.A.    N.A.
D  ISHARES DJ US BASIC MATERIA OTHER            464287838      932    14430 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES DJ US BASIC MATERIA OTHER            464287838       31      475 SH       OTHER            001     N.A.     N.A.    N.A.
D  ISHARES DJ US BASIC MATERIA OTHER            464287838      324     5010 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES DJ US HEALTHCARE SE OTHER            464287762      240     3800 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES INC MSCI BRAZIL IND OTHER            464286400      398     5170 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES INCMSCI PACIFIC EX  OTHER            464286665      246     5547 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN 1-3 YR TRS B OTHER            464287457     1699    20136 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN 1-3 YR TRS B OTHER            464287457      320     3790 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN TRES INF PR  OTHER            464287176     9763    89524 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES LEHMAN TRES INF PR  OTHER            464287176      859     7875 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES NASDAQ BIOTECH INDE OTHER            464287556      431     5000 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL 1000 GROWTH OTHER            464287614      247     4815 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL 1000 INDEX  OTHER            464287622      997    15794 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL 2000 INDEX  OTHER            464287655      844    12510 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES RUSSELL MIDCAP INDE OTHER            464287499     2161    23910 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL ENERGY OTHER            464287341      434    12811 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL HEALTH OTHER            464287325       12      240 SH       OTHER            001     N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL HEALTH OTHER            464287325      299     5900 SH       SOLE             001     N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL HEALTH OTHER            464287325      506     9998 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S&P 500 BARRA VALUE OTHER            464287408     1477    27235 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S&P 500 GROWTH INDE OTHER            464287309     1476    24857 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S&P 500 INDEX       OTHER            464287200     1502    13116 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES S&P LATIN AMERICA   OTHER            464287390      230     4550 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR                  OTHER            464287689      559     8290 SH       OTHER            001     N.A.     N.A.    N.A.
D  ISHARES TR DJ US OIL & GAS  OTHER            464288851     1032    19893 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR DJ US OIL & GAS  OTHER            464288851      313     6037 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES TR MSCI EAFE INDEX  OTHER            464287465      680    12390 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR MSCI EMERGING MK OTHER            464287234      729    16277 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR MSCI EMERGING MK OTHER            464287234      316     7062 SH       SOLE             002     N.A.     N.A.    N.A.
D  ISHARES TR S&P MIDCAP 400 G OTHER            464287606      257     2920 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES TR S&P MIDCAP 400 I OTHER            464287507      216     2694 SH       DEFINED          002     N.A.     N.A.    N.A.
D  ISHARES VANGUARD SMALLCAP   COMMON           922908751     1007    15870 SH       DEFINED          002        0    15870       0
D  ITT CORP                    COMMON           450911102      196     4184 SH       OTHER            001     3457      727       0
D  ITT CORP                    COMMON           450911102     4011    85656 SH       SOLE             001    83409     1087    1160
D  JOHNSON & JOHNSON           COMMON           478160104     3248    52425 SH       DEFINED          002        0    52425       0
D  JOHNSON & JOHNSON           COMMON           478160104     1940    31316 SH       SOLE             002        0        0   31316
D  JOHNSON & JOHNSON           COMMON           478160104     4160    67144 SH       OTHER            001    58611     3783    4750
D  JOHNSON & JOHNSON           COMMON           478160104    23821   384464 SH       SOLE             001   368330     6417    9717
D  JOHNSON CONTROLS INC        COMMON           478366107      224     7350 SH       DEFINED          002        0     7350       0
D  JOHNSON CONTROLS INC        COMMON           478366107       94     3078 SH       OTHER            001     2700        0     378
D  JOHNSON CONTROLS INC        COMMON           478366107      451    14775 SH       SOLE             001     5800        0    8975
D  JP MORGAN CHASE & CO        COMMON           46625H100     2120    55709 SH       DEFINED          002        0    55709       0
D  JP MORGAN CHASE & CO        COMMON           46625H100      267     7018 SH       SOLE             002        0        0    7018
D  JP MORGAN CHASE & CO        COMMON           46625H100     1996    52448 SH       OTHER            001    50647     1581     220
D  JP MORGAN CHASE & CO        COMMON           46625H100    13139   345227 SH       SOLE             001   329399     6716    9112
D  JPMORGAN TR II              COMMON           4812C0357      395    33785 SH       DEFINED          002        0    33785       0
D  JUNIPER NETWORKS INC        COMMON           48203R104       10      320 SH       OTHER            001        0        0     320
D  JUNIPER NETWORKS INC        COMMON           48203R104      191     6295 SH       SOLE             001        0        0    6295
D  KELLOGG CO                  COMMON           487836108      137     2718 SH       OTHER            001     2618        0     100
D  KELLOGG CO                  COMMON           487836108      344     6805 SH       SOLE             001     6770       35       0
D  KIMBERLY CLARK CORP         COMMON           494368103      280     4300 SH       DEFINED          002        0     4300       0
D  KIMBERLY CLARK CORP         COMMON           494368103      653    10039 SH       OTHER            001     9669        0     370
D  KIMBERLY CLARK CORP         COMMON           494368103     3688    56701 SH       SOLE             001    49272        0    7429
D  KIMCO REALTY CORP           COMMON           49446R109      236    15000 SH       SOLE             001    15000        0       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106      402     5869 SH       DEFINED          002        0     5869       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106      130     1900 SH       OTHER            001     1900        0       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106      347     5060 SH       SOLE             001     5060        0       0
D  KINDER MORGAN MGMT LLC      COMMON           49455U100      205     3410 SH       OTHER            001     3410        0       0
D  KOHLS CORP                  COMMON           500255104      261     4950 SH       DEFINED          002        0     4950       0
D  KRAFT FOODS INC             COMMON           50075N104      303     9832 SH       OTHER            001     8714        0    1118
D  KRAFT FOODS INC             COMMON           50075N104     1273    41245 SH       SOLE             001    14445        0   26800
D  L-3 COMMUNICATIONS HLDGS IN COMMON           502424104      228     3150 SH       DEFINED          002        0     3150       0
D  L-3 COMMUNICATIONS HLDGS IN COMMON           502424104      140     1940 SH       OTHER            001     1911        0      29
D  L-3 COMMUNICATIONS HLDGS IN COMMON           502424104      267     3698 SH       SOLE             001     3589        0     109
D  LABORATORY CORP AMER HLDGS  COMMON           50540R409      275     3506 SH       OTHER            001     3082      424       0
D  LABORATORY CORP AMER HLDGS  COMMON           50540R409     3050    38893 SH       SOLE             001    37398      831     664
D  LEGACY RESERVES LP          COMMON           524707304       10      400 SH       OTHER            001      400        0       0
D  LEGACY RESERVES LP          COMMON           524707304      210     8500 SH       SOLE             001     8500        0       0
D  LIFE TECHNOLOGIES CORP      COMMON           53217V109       59     1260 SH       SOLE             001     1260        0       0
D  LIFE TECHNOLOGIES CORP      COMMON           53217V109      299     6400 SH       OTHER            001     6400        0       0
D  LILLY ELI & CO              COMMON           532457108      172     4721 SH       OTHER            001     4120      111     490
D  LILLY ELI & CO              COMMON           532457108     1463    40047 SH       SOLE             001    27993        0   12054
D  LINN ENERGY LLC             COMMON           536020100      350    10937 SH       OTHER            001    10700      237       0
D  LINN ENERGY LLC             COMMON           536020100      932    29176 SH       SOLE             001    29176        0       0
D  LOCKHEED MARTIN CORP        COMMON           539830109       79     1105 SH       OTHER            001     1071        0      34
D  LOCKHEED MARTIN CORP        COMMON           539830109      985    13823 SH       SOLE             001    12488       45    1290
D  LOWES COMPANIES             COMMON           548661107      441    19793 SH       DEFINED          002        0    19793       0
D  LOWES COMPANIES             COMMON           548661107       75     3375 SH       OTHER            001     2970        0     405
D  LOWES COMPANIES             COMMON           548661107     1127    50540 SH       SOLE             001    43730        0    6810
D  MACDERMID HOLDINGS LLC      COMMON           99Z161772      248   247851 SH       SOLE             002        0        0  247851
D  MACDERMID HOLDINGS LLC PFD  PREFERRED STOCK  99Z161780     1684  1684.33 SH       SOLE             002        0        0    1684
D  MARATHON OIL CORP           COMMON           565849106      817    24668 SH       DEFINED          002        0    24668       0
D  MARATHON OIL CORP           COMMON           565849106       70     2127 SH       OTHER            001     2127        0       0
D  MARATHON OIL CORP           COMMON           565849106      205     6199 SH       SOLE             001     5882        0     317
D  MARKET VECTORS ETF TR       COMMON           57060U605      551    12012 SH       DEFINED          002        0    12012       0
D  MARSH & MCLENNAN COS INC    COMMON           571748102      232     9600 SH       SOLE             001     9600        0       0
D  MASTERCARD INC              COMMON           57636Q104      291     1300 SH       DEFINED          002        0     1300       0
D  MATERIALS SELECT SECTOR SPD OTHER            81369Y100      375    11455 SH       SOLE             001     N.A.     N.A.    N.A.
D  MATERIALS SELECT SECTOR SPD OTHER            81369Y100       39     1200 SH       OTHER            001     N.A.     N.A.    N.A.
D  MATTEL INC                  COMMON           577081102      262    11176 SH       SOLE             001    11176        0       0
D  MCCORMICK & CO INC COM NON  COMMON           579780206      163     3873 SH       OTHER            001     3873        0       0
D  MCCORMICK & CO INC COM NON  COMMON           579780206     2745    65290 SH       SOLE             001    65045        0     245
D  MCDONALDS CORP              COMMON           580135101     2280    30603 SH       DEFINED          002        0    30603       0
D  MCDONALDS CORP              COMMON           580135101      475     6371 SH       SOLE             002      375        0    5996
D  MCDONALDS CORP              COMMON           580135101     1244    16691 SH       OTHER            001    13919      539    2233
D  MCDONALDS CORP              COMMON           580135101    13014   174656 SH       SOLE             001   164416     3754    6486
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102      478     9188 SH       DEFINED          002        0     9188       0
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102      287     5506 SH       SOLE             002        0        0    5506
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102      127     2440 SH       OTHER            001     2440        0       0
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102      231     4430 SH       SOLE             001     4430        0       0
D  MEDTRONIC INC               COMMON           585055106      541    16100 SH       DEFINED          002        0    16100       0
D  MEDTRONIC INC               COMMON           585055AL0     4906  4900000 PRN      DEFINED          002        0  4900000       0
D  MEDTRONIC INC               COMMON           585055106      159     4723 SH       OTHER            001     4723        0       0
D  MEDTRONIC INC               COMMON           585055106     2525    75208 SH       SOLE             001    75208        0       0
D  MERCHANTS BANCSHARES        COMMON           588448100      214     8596 SH       SOLE             001     8596        0       0
D  MERCK & CO INC              COMMON           58933Y105      927    25193 SH       OTHER            001    23789      904     500
D  MERCK & CO INC              COMMON           58933Y105     1964    53353 SH       SOLE             001    52663      260     430
D  METLIFE INC                 COMMON           59156R108      366     9520 SH       DEFINED          002        0     9520       0
D  METLIFE INC                 COMMON           59156R108      520    13537 SH       OTHER            001    13537        0       0
D  METLIFE INC                 COMMON           59156R108     5656   147110 SH       SOLE             001   147032        0      78
D  METLIFE INC 5.875           COMMON           59156R405      274    10900 SH       DEFINED          002        0    10900       0
D  MICROSOFT CORP              COMMON           594918104     1054    43057 SH       DEFINED          002        0    43057       0
D  MICROSOFT CORP              COMMON           594918104      486    19849 SH       SOLE             002        0        0   19849
D  MICROSOFT CORP              COMMON           594918104     1330    54317 SH       OTHER            001    50981     2696     640
D  MICROSOFT CORP              COMMON           594918104    16325   666605 SH       SOLE             001   640446     7352   18807
D  MIMEDX GROUP INC            COMMON           602496101       10    10000 SH       SOLE             001    10000        0       0
D  MONSANTO CO                 COMMON           61166W101      494    10310 SH       DEFINED          002        0    10310       0
D  MONSANTO CO                 COMMON           61166W101      230     4794 SH       SOLE             002        0      600    4194
D  MONSANTO CO                 COMMON           61166W101      221     4615 SH       OTHER            001     4505      110       0
D  MONSANTO CO                 COMMON           61166W101      409     8541 SH       SOLE             001     8262      100     179
D  MORGAN STANLEY              COMMON           617446448        9      350 SH       OTHER            001      350        0       0
D  MORGAN STANLEY              COMMON           617446448      724    29349 SH       SOLE             001    29296        0      53
D  NASDAQ OMX GROUP INC        COMMON           631103108       29     1500 SH       SOLE             001     1500        0       0
D  NATIONAL FUEL GAS CO N J    COMMON           636180101       14      262 SH       OTHER            001      200        0      62
D  NATIONAL FUEL GAS CO N J    COMMON           636180101      222     4285 SH       SOLE             001     1930        0    2355
D  NAUGATUCK VY FINL CORP      COMMON           639067107      102    19280 SH       SOLE             002        0        0   19280
D  NESTLE S A                  SPONSORED ADR    641069406       62     1162 SH       OTHER            001      887        0     275
D  NESTLE S A                  SPONSORED ADR    641069406      966    18036 SH       SOLE             001    12657        0    5379
D  NEWALLIANCE BANCSHARES      COMMON           650203102      637    50500 SH       DEFINED          002        0    50500       0
D  NEXTERA ENERGY INC          COMMON           65339F101      565    10388 SH       DEFINED          002        0    10388       0
D  NEXTERA ENERGY INC          COMMON           65339F101      610    11217 SH       OTHER            001    10088      861     268
D  NEXTERA ENERGY INC          COMMON           65339F101     6282   115491 SH       SOLE             001   104213     1468    9810
D  NIKE INC                    COMMON           654106103      232     2900 SH       DEFINED          002        0     2900       0
D  NOBLE CORPORATION BAAR      COMMON           H5833N103      230     6810 SH       SOLE             001      285        0    6525
D  NOBLE CORPORATION BAAR      COMMON           H5833N103       10      290 SH       OTHER            001        0        0     290
D  NOKIA CORP                  SPONSORED ADR    654902204      237    23641 SH       DEFINED          002        0    23641       0
D  NOKIA CORP                  SPONSORED ADR    654902204       90     9007 SH       OTHER            001     7889      288     830
D  NOKIA CORP                  SPONSORED ADR    654902204     1674   166897 SH       SOLE             001   143470        0   23427
D  NORFOLK SOUTHERN CORP       COMMON           655844108     1147    19269 SH       SOLE             002        0        0   19269
D  NORFOLK SOUTHERN CORP       COMMON           655844108       60     1000 SH       SOLE             001     1000        0       0
D  NORFOLK SOUTHERN CORP       COMMON           655844108      848    14245 SH       OTHER            001    13745        0     500
D  NORTHROP GRUMMAN CORP       COMMON           666807102       36      600 SH       OTHER            001      300      300       0
D  NORTHROP GRUMMAN CORP       COMMON           666807102      259     4268 SH       SOLE             001     4076        0     192
D  NORWOOD RES LTD             SPONSORED ADR    669958100        1    31470 SH       SOLE             001    31470        0       0
D  NOVARTIS AG                 SPONSORED ADR    66987V109      163     2819 SH       OTHER            001     2675       69      75
D  NOVARTIS AG                 SPONSORED ADR    66987V109     2279    39516 SH       SOLE             001    37771        0    1745
D  NUVEEN FLAG CONN MUNI BOND  COMMON           67065N886      127    11794 SH       DEFINED          002        0    11794       0
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105     5848    74681 SH       DEFINED          002      100    74581       0
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105      252     3220 SH       SOLE             002     1200        0    2020
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105      491     6265 SH       OTHER            001     5670      482     113
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105     6581    84044 SH       SOLE             001    78373     1300    4371
D  OMNICOM GROUP INC           COMMON           681919106      388     9837 SH       OTHER            001     7810      957    1070
D  OMNICOM GROUP INC           COMMON           681919106     5070   128419 SH       SOLE             001   122584     2203    3632
D  OPPENHEIMER DEVELOPING MK   COMMON           683974109      629    18790 SH       DEFINED          002        0    18790       0
D  ORACLE CORP                 COMMON           68389X105     1107    41223 SH       DEFINED          002        0    41223       0
D  ORACLE CORP                 COMMON           68389X105      208     7730 SH       SOLE             002        0        0    7730
D  ORACLE CORP                 COMMON           68389X105      365    13591 SH       OTHER            001    13391        0     200
D  ORACLE CORP                 COMMON           68389X105     1524    56755 SH       SOLE             001    56555        0     200
D  PARKER HANNIFIN CORP        COMMON           701094104      417     5945 SH       DEFINED          002        0     5945       0
D  PATTERSON COS INC           COMMON           703395103       44     1525 SH       OTHER            001     1525        0       0
D  PATTERSON COS INC           COMMON           703395103     1465    51133 SH       SOLE             001    51133        0       0
D  PEABODY ENERGY CORP         COMMON           704549104      326     6651 SH       DEFINED          002        0     6651       0
D  PENGROWTH ENERGY TRUST      COMMON           706902509       44     4000 SH       SOLE             001     4000        0       0
D  PENGROWTH ENERGY TRUST      COMMON           706902509       66     6000 SH       OTHER            001     6000        0       0
D  PEOPLE'S UNITED FINANCIAL   COMMON           712704105      877    66966 SH       DEFINED          002        0    66966       0
D  PEPCO HLDGS INC             COMMON           713291102      130     7000 SH       SOLE             001     7000        0       0
D  PEPCO HLDGS INC             COMMON           713291102      136     7300 SH       OTHER            001     7300        0       0
D  PEPSICO INC                 COMMON           713448108     1688    25405 SH       DEFINED          002        0    25405       0
D  PEPSICO INC                 COMMON           713448108      341     5125 SH       SOLE             002        0        0    5125
D  PEPSICO INC                 COMMON           713448108     1521    22888 SH       OTHER            001    18957      831    3100
D  PEPSICO INC                 COMMON           713448108    10759   161940 SH       SOLE             001   158337     1785    1818
D  PETROLEO BRASILEIRO S.A.    SPONSORED ADR    71654V408      223     6150 SH       DEFINED          002        0     6150       0
D  PFIZER INC                  COMMON           717081103     1302    75810 SH       DEFINED          002        0    75810       0
D  PFIZER INC                  COMMON           717081103      835    48617 SH       SOLE             002        0     1800   46817
D  PFIZER INC                  COMMON           717081103     1328    77339 SH       OTHER            001    76441      748     150
D  PFIZER INC                  COMMON           717081103     9974   580886 SH       SOLE             001   549783     3191   27912
D  PHILIP MORRIS INTL INC      COMMON           718172109      552     9862 SH       DEFINED          002        0     9862       0
D  PHILIP MORRIS INTL INC      COMMON           718172109      896    15995 SH       OTHER            001    15415       30     550
D  PHILIP MORRIS INTL INC      COMMON           718172109     2842    50735 SH       SOLE             001    36680      411   13644
D  PHOENIX COS INC             COMMON           71902E109       23    11000 SH       DEFINED          002        0    11000       0
D  PLUM CREEK TIMBER CO INC    COMMON           729251108      130     3680 SH       OTHER            001     3574      106       0
D  PLUM CREEK TIMBER CO INC    COMMON           729251108      858    24310 SH       SOLE             001    24310        0       0
D  POTASH CORP SASK INC        COMMON           73755L107      289     2007 SH       SOLE             001      150        0    1857
D  POTASH CORP SASK INC        COMMON           73755L107       13       90 SH       OTHER            001        0        0      90
D  POWERSHARES QQQ(TM)         COMMON           73935A104      323     6574 SH       DEFINED          002        0     6574       0
D  POWERSHARES WATER RESOURCES COMMON           73935X575      299    18050 SH       SOLE             001    18050        0       0
D  POWERSHARES WATER RESOURCES COMMON           73935X575        5      325 SH       OTHER            001        0      325       0
D  PRAXAIR INC                 COMMON           74005P104      457     5063 SH       OTHER            001     4423      520     120
D  PRAXAIR INC                 COMMON           74005P104     1971    21842 SH       SOLE             001    18398     1017    2427
D  PRICE T ROWE GROUP INC      COMMON           74144T108      171     3418 SH       OTHER            001     2537      566     315
D  PRICE T ROWE GROUP INC      COMMON           74144T108     1324    26452 SH       SOLE             001    22083      165    4204
D  PROCTER & GAMBLE CO         COMMON           742718109     1132    18869 SH       DEFINED          002        0    18869       0
D  PROCTER & GAMBLE CO         COMMON           742718109     1432    23884 SH       SOLE             002        0        0   23884
D  PROCTER & GAMBLE CO         COMMON           742718109     2115    35271 SH       OTHER            001    34616      160     495
D  PROCTER & GAMBLE CO         COMMON           742718109    10727   178868 SH       SOLE             001   175570     3081     217
D  PROGRESS ENERGY INC         COMMON           743263105      163     3679 SH       OTHER            001     3580       99       0
D  PROGRESS ENERGY INC         COMMON           743263105     2016    45390 SH       SOLE             001    44137      400     853
D  PROVIDENT ENERGY TR         COMMON           74386K104        4      500 SH       SOLE             001      500        0       0
D  PROVIDENT ENERGY TR         COMMON           74386K104      108    15247 SH       OTHER            001    15247        0       0
D  PRUDENTIAL FINANCIAL INC    COMMON           744320102      342     6314 SH       OTHER            001     5573      741       0
D  PRUDENTIAL FINANCIAL INC    COMMON           744320102     6701   123676 SH       SOLE             001   117720     2216    3740
D  PUBLIC SVC ENTERPRISE GROUP COMMON           744573106       66     2000 SH       OTHER            001     2000        0       0
D  PUBLIC SVC ENTERPRISE GROUP COMMON           744573106      161     4853 SH       SOLE             001     4853        0       0
D  QUALCOMM INC                COMMON           747525103       31      695 SH       OTHER            001      480        0     215
D  QUALCOMM INC                COMMON           747525103      873    19333 SH       SOLE             001    14833        0    4500
D  RBS CAPITAL FND TRUST VII   PREFERRED STOCK  74928P207      187    13000 SH       DEFINED          002        0    13000       0
D  RESEARCH IN MOTION LTD      SPONSORED ADR    760975102      293     6020 SH       OTHER            001     5294      726       0
D  RESEARCH IN MOTION LTD      SPONSORED ADR    760975102     7427   152543 SH       SOLE             001   148155     1570    2818
D  RIO TINTO PLC               SPONSORED ADR    767204100      128     2180 SH       OTHER            001     2000        0     180
D  RIO TINTO PLC               SPONSORED ADR    767204100      236     4020 SH       SOLE             001        0        0    4020
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR    780259206      645    10704 SH       OTHER            001    10570       71      63
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR    780259206     1382    22926 SH       SOLE             001    21801        0    1125
D  ROYCE VALUE TRUST INC       COMMON           780910105      430    35408 SH       DEFINED          002        0    35408       0
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108      576     9350 SH       DEFINED          002        0     9350       0
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108     1080    17530 SH       OTHER            001    12550      660    4320
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108     9017   146350 SH       SOLE             001   134142     2696    9512
D  SCHWAB CHARLES CORP         COMMON           808513105       13      962 SH       OTHER            001      962        0       0
D  SCHWAB CHARLES CORP         COMMON           808513105      225    16164 SH       SOLE             001    16164        0       0
D  SELECT SECTOR SPDR TR       OTHER            81369Y886     1392    44350 SH       SOLE             001     N.A.     N.A.    N.A.
D  SEMPRA ENERGY               COMMON           816851109      340     6318 SH       DEFINED          002        0     6318       0
D  SHERWIN WILLIAMS CO         COMMON           824348106      391     5202 SH       SOLE             001     5185        0      17
D  SIGMA-ALDRICH CORP          COMMON           826552101      242     4000 SH       DEFINED          002        0     4000       0
D  SIGMA-ALDRICH CORP          COMMON           826552101      720    11924 SH       SOLE             002        0        0   11924
D  SMUCKER J M CO COM          COMMON           832696405       17      282 SH       OTHER            001      100        0     182
D  SMUCKER J M CO COM          COMMON           832696405      311     5136 SH       SOLE             001     2095        0    3041
D  SOUTHERN CO                 COMMON           842587107      779    20925 SH       OTHER            001    20925        0       0
D  SOUTHERN CO                 COMMON           842587107     2429    65219 SH       SOLE             001    63334      400    1485
D  SPDR GOLD TRUST             OTHER            78463V107     3043    23790 SH       DEFINED          002     N.A.     N.A.    N.A.
D  SPDR METALS & MINING ETF    COMMON           78464A755      810    15145 SH       DEFINED          002        0    15145       0
D  SPDR SER TRST MS TECHNOLOGY OTHER            78464A102      822    14123 SH       DEFINED          002     N.A.     N.A.    N.A.
D  SPECTRA ENERGY CORP         COMMON           847560109      221     9779 SH       DEFINED          002        0     9779       0
D  SPECTRA ENERGY CORP         COMMON           847560109        6      250 SH       OTHER            001      250        0       0
D  SPECTRA ENERGY CORP         COMMON           847560109      735    32605 SH       SOLE             001    32605        0       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101      505     8244 SH       DEFINED          002        0     8244       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101       61     1000 SH       OTHER            001     1000        0       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101      755    12320 SH       SOLE             001    12320        0       0
D  STAPLES INC                 COMMON           855030102      334    15983 SH       DEFINED          002        0    15983       0
D  STAPLES INC                 COMMON           855030102      476    22739 SH       OTHER            001    20760     1597     382
D  STAPLES INC                 COMMON           855030102     4146   198171 SH       SOLE             001   196264      137    1770
D  STATE STREET CORP           COMMON           857477103      265     7048 SH       DEFINED          002        0     7048       0
D  STATE STREET CORP           COMMON           857477103      314     8351 SH       OTHER            001     8351        0       0
D  STATE STREET CORP           COMMON           857477103     3849   102199 SH       SOLE             001   101413      322     464
D  STRYKER CORP                COMMON           863667101      465     9283 SH       OTHER            001     9148      135       0
D  STRYKER CORP                COMMON           863667101     4924    98377 SH       SOLE             001    97705      177     495
D  SUMITOMO MITSUI FINL GROUP  SPONSORED ADR    86562M100        2      655 SH       OTHER            001        0        0     655
D  SUMITOMO MITSUI FINL GROUP  SPONSORED ADR    86562M100       34    11700 SH       SOLE             001        0        0   11700
D  SUNCOR ENERGY INC           COMMON           867224107       30      910 SH       OTHER            001      850        0      60
D  SUNCOR ENERGY INC           COMMON           867224107      897    27565 SH       SOLE             001    20880        0    6685
D  SYSCO CORP                  COMMON           871829107      716    25100 SH       DEFINED          002        0    25100       0
D  SYSCO CORP                  COMMON           871829107      224     7850 SH       SOLE             002        0        0    7850
D  SYSCO CORP                  COMMON           871829107      187     6542 SH       OTHER            001     6270      172     100
D  SYSCO CORP                  COMMON           871829107     3348   117389 SH       SOLE             001   111916     2477    2996
D  T ROWE PRICE TAX FREE INC   COMMON           779576107      186    18328 SH       DEFINED          002        0    18328       0
D  T ROWE PRICE TAX FREE SHT   COMMON           779902105      411    72795 SH       DEFINED          002        0    72795       0
D  T ROWE PRICE TAX FREE SHT   COMMON           779902105      118    20899 SH       SOLE             002        0        0   20899
D  TARGET CORP                 COMMON           87612E106      465     8698 SH       OTHER            001     8698        0       0
D  TARGET CORP                 COMMON           87612E106     5160    96560 SH       SOLE             001    96310        0     250
D  TELEPHONE & DATA SYS INC    COMMON           879433860      216     7634 SH       SOLE             001     7634        0       0
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR    881624209      656    12435 SH       OTHER            001    11641      670     124
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR    881624209     8396   159170 SH       SOLE             001   152817     2226    4127
D  TEXAS INSTRUMENTS INC       COMMON           882508104      977    36010 SH       DEFINED          002        0    36010       0
D  TEXAS INSTRUMENTS INC       COMMON           882508104      143     5262 SH       OTHER            001     4262     1000       0
D  TEXAS INSTRUMENTS INC       COMMON           882508104     1555    57301 SH       SOLE             001    57301        0       0
D  THE HERSHEY COMPANY         COMMON           427866108      250     5248 SH       SOLE             001     5248        0       0
D  THE HERSHEY COMPANY         COMMON           427866108      481    10100 SH       OTHER            001    10100        0       0
D  THERMO FISHER SCIENTIFIC, I COMMON           883556102      232     4841 SH       SOLE             002        0        0    4841
D  TIDEWATER INC               COMMON           886423102       22      500 SH       OTHER            001      500        0       0
D  TIDEWATER INC               COMMON           886423102     3232    72125 SH       SOLE             001    72125        0       0
D  TJX COS INC                 COMMON           872540109      253     5675 SH       SOLE             001     1800        0    3875
D  TJX COS INC                 COMMON           872540109        9      200 SH       OTHER            001        0        0     200
D  TORONTO-DOMINION BANK       SPONSORED ADR    891160509      249     3448 SH       DEFINED          002        0     3448       0
D  TRANSOCEAN INC              COMMON           893830AU3     5637  5680000 PRN      DEFINED          002        0  5680000       0
D  TRANSOCEAN INC              COMMON           893830AU3      491   495000 PRN      SOLE             002        0    25000  470000
D  TRANSOCEAN LTD              SPONSORED ADR    H8817H100      712    11071 SH       DEFINED          002        0    11071       0
D  TRANSOCEAN LTD              SPONSORED ADR    H8817H100      234     3640 SH       SOLE             001       61        0    3579
D  TRANSOCEAN LTD              SPONSORED ADR    H8817H100       18      278 SH       OTHER            001      123        0     155
D  TRAVELERS COMPANIES INC     COMMON           89417E109      247     4735 SH       SOLE             001      100        0    4635
D  TRAVELERS COMPANIES INC     COMMON           89417E109        9      170 SH       OTHER            001        0        0     170
D  TYCO ELECTRONICS LTD SWITZE SPONSORED ADR    H8912P106        6      219 SH       OTHER            001      219        0       0
D  TYCO ELECTRONICS LTD SWITZE SPONSORED ADR    H8912P106      434    14865 SH       SOLE             001    14865        0       0
D  TYCO INTERNATIONAL LTD      SPONSORED  ADR   H89128104       11      310 SH       OTHER            001      219        0      91
D  TYCO INTERNATIONAL LTD      SPONSORED  ADR   H89128104      634    17260 SH       SOLE             001    13740        0    3520
D  UNIGENE LABS INC            COMMON           904753100       11    17500 SH       DEFINED          002        0    17500       0
D  UNILEVER N V                SPONSORED ADR    904784709      582    19471 SH       SOLE             001     1291        0   18180
D  UNILEVER N V                SPONSORED ADR    904784709       22      730 SH       OTHER            001        0        0     730
D  UNION PAC CORP              COMMON           907818108      360     4397 SH       OTHER            001     1597        0    2800
D  UNION PAC CORP              COMMON           907818108      517     6324 SH       SOLE             001     6324        0       0
D  UNITED NAT FOODS INC        COMMON           911163103     1322    39930 SH       SOLE             001    39750        0     180
D  UNITED PARCEL SERVICE INC   COMMON           911312106      674    10105 SH       DEFINED          002        0    10105       0
D  UNITED PARCEL SERVICE INC   COMMON           911312106      460     6900 SH       OTHER            001     6650       65     185
D  UNITED PARCEL SERVICE INC   COMMON           911312106     4436    66524 SH       SOLE             001    62488      337    3699
D  UNITED TECHNOLOGIES CORP    COMMON           913017109     1640    23028 SH       DEFINED          002        0    23028       0
D  UNITED TECHNOLOGIES CORP    COMMON           913017109      612     8588 SH       SOLE             002        0        0    8588
D  UNITED TECHNOLOGIES CORP    COMMON           913017109     2144    30100 SH       OTHER            001    28558      689     853
D  UNITED TECHNOLOGIES CORP    COMMON           913017109    12545   176115 SH       SOLE             001   168623     2681    4811
D  US BANCORP                  COMMON           902973304      341    15767 SH       OTHER            001    13996     1771       0
D  US BANCORP                  COMMON           902973304     8533   394687 SH       SOLE             001   381910     4704    8073
D  USA VIDEO INTERACTIVE CORP  COMMON           902924208        0    15400 SH       DEFINED          002        0    15400       0
D  V F CORP                    COMMON           918204108       19      230 SH       OTHER            001      181       49       0
D  V F CORP                    COMMON           918204108      618     7626 SH       SOLE             001     7561        0      65
D  VALE S A                    SPONSORED  ADR   91912E105      334    10680 SH       SOLE             001     3900        0    6780
D  VALE S A                    SPONSORED  ADR   91912E105       20      635 SH       OTHER            001        0        0     635
D  VANGUARD EMERGING MARKETS E OTHER            922042858      982    21600 SH       SOLE             002     N.A.     N.A.    N.A.
D  VANGUARD INFORMATION TECHNO OTHER            92204A702      295     5300 SH       SOLE             001     N.A.     N.A.    N.A.
D  VANGUARD LTD TERM T/E FD-   SPONSORED ADR    922907704      454    40724 SH       DEFINED          002        0    40724       0
D  VANGUARD SHORT TERM BD INDE OTHER            921937827     2791    34142 SH       DEFINED          002     N.A.     N.A.    N.A.
D  VANGUARD SHORT TERM BD INDE OTHER            921937827      582     7125 SH       SOLE             002     N.A.     N.A.    N.A.
D  VERIZON COMMUNICATIONS      COMMON           92343V104     1154    35416 SH       DEFINED          002        0    35416       0
D  VERIZON COMMUNICATIONS      COMMON           92343V104      248     7602 SH       SOLE             002        0        0    7602
D  VERIZON COMMUNICATIONS      COMMON           92343V104     1408    43203 SH       OTHER            001    40982     1265     956
D  VERIZON COMMUNICATIONS      COMMON           92343V104    10485   321724 SH       SOLE             001   294180     5686   21858
D  VISA INC                    COMMON           92826C839      327     4400 SH       DEFINED          002        0     4400       0
D  VODAFONE GROUP PLC          SPONSORED ADR    92857W209      121     4890 SH       OTHER            001     4014        0     876
D  VODAFONE GROUP PLC          SPONSORED ADR    92857W209      855    34456 SH       SOLE             001    12751        0   21705
D  WAL MART STORES INC         COMMON           931142103      764    14279 SH       DEFINED          002        0    14279       0
D  WAL MART STORES INC         COMMON           931142103      608    11364 SH       OTHER            001    10868      496       0
D  WAL MART STORES INC         COMMON           931142103     9998   186800 SH       SOLE             001   182311     1738    2751
D  WALGREEN CO                 COMMON           931422109      307     9150 SH       DEFINED          002        0     9150       0
D  WALGREEN CO                 COMMON           931422109      809    24150 SH       SOLE             002        0        0   24150
D  WALGREEN CO                 COMMON           931422109      526    15693 SH       OTHER            001    10443      500    4750
D  WALGREEN CO                 COMMON           931422109     1084    32350 SH       SOLE             001    31730        0     620
D  WEATHERFORD INTERNATIONAL L COMMON           H27013103      222    12970 SH       SOLE             001     1000        0   11970
D  WEATHERFORD INTERNATIONAL L COMMON           H27013103        7      420 SH       OTHER            001        0        0     420
D  WEBSTER FINANCL CP WATERBUR COMMON           947890109      320    18210 SH       DEFINED          002        0    18210       0
D  WELLS FARGO CO              COMMON           949746101      421    16769 SH       DEFINED          002        0    16769       0
D  WELLS FARGO CO              COMMON           949746101      688    27400 SH       SOLE             002        0        0   27400
D  WELLS FARGO CO              COMMON           949746101      621    24734 SH       OTHER            001    20702     1786    2246
D  WELLS FARGO CO              COMMON           949746101    10264   408666 SH       SOLE             001   392806     9488    6372
D  WELLS FARGO CPA TR IV  D    COMMON           94976Y207      217     8600 SH       DEFINED          002        0     8600       0
D  WESTERN UNION CO            COMMON           959802109      257    14550 SH       DEFINED          002        0    14550       0
D  WHIRLPOOL CORP              COMMON           963320106      324     4000 SH       OTHER            001     4000        0       0
D  WILLIAMS COS INC            COMMON           969457100     3674   192252 SH       DEFINED          002        0   192252       0
D  WORLD WRESTLING ENTMT INC   COMMON           98156Q108       56     4000 SH       OTHER            001     4000        0       0
D  WORLD WRESTLING ENTMT INC   COMMON           98156Q108      114     8200 SH       SOLE             001     8200        0       0
D  YUM BRANDS INC              COMMON           988498101      293     6360 SH       DEFINED          002        0     6360       0