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

                                   FORM 13F

                              FORM 13F COVER PAGE

                   REPORT FOR THE QUARTER ENDED: 12/31/2010

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
02/14/2011

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: 715

FORM 13F INFORMATION TABLE VALUE TOTAL:  $1,223,648

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  11403  132141  SH       SOLE      001    121793  1651   8697
D   3M CO                          COMMON         88579Y101   2157   24997  SH       OTHER     001     24104   588    305
D   3M CO                          COMMON         88579Y101   4528   52466  SH       DEFINED   002         0 52466      0
D   3M CO                          COMMON         88579Y101    242    2800  SH       SOLE      002       500     0   2300
D   ABBOTT LABORATORIES INC        COMMON         002824100    808   16874  SH       DEFINED   002         0 16874      0
D   ABBOTT LABORATORIES INC        COMMON         002824100   1164   24305  SH       SOLE      002         0     0  24305
D   ABBOTT LABS                    COMMON         002824100   6915  144331  SH       SOLE      001    139490  2042   2799
D   ABBOTT LABS                    COMMON         002824100   1058   22070  SH       OTHER     001     21328   639    103
D   ACCENTURE PLC IRELAND          SPONSORED ADR  G1151C101    489   10078  SH       SOLE      001      6250     0   3828
D   ACCENTURE PLC IRELAND          SPONSORED ADR  G1151C101    183    3777  SH       OTHER     001       650   550   2577
D   ACME UTD CORP                  COMMON         004816104    102   10732  SH       SOLE      001         0     0  10732
D   ACTIVISION BLIZZARD INC        COMMON         00507V109    142   11450  SH       DEFINED   002         0 11450      0
D   ADELPHIA RECOVERY TRUST        SPONSORED ADR  00685R102      1   10511  SH       SOLE      001     10511     0      0
D   AETNA INC-NEW                  COMMON         00817Y108    470   15399  SH       DEFINED   002         0 15399      0
D   AFLAC INC                      COMMON         001055102  10258  181778  SH       SOLE      001    175303  2325   4150
D   AFLAC INC                      COMMON         001055102   1157   20499  SH       OTHER     001     19578   921      0
D   AIR PRODS & CHEMS INC          COMMON         009158106   4452   48948  SH       SOLE      001     48784    62    102
D   AIR PRODS & CHEMS INC          COMMON         009158106    206    2269  SH       OTHER     001      2214    55      0
D   ALCOA INC                      COMMON         013817101   2021  131300  SH       SOLE      001    131231     0     69
D   ALCOA INC                      COMMON         013817101     41    2675  SH       OTHER     001      1975     0    700
D   ALLERGAN INC                   COMMON         018490102   8043  117121  SH       SOLE      001    113242  1401   2478
D   ALLERGAN INC                   COMMON         018490102    523    7615  SH       OTHER     001      6777   838      0
D   ALLIANCEBERNSTEIN INCOME       COMMON         01881E101     79   10000  SH       DEFINED   002         0 10000      0
D   ALTRIA GROUP INC               COMMON         02209S103   4319  175407  SH       SOLE      001    151411  2172  21824
D   ALTRIA GROUP INC               COMMON         02209S103    705   28655  SH       OTHER     001     26116  1376   1163
D   ALTRIA GROUP INC               COMMON         02209S103    438   17797  SH       DEFINED   002         0 17797      0
D   AMAZON.COM INC                 COMMON         023135106    277    1540  SH       DEFINED   002         0  1540      0
D   AMERICAN EXPRESS CO            COMMON         025816109   1350   31444  SH       SOLE      001     29102   875   1467
D   AMERICAN EXPRESS CO            COMMON         025816109    448   10450  SH       OTHER     001      9275  1175      0
D   AMERICAN EXPRESS CO            COMMON         025816109    442   10300  SH       DEFINED   002         0 10300      0
D   AMERIPRISE FINL INC            COMMON         03076C106    189    3285  SH       SOLE      001      3000     0    285
D   AMERIPRISE FINL INC            COMMON         03076C106     23     400  SH       OTHER     001       400     0      0






                                                             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   AMETEK INC NEW                 COMMON         031100100    283     7200  SH      SOLE      001      7200       0     0
D   AMGEN INC                      COMMON         031162100   4101    74705  SH      SOLE      001     74205       0   500
D   AMGEN INC                      COMMON         031162100    304     5531  SH      OTHER     001      5530       1     0
D   AMGEN INC                      COMMON         031162100    399     7275  SH      DEFINED   002         0    7275     0
D   AMGEN INC                      COMMON         031162AN0   4644  4650000 PRN      DEFINED   002         0 4650000     0
D   ANALOG DEVICES INC             COMMON         032654105    843    22369  SH      SOLE      001     21992       0   377
D   ANALOG DEVICES INC             COMMON         032654105     34      899  SH      OTHER     001       770     129     0
D   ANWORTH MORTGAGE ASSET CP      COMMON         037347101     70    10000  SH      SOLE      001     10000       0     0
D   ANWORTH MORTGAGE ASSET CP      COMMON         037347101      7     1000  SH      OTHER     001      1000       0     0
D   APACHE CORP                    COMMON         037411105  10151    84772  SH      SOLE      001     79180    2766  2826
D   APACHE CORP                    COMMON         037411105    935     7673  SH      OTHER     001      6503     487   683
D   APACHE CORP                    COMMON         037411105   2747    23040  SH      DEFINED   002         0   23040     0
D   APACHE CORP                    COMMON         037411105    787     6600  SH      SOLE      002         0       0  6600
D   APPLE COMPUTER INC             COMMON         037833100   8024    24875  SH      DEFINED   002         0   24875     0
D   APPLE COMPUTER INC             COMMON         037833100    744     2305  SH      SOLE      002         0     200  2105
D   APPLE INC                      COMMON         037833100  19921    61697  SH      SOLE      001     58046    1325  2326
D   APPLE INC                      COMMON         037833100   1681     5209  SH      OTHER     001      4527     554   128
D   APPLIED MATERIALS INC          COMMON         038222105    379    27000  SH      DEFINED   002         0   27000     0
D   ARROW FINL CORP                COMMON         042744102    210     7626  SH      SOLE      001      7626       0     0
D   ARROW FINL CORP                COMMON         042744102    373    13554  SH      OTHER     001     13554       0     0
D   ASTRAZENECA PLC                SPONSORED ADR  046353108    409     8860  SH      SOLE      001         0       0  8860
D   ASTRAZENECA PLC                SPONSORED ADR  046353108     21      450  SH      OTHER     001       100       0   350
D   AT&T INC                       COMMON         00206R102  16467   560500  SH      SOLE      001    519710   11580 29210
D   AT&T INC                       COMMON         00206R102   2357    80250  SH      OTHER     001     74553    3110  2587
D   AT&T INC                       COMMON         00206R102   1821    61977  SH      DEFINED   002         0   61977     0
D   AT&T INC                       COMMON         00206R102    222     7556  SH      SOLE      002         0       0  7556
D   AUTOMATIC DATA PROCESSING      COMMON         053015103   3488    75365  SH      DEFINED   002       200   75165     0
D   AUTOMATIC DATA PROCESSING      COMMON         053015103   2709    58532  SH      SOLE      001     57189    1038   305
D   AUTOMATIC DATA PROCESSING      COMMON         053015103    814    17608  SH      OTHER     001     13140     418  4050
D   AVALONBAY CMNTYS INC           COMMON         053484101    220     1959  SH      SOLE      001      1959       0     0
D   AVALONBAY CMNTYS INC           COMMON         053484101    225     2003  SH      OTHER     001      2003       0     0
D   AVNET INC                      COMMON         053807103    657    19900  SH      DEFINED   002         0   19900     0
D   AVON PRODS INC                 COMMON         054303102    609    20946  SH      SOLE      001     20667      77   202
D   AVON PRODS INC                 COMMON         054303102     82     2818  SH      OTHER     001      1918       0   900
D   BAKER HUGHES INC               COMMON         057224107   1178    20599  SH      SOLE      001     20409     190     0
D   BAKER HUGHES INC               COMMON         057224107    176     3076  SH      OTHER     001      3076       0     0
D   BALFOUR MACLAINE CORP          COMMON         058459AA6      0    15000  SH      DEFINED   002         0   15000     0
D   BALL CORP                      COMMON         058498106    406     5960  SH      DEFINED   002         0    5960     0
D   BANK OF AMERICA CORP           COMMON         060505104    395    29646  SH      DEFINED   002         0   29646     0
D   BANK OF AMERICA CORPORATION    COMMON         060505104   9996   749346  SH      SOLE      001    727943    8704 12699
D   BANK OF AMERICA CORPORATION    COMMON         060505104    653    48881  SH      OTHER     001     45393    3488     0
D   BANK OF AMERICA CORPORATION    COMMON         060505724   1273    51500  SH      DEFINED   002         0   51500     0






                                                             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   BANK OF NEW YORK MELLON COR    COMMON         064058100   3769  124803  SH       SOLE      001    124113   470    220
D   BANK OF NEW YORK MELLON COR    COMMON         064058100    438   14487  SH       OTHER     001     14218   136    133
D   BANK OF NEW YORK MELLON COR    COMMON         064058100    217    7199  SH       DEFINED   002         0  7199      0
D   BAXTER INTERNATIONAL INC       COMMON         071813109   1122   22175  SH       DEFINED   002         0 22175      0
D   BB & T CORP                    COMMON         054937107   1928   73325  SH       SOLE      001     73175     0    150
D   BB & T CORP                    COMMON         054937107      9     325  SH       OTHER     001       325     0      0
D   BECTON DICKINSON & CO          COMMON         075887109    485    5735  SH       SOLE      001      3135     0   2600
D   BECTON DICKINSON & CO          COMMON         075887109    317    3754  SH       OTHER     001      2434     0   1320
D   BECTON, DICKINSON & CO         COMMON         075887109   1418   16781  SH       DEFINED   002         0 16781      0
D   BECTON, DICKINSON & CO         COMMON         075887109    366    4331  SH       SOLE      002         0     0   4331
D   BERKSHIRE HATHAWAY INC CL A    COMMON         084670108    482       4  SH       SOLE      002         0     0      4
D   BERKSHIRE HATHAWAY INC CL B    COMMON         084670702    288    3594  SH       DEFINED   002         0  3594      0
D   BERKSHIRE HATHAWAY INC DEL     COMMON         084670108  12888     107  SH       SOLE      001       107     0      0
D   BERKSHIRE HATHAWAY INC DEL     COMMON         084670108    482       4  SH       OTHER     001         2     0      2
D   BERKSHIRE HATHAWAY INC DEL     COMMON         084670702   1923   24013  SH       SOLE      001     23523   440     50
D   BERKSHIRE HATHAWAY INC DEL     COMMON         084670702    656    8192  SH       OTHER     001      1895   200   6097
D   BEST BUY COMPANY INC           COMMON         086516101   1893   55200  SH       DEFINED   002         0 55200      0
D   BEST BUY INC                   COMMON         086516101   8457  246638  SH       SOLE      001    239906  2455   4277
D   BEST BUY INC                   COMMON         086516101    373   10869  SH       OTHER     001      9832  1037      0
D   BHP BILLITON LTD               SPONSORED ADR  088606108  10354  111428  SH       SOLE      001    104197  1348   5883
D   BHP BILLITON LTD               SPONSORED ADR  088606108    698    7517  SH       OTHER     001      5949   601    967
D   BIGLARI HLDGS INC              COMMON         08986R101   1578    3848  SH       SOLE      001      3848     0      0
D   BOEING CO                      COMMON         097023105   6758  103553  SH       SOLE      001     96462   292   6799
D   BOEING CO                      COMMON         097023105    840   12871  SH       OTHER     001      4462    61   8348
D   BOEING CO                      COMMON         097023105    653   10011  SH       DEFINED   002         0 10011      0
D   BOEING CO                      COMMON         097023105    673   10315  SH       SOLE      002         0     0  10315
D   BP PLC                         SPONSORED ADR  055622104   1127   25509  SH       SOLE      001     23652   857   1000
D   BP PLC                         SPONSORED ADR  055622104    272    6161  SH       OTHER     001      6105     0     56
D   BRISTOL MYERS SQUIBB CO        COMMON         110122108   1988   75074  SH       SOLE      001     50420   200  24454
D   BRISTOL MYERS SQUIBB CO        COMMON         110122108    713   26914  SH       OTHER     001     24004   156   2754
D   BRISTOL-MYERS SQUIBB CO        COMMON         110122108    774   29248  SH       DEFINED   002         0 29248      0
D   BRISTOL-MYERS SQUIBB CO        COMMON         110122108    369   13950  SH       SOLE      002         0     0  13950
D   BROADCOM CORP                  COMMON         111320107    215    4938  SH       SOLE      001       400     0   4538
D   BROADCOM CORP                  COMMON         111320107     11     250  SH       OTHER     001         0     0    250
D   BROADCOM CORP                  COMMON         111320107    642   14745  SH       DEFINED   002         0 14745      0
D   CAMPBELL SOUP CO               COMMON         134429109    115    3300  SH       SOLE      001      3300     0      0
D   CAMPBELL SOUP CO               COMMON         134429109    125    3600  SH       OTHER     001      3600     0      0
D   CANADIAN NATL RY CO            COMMON         136375102    347    5213  SH       SOLE      001        50     0   5163
D   CANADIAN NATL RY CO            COMMON         136375102     15     227  SH       OTHER     001         0     0    227
D   CAPITAL ONE FINL CORP          COMMON         14040H105   8789  206505  SH       SOLE      001    199239  2490   4776
D   CAPITAL ONE FINL CORP          COMMON         14040H105    453   10633  SH       OTHER     001      9628  1005      0
D   CARNIVAL CORP                  COMMON         143658300    528   11461  SH       SOLE      001     11142     0    319






                                                             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   CARNIVAL CORP                  COMMON         143658300      9     200  SH       OTHER     001       150     0     50
D   CATERPILLAR INC                COMMON         149123101   1323   14124  SH       DEFINED   002         0 14124      0
D   CATERPILLAR INC                COMMON         149123101    468    5000  SH       SOLE      002         0     0   5000
D   CATERPILLAR INC DEL            COMMON         149123101   6249   66729  SH       SOLE      001     66289   440      0
D   CATERPILLAR INC DEL            COMMON         149123101    731    7804  SH       OTHER     001      7549   155    100
D   CELGENE CORP                   COMMON         151020104    214    3625  SH       SOLE      001       500     0   3125
D   CELGENE CORP                   COMMON         151020104     28     465  SH       OTHER     001       300     0    165
D   CENOVUS ENERGY INC             COMMON         15135U109    338   10170  SH       SOLE      001     10170     0      0
D   CENOVUS ENERGY INC             COMMON         15135U109      5     165  SH       OTHER     001       165     0      0
D   CHEMBIO DIAGNOSTICS INC        COMMON         163572100     26   60960  SH       SOLE      002         0     0  60960
D   CHESAPEAKE ENERGY CORP         COMMON         165167107    233    9000  SH       DEFINED   002         0  9000      0
D   CHEVRON CORP                   COMMON         166764100   5417   59369  SH       DEFINED   002         0 59369      0
D   CHEVRON CORP                   COMMON         166764100   1501   16453  SH       SOLE      002       250     0  16203
D   CHEVRON CORP NEW               COMMON         166764100  24006  263073  SH       SOLE      001    250130  4390   8553
D   CHEVRON CORP NEW               COMMON         166764100   3334   36536  SH       OTHER     001     35209   823    504
D   CHICAGO BRIDGE & IRON CO       COMMON         167250109    643   19545  SH       DEFINED   002         0 19545      0
D   CHIMERA INVT CORP              COMMON         16934Q109    100   24300  SH       SOLE      001     24300     0      0
D   CHINA MILK PRODUCTS GRP LTD    SPONSORED ADR  G2112C107      3   15000  SH       SOLE      001     15000     0      0
D   CHINA TEL GROUP INC            COMMON         16944J103      4   25000  SH       SOLE      001     25000     0      0
D   CHUBB CORP                     COMMON         171232101   1862   31221  SH       SOLE      001     30596   270    355
D   CHUBB CORP                     COMMON         171232101    201    3374  SH       OTHER     001      3299    75      0
D   CIGNA CORP                     COMMON         125509109    280    7642  SH       DEFINED   002         0  7642      0
D   CISCO SYS INC                  COMMON         17275R102  14279  705854  SH       SOLE      001    683952 12159   9743
D   CISCO SYS INC                  COMMON         17275R102   1325   65526  SH       OTHER     001     59425  2668   3433
D   CISCO SYSTEMS INC              COMMON         17275R102   1320   65270  SH       DEFINED   002         0 65270      0
D   CISCO SYSTEMS INC              COMMON         17275R102    267   13200  SH       SOLE      002         0     0  13200
D   CITIGROUP INC                  COMMON         172967101    363   76797  SH       SOLE      001     76197     0    600
D   CITIGROUP INC                  COMMON         172967101    162   34226  SH       OTHER     001     32752   635    839
D   CITIGROUP INC                  COMMON         172967101    247   52133  SH       DEFINED   002         0 52133      0
D   CITRIX SYS INC                 COMMON         177376100    435    6357  SH       SOLE      001      3755     0   2602
D   CITRIX SYS INC                 COMMON         177376100     42     608  SH       OTHER     001       475     0    133
D   CLECO CORP NEW                 COMMON         12561W105    116    3785  SH       SOLE      001         0     0   3785
D   CLECO CORP NEW                 COMMON         12561W105    269    8760  SH       OTHER     001      8500     0    260
D   CLOROX CO DEL                  COMMON         189054109    428    6770  SH       SOLE      001      6770     0      0
D   CLOROX CO DEL                  COMMON         189054109    120    1904  SH       OTHER     001      1804     0    100
D   CME GROUP INC                  COMMON         12572Q105    206     640  SH       SOLE      001        44     0    596
D   CME GROUP INC                  COMMON         12572Q105     10      30  SH       OTHER     001         0     0     30
D   COACH INC                      COMMON         189754104   1187   21467  SH       SOLE      001     21312     0    155
D   COACH INC                      COMMON         189754104     55    1000  SH       OTHER     001      1000     0      0
D   COCA COLA CO                   COMMON         191216100   7215  109701  SH       SOLE      001    105990   520   3191
D   COCA COLA CO                   COMMON         191216100   1163   17686  SH       OTHER     001     16297  1007    382
D   COCA-COLA CO                   COMMON         191216100   3142   47767  SH       DEFINED   002         0 47767      0






                                                             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   COCA-COLA CO                   COMMON         191216100    661   10050  SH       SOLE      002         0     0  10050
D   COGNIZANT TECHNOLOGY SOLUTI    COMMON         192446102    297    4051  SH       SOLE      001      1330     0   2721
D   COGNIZANT TECHNOLOGY SOLUTI    COMMON         192446102      5      71  SH       OTHER     001         0     0     71
D   COLGATE PALMOLIVE CO           COMMON         194162103   3944   49074  SH       SOLE      001     46637   125   2312
D   COLGATE PALMOLIVE CO           COMMON         194162103    323    4014  SH       OTHER     001      2258  1646    110
D   COLGATE-PALMOLIVE CO           COMMON         194162103    725    9020  SH       DEFINED   002         0  9020      0
D   COLGATE-PALMOLIVE CO           COMMON         194162103   1319   16416  SH       SOLE      002         0     0  16416
D   COMCAST CORP CL A              COMMON         20030N101    326   14836  SH       DEFINED   002         0 14836      0
D   COMCAST CORP NEW               COMMON         20030N101    279   12707  SH       SOLE      001     12197     0    510
D   COMCAST CORP NEW               COMMON         20030N101     21     976  SH       OTHER     001       976     0      0
D   COMCAST CORP NEW               COMMON         20030N200    562   27000  SH       SOLE      001     27000     0      0
D   COMPASS MINERALS INTL INC      COMMON         20451N101    303    3392  SH       SOLE      001       575   350   2467
D   COMPASS MINERALS INTL INC      COMMON         20451N101     53     594  SH       OTHER     001       350   150     94
D   CONOCOPHILLIPS                 COMMON         20825C104  16161  237323  SH       SOLE      001    225287  1513  10523
D   CONOCOPHILLIPS                 COMMON         20825C104    803   11787  SH       OTHER     001     11097   420    270
D   CONOCOPHILLIPS                 COMMON         20825C104    965   14171  SH       DEFINED   002         0 14171      0
D   CONOCOPHILLIPS                 COMMON         20825C104    882   12950  SH       SOLE      002         0   900  12050
D   CONSOLIDATED EDISON INC        COMMON         209115104   2514   50719  SH       SOLE      001     50280     0    439
D   CONSOLIDATED EDISON INC        COMMON         209115104    503   10150  SH       OTHER     001      9950     0    200
D   COOPER INDUSTRIES PLC          SPONSORED ADR  G24140108    413    7087  SH       SOLE      001      4272     0   2815
D   COOPER INDUSTRIES PLC          SPONSORED ADR  G24140108      7     125  SH       OTHER     001         0     0    125
D   CORNING INC                    COMMON         219350105  13409  694031  SH       SOLE      001    675847  7323  10861
D   CORNING INC                    COMMON         219350105    914   47311  SH       OTHER     001     45113  2198      0
D   CORNING INC                    COMMON         219350105    737   38155  SH       DEFINED   002         0 38155      0
D   CORNING INC                    COMMON         219350105    209   10800  SH       SOLE      002         0     0  10800
D   CORPORATE PROPERTY ASSOCIAT    COMMON         22002Y107    171   16000  SH          SOLE   001     16000     0      0
D   COSTCO WHSL CORP NEW           COMMON         22160K105   3861   53461  SH       SOLE      001     49359   682   3420
D   COSTCO WHSL CORP NEW           COMMON         22160K105    264    3661  SH       OTHER     001      3321   200    140
D   COVIDIEN PLC                   SPONSORED ADR  G2554F105    679   14865  SH       SOLE      001     14865     0      0
D   COVIDIEN PLC                   SPONSORED ADR  G2554F105     10     219  SH       OTHER     001       219     0      0
D   CRYSTAL ROCK HOLDINGS INC      COMMON         22940F103     14   20000  SH       DEFINED   002         0 20000      0
D   CSX CORP                       COMMON         126408103   7185  111198  SH       SOLE      001    107406  1360   2432
D   CSX CORP                       COMMON         126408103   1824   28227  SH       OTHER     001     23513   714   4000
D   CSX CORP                       COMMON         126408103   1467   22711  SH       DEFINED   002         0 22711      0
D   CVS CAREMARK CORPORATION       COMMON         126650100  11304  325098  SH       SOLE      001    318785  2119   4194
D   CVS CAREMARK CORPORATION       COMMON         126650100    707   20321  SH       OTHER     001     19330   880    111
D   CVS CORP                       COMMON         126650100    723   20800  SH       DEFINED   002         0 20800      0
D   CVS CORP                       COMMON         126650100    339    9750  SH       SOLE      002         0     0   9750
D   DANAHER CORP DEL               COMMON         235851102   4998  105961  SH       SOLE      001    100569  3984   1408
D   DANAHER CORP DEL               COMMON         235851102    514   10889  SH       OTHER     001      9561  1328      0
D   DARDEN RESTAURANTS INC         COMMON         237194105   1343   28926  SH       SOLE      001     28811     0    115
D   DARDEN RESTAURANTS INC         COMMON         237194105    156    3350  SH       OTHER     001      3350     0      0






                                                             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   DEERE & CO                     COMMON         244199105  12678  152661  SH       SOLE      001    146368   1175  5118
D   DEERE & CO                     COMMON         244199105    662    7972  SH       OTHER     001      7317    425   230
D   DEERE & CO                     COMMON         244199105   3834   46170  SH       DEFINED   002       100  46070     0
D   DEERE & CO                     COMMON         244199105    208    2500  SH       SOLE      002       600      0  1900
D   DELL INC                       COMMON         24702R101    281   20745  SH       SOLE      001     20745      0     0
D   DELL INC                       COMMON         24702R101     23    1732  SH       OTHER     001      1665      0    67
D   DEVON ENERGY CORP              COMMON         25179M103   2177   27725  SH       DEFINED   002       100  27625     0
D   DEVON ENERGY CORP NEW          COMMON         25179M103   5276   67204  SH       SOLE      001     64651      0  2553
D   DEVON ENERGY CORP NEW          COMMON         25179M103     82    1041  SH       OTHER     001       907      2   132
D   DIAGEO P L C                   SPONSORED ADR  25243Q205    658    8856  SH       SOLE      001       781    300  7775
D   DIAGEO P L C                   SPONSORED ADR  25243Q205    161    2160  SH       OTHER     001      1595    225   340
D   DISCOVER FINL SVCS             COMMON         254709108    194   10465  SH       SOLE      001     10465      0     0
D   DISNEY (WALT) CO               COMMON         254687106   1078   28726  SH       DEFINED   002         0  28726     0
D   DISNEY WALT CO                 COMMON         254687106  15110  402835  SH       SOLE      001    386603   3137 13095
D   DISNEY WALT CO                 COMMON         254687106    716   19075  SH       OTHER     001     17137   1047   891
D   DOCUMENT SEC SYS INC           COMMON         25614T101     70   13000  SH       SOLE      001     13000      0     0
D   DOMINION RES INC VA NEW        COMMON         25746U109   2929   68562  SH       SOLE      001     59434      0  9128
D   DOMINION RES INC VA NEW        COMMON         25746U109    290    6799  SH       OTHER     001      5849    420   530
D   DOVER CORP                     COMMON         260003108    255    4361  SH       SOLE      001      4361      0     0
D   DOVER CORP                     COMMON         260003108    473    8090  SH       OTHER     001      6000   2090     0
D   DOW CHEM CO                    COMMON         260543103   3022   88520  SH       SOLE      001     84912      0  3608
D   DOW CHEM CO                    COMMON         260543103    515   15078  SH       OTHER     001     14984      0    94
D   DOW CHEMICAL CO                COMMON         260543103    259    7598  SH       DEFINED   002         0   7598     0
D   DU PONT E I DE NEMOURS & CO    COMMON         263534109  11132  223186  SH       SOLE      001    208909   2090 12187
D   DU PONT E I DE NEMOURS & CO    COMMON         263534109   1627   32615  SH       OTHER     001     31083   1106   426
D   DUKE ENERGY CORP               COMMON         26441C105    108    6046  SH       0         001      5491      0   555
D   DUKE ENERGY CORP               COMMON         26441C105    100    5598  SH       OTHER     001       548   5050     0
D   DUPONT (E.INC.) DE NEMOURS     COMMON         263534109    633   12682  SH       DEFINED   002         0  12682     0
D   E M C CORP MASS                COMMON         268648102  12590  549803  SH       SOLE      001    515389  15908 18506
D   E M C CORP MASS                COMMON         268648102    923   40309  SH       OTHER     001     37453   1985   871
D   EASTMAN CHEMICAL CO            COMMON         277432100    216    2570  SH       DEFINED   002         0   2570     0
D   EATON CORP                     COMMON         278058102    509    5013  SH       SOLE      001      5000      0    13
D   EBAY INC                       COMMON         278642103    203    7298  SH       SOLE      001      4414      0  2884
D   EBAY INC                       COMMON         278642103     62    2225  SH       OTHER     001      2150      0    75
D   ECOLAB INC                     COMMON         278865100    338    6701  SH       SOLE      001      6251      0   450
D   EDWARDS LIFESCIENCES CORP      COMMON         28176E108    285    3520  SH       DEFINED   002         0   3520     0
D   ELAN CORP PLC                  SPONSORED ADR  284131208    480   83808  SH       DEFINED   002         0  83808     0
D   EMC CORP                       COMMON         268648102   3799  165876  SH       DEFINED   002       600 165276     0
D   EMERSON ELEC CO                COMMON         291011104   4967   86882  SH       SOLE      001     86357      0   525
D   EMERSON ELEC CO                COMMON         291011104    586   10237  SH       OTHER     001     10057     80   100
D   EMERSON ELECTRIC CO            COMMON         291011104    460    8045  SH       DEFINED   002         0   8045     0
D   ENCANA CORP                    COMMON         292505104    420   14435  SH       SOLE      001     14435      0     0






                                                             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   ENCANA CORP                        COMMON     292505104      5      165 SH       OTHER     001       165     0      0
D   ENTERPRISE PRODS PARTNERS L        COMMON     293792107    363     8725 SH       SOLE      001      8725     0      0
D   ENTERPRISE PRODS PARTNERS L        COMMON     293792107    198     4767 SH       OTHER     001      4767     0      0
D   EXELON CORP                        COMMON     30161N101   7141   171485 SH       SOLE      001    166740  2480   2265
D   EXELON CORP                        COMMON     30161N101    533    12814 SH       OTHER     001     10803  1911    100
D   EXPRESS SCRIPTS INC                COMMON     302182100   7659   141707 SH       SOLE      001    136579  1862   3266
D   EXPRESS SCRIPTS INC                COMMON     302182100    798    14758 SH       OTHER     001     11290   610   2858
D   EXPRESS SCRIPTS INC                COMMON     302182100    508     9390 SH       DEFINED   002         0  9390      0
D   EXXON MOBIL CORP                   COMMON     30231G102  26620   364058 SH       SOLE      001    347711  5275  11072
D   EXXON MOBIL CORP                   COMMON     30231G102   7841   107231 SH       OTHER     001     89183 10687   7361
D   EXXON MOBIL CORP                   COMMON     30231G102   6011    82207 SH       DEFINED   002         0 82207      0
D   EXXON MOBIL CORP                   COMMON     30231G102   1890    25849 SH       SOLE      002         0     0  25849
D   FASTENAL CO                        COMMON     311900104    198     3305 SH       SOLE      001         0     0   3305
D   FASTENAL CO                        COMMON     311900104     10      170 SH       OTHER     001         0     0    170
D   FEDERAL HOME LN MTG CORP           COMMON     313400624      9    14200 SH       DEFINED   002         0 14200      0
D   FEDEX CORP                         COMMON     31428X106    252     2710 SH       SOLE      001      2710     0      0
D   FEDEX CORPORATION                  COMMON     31428X106    821     8825 SH       DEFINED   002         0  8825      0
D   FIRST BANCORP INC ME               COMMON     31866P102     80     5065 SH       SOLE      001      5065     0      0
D   FIRST BANCORP INC ME               COMMON     31866P102     95     6000 SH       OTHER     001      6000     0      0
D   FIRSTENERGY CORP                   COMMON     337932107    356     9623 SH       SOLE      001      9273   350      0
D   FIRSTENERGY CORP                   COMMON     337932107     89     2389 SH       OTHER     001      2265   124      0
D   FISERV INC                         COMMON     337738108    325     5555 SH       SOLE      001      5555     0      0
D   FISERV INC                         COMMON     337738108      7      120 SH       OTHER     001       120     0      0
D   FMC TECHNOLOGIES INC               COMMON     30249U101    248     2787 SH       SOLE      001       900     0   1887
D   FMC TECHNOLOGIES INC               COMMON     30249U101      4       47 SH       OTHER     001         0     0     47
D   FORTUNE BRANDS INC                 COMMON     349631101    344     5714 SH       SOLE      001      5714     0      0
D   FORTUNE BRANDS INC                 COMMON     349631101     53      880 SH       OTHER     001       880     0      0
D   FREEPORT-MCMORAN CL B              COMMON     35671D857   1094     9108 SH       DEFINED   002       115  8993      0
D   FREEPORT-MCMORAN CL B              COMMON     35671D857    324     2700 SH       SOLE      002         0     0   2700
D   FREEPORT-MCMORAN COPPER & G        COMMON     35671D857    391     3257 SH       SOLE      001      1527     0   1730
D   FREEPORT-MCMORAN COPPER & G        COMMON     35671D857     29      239 SH       OTHER     001       134     0    105
D   FRONTIER COMMUNICATIONS COR        COMMON     35906A108    389    39932 SH       SOLE      001     38931    46    955
D   FRONTIER COMMUNICATIONS COR        COMMON     35906A108    174    17855 SH       OTHER     001     17658    95    102
D   FRONTIER OIL CORP                  COMMON     35914P105    402    22337 SH       SOLE      001     22337     0      0
D   FRONTIER OIL CORP                  COMMON     35914P105     14      800 SH       OTHER     001       800     0      0
D   GANNETT INC                        COMMON     364730101    210    13900 SH       SOLE      001     13900     0      0
D   GENERAL DYNAMICS CORP              COMMON     369550108   5874    82776 SH       SOLE      001     78432  2523   1821
D   GENERAL DYNAMICS CORP              COMMON     369550108    454     6400 SH       OTHER     001      5781   619      0
D   GENERAL ELEC CAP CORP              COMMON     369622519    232     9200 SH       SOLE      001      9200     0      0
D   GENERAL ELEC CAP CORP              COMMON     369622519     40     1600 SH       OTHER     001      1600     0      0
D   GENERAL ELECTRIC CO                COMMON     369604103  18354  1003502 SH       SOLE      001    952285 18761  32456
D   GENERAL ELECTRIC CO                COMMON     369604103   2867   156785 SH       OTHER     001    144912  3360   8513






                                                             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   GENERAL ELECTRIC CO            COMMON         369604103   1965  107446  SH       DEFINED   002         0 1074464     0
D   GENERAL ELECTRIC CO            COMMON         369604103    496   27107  SH       SOLE      002         0    2300 24807
D   GENERAL MILLS INC              COMMON         370334104    495   13920  SH       DEFINED   002         0   13920     0
D   GENERAL MLS INC                COMMON         370334104   7194  202122  SH       SOLE      001    196286    1786  4050
D   GENERAL MLS INC                COMMON         370334104   1115   31321  SH       OTHER     001     29894    1427     0
D   GENUINE PARTS CO               COMMON         372460105  14034  273352  SH       SOLE      001    253635    6195 13522
D   GENUINE PARTS CO               COMMON         372460105    828   16129  SH       OTHER     001     14318    1303   508
D   GILEAD SCIENCES INC            COMMON         375558103   8053  222210  SH       SOLE      001    215679    2395  4136
D   GILEAD SCIENCES INC            COMMON         375558103    459   12662  SH       OTHER     001     11672     990     0
D   GILEAD SCIENCES INC            COMMON         375558103    446   12315  SH       DEFINED   002         0   12315     0
D   GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105    110    2803  SH       SOLE      001      1946       0   857
D   GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105    199    5085  SH       OTHER     001      5085       0     0
D   GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105    504   12850  SH       DEFINED   002         0   12850     0
D   GOLDMAN SACHS GROUP INC        COMMON         38141G104   1472    8753  SH       SOLE      001      8753       0     0
D   GOLDMAN SACHS GROUP INC        COMMON         38141G104     29     174  SH       OTHER     001       174       0     0
D   GOLDMAN SACHS GROUP INC        COMMON         38141G104   1422    8455  SH       DEFINED   002         0    8455     0
D   GOOGLE INC                     COMMON         38259P508   7053   11875  SH       SOLE      001     11418     176   281
D   GOOGLE INC                     COMMON         38259P508    589     991  SH       OTHER     001       915      76     0
D   HALLIBURTON CO                 COMMON         406216101    194    4750  SH       SOLE      001      4750       0     0
D   HALLIBURTON CO                 COMMON         406216101    171    4200  SH       OTHER     001      4200       0     0
D   HALLIBURTON CO                 COMMON         406216101    874   21400  SH       DEFINED   002         0   21400     0
D   HAMPDEN BANCORP INC            COMMON         40867E107    260   22936  SH       SOLE      001     22936       0     0
D   HARRIS CORP DEL                COMMON         413875105    607   13402  SH       SOLE      001     13402       0     0
D   HARRIS CORP DEL                COMMON         413875105     19     429  SH       OTHER     001       345      84     0
D   HCP INC                        COMMON         40414L109    391   10616  SH       SOLE      001         0       0 10616
D   HCP INC                        COMMON         40414L109     15     420  SH       OTHER     001         0       0   420
D   HEALTH CARE REIT INC           COMMON         42217K106    405    8508  SH       SOLE      001         0       0  8508
D   HEALTH CARE REIT INC           COMMON         42217K106     17     350  SH       OTHER     001         0       0   350
D   HEINZ (H.J.) CO                COMMON         423074103    548   11080  SH       DEFINED   002         0   11080     0
D   HEINZ H J CO                   COMMON         423074103    712   14392  SH       SOLE      001      3699       0 10693
D   HEINZ H J CO                   COMMON         423074103    211    4264  SH       OTHER     001      3894       0   370
D   HERSHEY CO                     COMMON         427866108    243    5150  SH       SOLE      001      5150       0     0
D   HERSHEY CO                     COMMON         427866108    405    8600  SH       OTHER     001      8600       0     0
D   HEWLETT PACKARD CO             COMMON         428236103   9059  215182  SH       SOLE      001    207129    2638  5415
D   HEWLETT PACKARD CO             COMMON         428236103   1117   26540  SH       OTHER     001     20783    1366  4391
D   HEWLETT PACKARD CO             COMMON         428236103   3173   75367  SH       DEFINED   002         0   75367     0
D   HEWLETT PACKARD CO             COMMON         428236103    206    4900  SH       SOLE      002         0       0  4900
D   HOME DEPOT INC                 COMMON         437076102  15278  435748  SH       SOLE      001    426036    3382  6330
D   HOME DEPOT INC                 COMMON         437076102   1219   34750  SH       OTHER     001     33402    1348     0
D   HOME DEPOT INC                 COMMON         437076102    822   23446  SH       DEFINED   002         0   23446     0
D   HONEYWELL INTERNATIONAL INC
    COMMON                                        438516106    749   14092  SH       DEFINED   002         0   14092     0
D   HONEYWELL INTL INC             COMMON         438516106   4661   87677  SH       SOLE      001     86872     510   295






                                                             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   HONEYWELL INTL INC             COMMON         438516106    497    9355  SH       OTHER     001      8864   325    166
D   HSBC HLDGS PLC                 SPONSORED ADR  404280406    418    8196  SH       SOLE      001         0     0   8196
D   HSBC HLDGS PLC                 SPONSORED ADR  404280406     17     342  SH       OTHER     001         0     0    342
D   HUBBELL INC                    COMMON         443510201     50     825  SH       SOLE      001       825     0      0
D   HUBBELL INC                    COMMON         443510201    210    3500  SH       OTHER     001      3500     0      0
D   HUBBELL INC CL B               COMMON         443510201    331    5502  SH       DEFINED   002         0  5502      0
D   IDEXX LABS INC                 COMMON         45168D104    511    7383  SH       SOLE      001      7172    25    186
D   IDEXX LABS INC                 COMMON         45168D104    128    1851  SH       OTHER     001      1361   340    150
D   ILLINOIS TOOL WKS INC          COMMON         452308109   2157   40392  SH       SOLE      001     39902   490      0
D   ILLINOIS TOOL WKS INC          COMMON         452308109    272    5091  SH       OTHER     001      4775   316      0
D   ILLINOIS TOOL WORKS INC        COMMON         452308109    278    5200  SH       SOLE      002         0     0   5200
D   INGERSOLL-RAND PLC             COMMON         G47791101    238    5053  SH       DEFINED   002         0  5053      0
D   INTEL CORP                     COMMON         458140100  18072  859354  SH       SOLE      001    822389 10546  26419
D   INTEL CORP                     COMMON         458140100   1573   74800  SH       OTHER     001     61775  4338   8687
D   INTEL CORP                     COMMON         458140100    502   23884  SH       DEFINED   002         0 23884      0
D   INTEL CORP                     COMMON         458140100    223   10625  SH       SOLE      002         0     0  10625
D   INTERNATIONAL BUSINESS MACH    COMMON         459200101   2428   16541  SH       DEFINED   002         0 16541      0
D   INTERNATIONAL BUSINESS MACH    COMMON         459200101   2556   17414  SH       SOLE      002         0     0  17414
D   INTERNATIONAL BUSINESS MACH    COMMON         459200101  14941  101804  SH       SOLE      001     99796   520   1488
D   INTERNATIONAL BUSINESS MACH    COMMON         459200101   3019   20575  SH       OTHER     001     17482  1720   1373
D   INTUIT                         COMMON         461202103    222    4497  SH       SOLE      001         0     0   4497
D   INTUIT                         COMMON         461202103     12     250  SH       OTHER     001         0     0    250
D   ISHARES BARCLAYS 1-3 YR CRE    OTHER          464288646   3390   32506  SH       DEFINED   002         0 32506      0
D   ISHARES BARCLAYS 1-3 YR CRE    OTHER          464288646   1591   15256  SH       SOLE      002         0     0  15256
D   ISHARES BARCLAYS 1-3YR TRS     OTHER          464287457    951   11321  SH       DEFINED   002         0 11321      0
D   ISHARES BARCLAYS 1-3YR TRS     OTHER          464287457    218    2590  SH       SOLE      002         0     0   2590
D   ISHARES BARCLAYS 3-7 YR        OTHER          464288661    925    8071  SH       DEFINED   002         0  8071      0
D   ISHARES BARCLAYS 3-7 YR        OTHER          464288661    446    3886  SH       SOLE      002         0     0   3886
D   ISHARES BARCLAYS 7-10YR        OTHER          464287440    256    2728  SH       DEFINED   002         0  2728      0
D   ISHARES BARCLAYS TIPS BOND     OTHER          464287176   9561   88924  SH       DEFINED   002         0 88924      0
D   ISHARES BARCLAYS TIPS BOND     OTHER          464287176    841    7825  SH       SOLE      002         0   300   7525
D   ISHARES DJ US BASIC MATERIA    OTHER          464287838    419    5410  SH       DEFINED   002         0  5410      0
D   ISHARES GOLD TRUST             OTHER          464285105    615   44210  SH       SOLE      001     44210     0      0
D   ISHARES GOLD TRUST             OTHER          464285105    138    9900  SH       OTHER     001      9900     0      0
D   ISHARES INC MSCI BRAZIL IND    OTHER          464286400    296    3826  SH       DEFINED   002         0  3826      0
D   ISHARES MSCI EAFE INDEX        OTHER          464287465    677   11623  SH       DEFINED   002         0 11623      0
D   ISHARES MSCI EMERG MKT INDE    OTHER          464287234    846   17762  SH       DEFINED   002         0 17762      0
D   ISHARES MSCI EMERG MKT INDE    OTHER          464287234    248    5207  SH       SOLE      002         0     0   5207
D   ISHARES MSCI PAC EXJAPAN       OTHER          464286665    225    4797  SH       DEFINED   002         0  4797      0
D   ISHARES NASDAQ BIOTECH INDE    OTHER          464287556    467    5000  SH       DEFINED   002         0  5000      0
D   ISHARES RUSSELL 1000 GROWTH    OTHER          464287614    327    5715  SH       DEFINED   002         0  5715      0
D   ISHARES RUSSELL 1000 INDEX     OTHER          464287622    828   11854  SH       DEFINED   002         0 11854      0






                                                             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   ISHARES RUSSELL 2000 INDEX         OTHER      464287655    932   11910  SH       DEFINED   002         0 11910      0
D   ISHARES RUSSELL MIDCAP INDE        OTHER      464287499   2013   19780  SH       DEFINED   002         0 19780      0
D   ISHARES RUSSELL MIDCAP INDE        OTHER      464287499    214    2102  SH       SOLE      002         0     0   2102
D   ISHARES S&P 500 GROWTH INDE        OTHER      464287309   1536   23398  SH       DEFINED   002         0 23398      0
D   ISHARES S&P 500 INDEX              OTHER      464287200   1469   11632  SH       DEFINED   002         0 11632      0
D   ISHARES S&P 500 VALUE INDEX        OTHER      464287408   1333   22375  SH       DEFINED   002         0 22375      0
D   ISHARES S&P GLBL ENERGY            OTHER      464287341    500   12811  SH       DEFINED   002         0 12811      0
D   ISHARES S&P GLBL HEALTHCARE        OTHER      464287325    512    9898  SH       DEFINED   002         0  9898      0
D   ISHARES S&P LATIN AMERICA          OTHER      464287390    369    6850  SH       DEFINED   002         0  6850      0
D   ISHARES S&P MIDCAP 400             OTHER      464287507    244    2694  SH       DEFINED   002         0  2694      0
D   ISHARES S&P MIDCAP 400 GR          OTHER      464287606    304    3020  SH       DEFINED   002         0  3020      0
D   ISHARES TR DJ US BAS MATL          OTHER      464287838   1074   13860  SH       SOLE      001     13860     0      0
D   ISHARES TR DJ US BAS MATL          OTHER      464287838     12     150  SH       OTHER     001       150     0      0
D   ISHARES TR DJ US HEALTHCARE        OTHER      464287762    266    4075  SH       SOLE      001      4075     0      0
D   ISHARES TR DJ US OIL & GAS         OTHER      464288851   1213   19003  SH       DEFINED   002         0 19003      0
D   ISHARES TR DJ US OIL & GAS         OTHER      464288851    361    5650  SH       SOLE      002         0     0   5650
D   ISHARES TR RUSSELL 3000            OTHER      464287689    583    7785  SH       OTHER     001         0  6643   1142
D   ISHARES TR S&P GBL HLTHCR          OTHER      464287325    251    4840  SH       SOLE      001      4490     0    350
D   ISHARES TR S&P GBL HLTHCR          OTHER      464287325      6     125  SH       OTHER     001       125     0      0
D   ISHARES VANGUARD SMALLCAP          COMMON     922908751   1185   16320  SH       DEFINED   002         0 16320      0
D   ITT CORP NEW                       COMMON     450911102   3677   70555  SH       SOLE      001     68244  1118   1193
D   ITT CORP NEW                       COMMON     450911102    222    4269  SH       OTHER     001      3542   727      0
D   JOHNSON& JOHNSON                   COMMON     478160104  23307  376838  SH       SOLE      001    359555  7083  10200
D   JOHNSON& JOHNSON                   COMMON     478160104   3841   62103  SH       OTHER     001     55475  1878   4750
D   JOHNSON& JOHNSON                   COMMON     478160104   3306   53455  SH       DEFINED   002         0 53455      0
D   JOHNSON& JOHNSON INC               COMMON     478160104   1937   31317  SH       SOLE      002         0     0  31317
D   JOHNSON CONTROLS INC               COMMON     478366107    223    5850  SH       DEFINED   002         0  5850      0
D   JOHNSON CTLS INC                   COMMON     478366107    553   14472  SH       SOLE      001      5400     0   9072
D   JOHNSON CTLS INC                   COMMON     478366107    118    3078  SH       OTHER     001      2700     0    378
D   JPMORGAN CHASE & CO                COMMON     46625H100  15037  354491  SH       SOLE      001    339221  5685   9585
D   JPMORGAN CHASE & CO                COMMON     46625H100   2399   56559  SH       OTHER     001     54039  2201    319
D   JPMORGAN CHASE & CO.               COMMON     46625H100   3157   74424  SH       DEFINED   002         0 74424      0
D   JPMORGAN CHASE & CO.               COMMON     46625H100    404    9518  SH       SOLE      002         0  1300   8218
D   JPMORGAN TR II                     COMMON     4812C0357    391   34097  SH       DEFINED   002         0 34097      0
D   JUNIPER NETWORKS INC               COMMON     48203R104    232    6295  SH       SOLE      001         0     0   6295
D   JUNIPER NETWORKS INC               COMMON     48203R104     12     320  SH       OTHER     001         0     0    320
D   KELLOGG CO                         COMMON     487836108    370    7243  SH       SOLE      001      7208    35      0
D   KELLOGG CO                         COMMON     487836108    139    2718  SH       OTHER     001      2618     0    100
D   KIMBERLY CLARK CORP                COMMON     494368103   3645   57818  SH       SOLE      001     50159     0   7659
D   KIMBERLY CLARK CORP                COMMON     494368103    576    9139  SH       OTHER     001      8769     0    370
D   KIMBERLY-CLARK CORP                COMMON     494368103    271    4300  SH       DEFINED   002         0  4300      0
D   KIMCO RLTY CORP                    COMMON     49446R109    271   15000  SH       SOLE      001     15000     0      0






                                                              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   KINDER MORGAN ENERGY PARTNE    COMMON          494550106    370    5260  SH       SOLE      001      5260     0       0
D   KINDER MORGAN ENERGY PARTNE    COMMON          494550106    133    1900  SH       OTHER     001      1900     0       0
D   KINDER MORGAN ENERGY PARTNE    COMMON          494550106    434    6173  SH       DEFINED   002         0  6173       0
D   KINDER MORGAN MANAGEMENT LL    COMMON          49455U100    232    3470  SH       OTHER     001      3470     0       0
D   KOHLS CORP                     COMMON          500255104    234    4300  SH       DEFINED   002         0  4300       0
D   KRAFT FOODS INC                COMMON          50075N104   1191   37782  SH       SOLE      001     12908     0   24874
D   KRAFT FOODS INC                COMMON          50075N104    364   11566  SH       OTHER     001     10322     0    1244
D   KRAFT FOODS INC                COMMON          50075N104    222    7039  SH       DEFINED   002         0  7039       0
D   L-3 COMMUNICATIONS HLDGS       COMMON          502424104    243    3450  SH       DEFINED   002         0  3450       0
D   LABORATORY CORP AMER HLDGS     COMMON          50540R409   3256   37039  SH       SOLE      001     35600   775     664
D   LABORATORY CORP AMER HLDGS     COMMON          50540R409    308    3500  SH       OTHER     001      3076   424       0
D   LEGACY RESERVES LP             COMMON          524707304    230    8000  SH       SOLE      001      8000     0       0
D   LEGACY RESERVES LP             COMMON          524707304     11     400  SH       OTHER     001       400     0       0
D   LIFE TECHNOLOGIES CORP         COMMON          53217V109     70    1260  SH       SOLE      001      1260     0       0
D   LIFE TECHNOLOGIES CORP         COMMON          53217V109    355    6400  SH       OTHER     001      6400     0       0
D   LILLY ELI & CO                 COMMON          532457108   1472   41996  SH       SOLE      001     29512     0   12484
D   LILLY ELI & CO                 COMMON          532457108    160    4563  SH       OTHER     001      3920   111     532
D   LINN ENERGY LLC                COMMON          536020100   1009   26914  SH       SOLE      001     26914     0       0
D   LINN ENERGY LLC                COMMON          536020100    514   13712  SH       OTHER     001     13475   237       0
D   LOCKHEED MARTIN CORP           COMMON          539830109    652    9331  SH       SOLE      001      9270    45      16
D   LOCKHEED MARTIN CORP           COMMON          539830109     52     747  SH       OTHER     001       681     0      66
D   LOWES COMPANIES                COMMON          548661107    450   17943  SH       DEFINED   002         0 17943       0
D   LOWES COS INC                  COMMON          548661107   1205   48045  SH       SOLE      001     46405  1375     265
D   LOWES COS INC                  COMMON          548661107    217    8661  SH       OTHER     001      7945   650      66
D   MACDERMID HOLDINGS LLC         COMMON          99Z161772    248  247851  SH       SOLE      002         0     0  247851
D   MACDERMID HOLDINGS LLC PFD     PREFERRED STOCK 99Z161780   1684    1684  SH       SOLE      002         0     0    1684
D   MARATHON OIL CORP              COMMON          565849106    266    7192  SH       SOLE      001      6875     0     317
D   MARATHON OIL CORP              COMMON          565849106     83    2230  SH       OTHER     001      2230     0       0
D   MARATHON OIL CORP              COMMON          565849106    980   26468  SH       DEFINED   002         0 26468       0
D   MARKET VECTORS GLOBAL AGR      COMMON          57060U605    695   12987  SH       DEFINED   002         0 12987       0
D   MARSH & MCLENNAN COS INC       COMMON          571748102    295   10800  SH       SOLE      001     10800     0       0
D   MASTERCARD INC                 COMMON          57636Q104    297    1325  SH       DEFINED   002         0  1325       0
D   MATTEL INC                     COMMON          577081102    280   11000  SH       SOLE      001     11000     0       0
D   MCCORMICK & CO INC             COMMON          579780206   2991   64281  SH       SOLE      001     64061     0     220
D   MCCORMICK & CO INC             COMMON          579780206    173    3723  SH       OTHER     001      3723     0       0
D   MCDONALDS CORP                 COMMON          580135101  13490  175742  SH       SOLE      001    164729  4389    6624
D   MCDONALDS CORP                 COMMON          580135101   1401   18250  SH       OTHER     001     15098   919    2233
D   MCDONALDS CORP                 COMMON          580135101   2224   28978  SH       DEFINED   002         0 28978       0
D   MCDONALDS CORP                 COMMON          580135101    359    4671  SH       SOLE      002       375     0    4296
D   MEDCO HEALTH SOLUTIONS INC     COMMON          58405U102    262    4278  SH       SOLE      001      4278     0       0
D   MEDCO HEALTH SOLUTIONS INC     COMMON          58405U102    147    2392  SH       OTHER     001      2392     0       0
D   MEDCO HEALTH SOLUTIONS INC     COMMON          58405U102    563    9188  SH       DEFINED   002         0  9188       0






                                                             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   MEDCO HEALTH SOLUTIONS INC     COMMON         58405U102    337     5506  SH      SOLE      002         0       0  5506
D   MEDTRONIC INC                  COMMON         585055106   2865    77234  SH      SOLE      001     76424     810     0
D   MEDTRONIC INC                  COMMON         585055106    202     5445  SH      OTHER     001      4975     470     0
D   MEDTRONIC INC                  COMMON         585055106    569    15350  SH      DEFINED   002         0   15350     0
D   MEDTRONIC INC                  COMMON         585055AL0   4900  4900000 PRN      DEFINED   002         0 4900000     0
D   MERCHANTS BANCSHARES           COMMON         588448100    237     8596  SH      SOLE      001      8596       0     0
D   MERCK & CO INC NEW             COMMON         58933Y105   2009    55753  SH      SOLE      001     55063     260   430
D   MERCK & CO INC NEW             COMMON         58933Y105    869    24118  SH      OTHER     001     22714     904   500
D   METLIFE INC                    COMMON         59156R108   6150   138379  SH      SOLE      001    138341       0    78
D   METLIFE INC                    COMMON         59156R108    562    12635  SH      OTHER     001     12595       0     0
D   METLIFE INC                    COMMON         59156R108    499    11220  SH      DEFINED   002         0   11220     0
D   METLIFE INC 5.875              COMMON         59156R405    277    10900  SH      DEFINED   002         0   10900     0
D   MICROSOFT CORP                 COMMON         594918104  18655   668387  SH      SOLE      001    639131    9506 19750
D   MICROSOFT CORP                 COMMON         594918104   1472    52736  SH      OTHER     001     47708    3671  1357
D   MICROSOFT CORP                 COMMON         594918104   1216    43577  SH      DEFINED   002         0   43577     0
D   MICROSOFT CORP                 COMMON         594918104    534    19149  SH      SOLE      002         0       0 19149
D   MONSANTO CO                    COMMON         61166W101    869    12480  SH      DEFINED   002         0   12480     0
D   MONSANTO CO                    COMMON         61166W101    362     5194  SH      SOLE      002         0    1000  4194
D   MONSANTO CO NEW                COMMON         61166W101    371     5328  SH      SOLE      001      5165       0   163
D   MONSANTO CO NEW                COMMON         61166W101    322     4621  SH      OTHER     001      4511     110     0
D   MORGAN STANLEY                 COMMON         617446448    804    29546  SH      SOLE      001     29546       0     0
D   MORGAN STANLEY                 COMMON         617446448      5      200  SH      OTHER     001       200       0     0
D   NABORS INDUSTRIES LTD          SPONSORED ADR  G6359F103    207     8815  SH      SOLE      001         0       0  8815
D   NABORS INDUSTRIES LTD          SPONSORED ADR  G6359F103      7      300  SH      OTHER     001         0       0   300
D   NASDAQ OMX GROUP INC           COMMON         631103108     36     1500  SH      SOLE      002      1500       0     0
D   NATIONAL FUEL GAS CO N J       COMMON         636180101    296     4516  SH      SOLE      001      1930       0  2586
D   NATIONAL FUEL GAS CO N J       COMMON         636180101     18      267  SH      OTHER     001       200       0    67
D   NAUGATUCK VY FINL CORP         COMMON         639067107    131    19480  SH      SOLE      002         0       0 19480
D   NESTLE S A                     SPONSORED ADR  641069406    927    15787  SH      SOLE      001     10498       0  5289
D   NESTLE S A                     SPONSORED ADR  641069406     68     1162  SH      OTHER     001       887       0   275
D   NEWALLIANCE BANCSHARES IN      COMMON         650203102    756    50500  SH      DEFINED   002         0   50500     0
D   NEXTERA ENERGY INC             COMMON         65339F101   6612   127175  SH      SOLE      001    114775    1594 10806
D   NEXTERA ENERGY INC             COMMON         65339F101    630    12110  SH      OTHER     001     10914     861   335
D   NEXTERA ENERGY INC             COMMON         65339F101    470     9038  SH      DEFINED   002         0    9038     0
D   NIKE INC CLASS B               COMMON         654106103    248     2900  SH      DEFINED   002         0    2900     0
D   NOBLE CORPORATION              COMMON         H5833N103    237     6635  SH      SOLE      001       285       0  6350
D   NOBLE CORPORATION              COMMON         H5833N103     10      290  SH      OTHER     001         0       0   290
D   NOBLE CORPORATION              COMMON         H5833N103   1670    46700  SH      DEFINED   002         0   46700     0
D   NOKIA CORP                     SPONSORED ADR  654902204   1178   114123  SH      SOLE      001     90696       0 23427
D   NOKIA CORP                     SPONSORED ADR  654902204     70     6785  SH      OTHER     001      5667     288   830
D   NOKIA CORP SPONS               SPONSORED ADR  654902204    237    22991  SH      DEFINED   002         0   22991     0
D   NORFOLK & SOUTHERN CORP        COMMON         655844108   1210    19269  SH      SOLE      002         0       0 19269






                                                             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   NORFOLK SOUTHERN CORP          COMMON         655844108     50     800  SH       SOLE      001       800     0      0
D   NORFOLK SOUTHERN CORP          COMMON         655844108    906   14423  SH       OTHER     001     13745     0    678
D   NORWOOD RES LTD                SPONSORED ADR  669958100      1   31470  SH       SOLE      001     31470     0      0
D   NOVARTIS A G                   SPONSORED ADR  66987V109   2459   41708  SH       SOLE      001     39418   600   1690
D   NOVARTIS A G                   SPONSORED ADR  66987V109    210    3569  SH       OTHER     001      3075   419     75
D   OCCIDENTAL PETE CORP DEL       COMMON         674599105   9006   91807  SH       SOLE      001     84567  1365   5875
D   OCCIDENTAL PETE CORP DEL       COMMON         674599105    657    6695  SH       OTHER     001      6070   482    143
D   OCCIDENTAL PETEROLEUM CORP     COMMON         674599105   7054   71905  SH       DEFINED   002        50 71855      0
D   OMNICOM GROUP INC              COMMON         681919106   6394  139616  SH       SOLE      001    129218  2440   7958
D   OMNICOM GROUP INC              COMMON         681919106    495   10800  SH       OTHER     001      8548   957   1295
D   OPPENHEIMER DEVELOPING MK      COMMON         683974109    745   20433  SH       DEFINED   002         0 20433      0
D   ORACLE CORP                    COMMON         68389X105   1770   56549  SH       SOLE      001     56349     0    200
D   ORACLE CORP                    COMMON         68389X105    525   16766  SH       OTHER     001     16566     0    200
D   ORACLE CORP                    COMMON         68389X105   1296   41398  SH       DEFINED   002         0 41398      0
D   ORACLE CORP                    COMMON         68389X105    261    8330  SH       SOLE      002         0     0   8330
D   PARKER HANNIFIN CORP           COMMON         701094104    349    4045  SH       DEFINED   002         0  4045      0
D   PATTERSON COMPANIES INC        COMMON         703395103   1540   50292  SH       SOLE      001     50292     0      0
D   PATTERSON COMPANIES INC        COMMON         703395103     31    1025  SH       OTHER     001      1025     0      0
D   PAYCHEX INC                    COMMON         704326107     95    3079  SH       0         001      2689     0    390
D   PAYCHEX INC                    COMMON         704326107    120    3865  SH       OTHER     001       490  3375      0
D   PEABODY ENERGY CORP            COMMON         704549104    226    3532  SH       SOLE      001       280     0   3252
D   PEABODY ENERGY CORP            COMMON         704549104    105    1634  SH       OTHER     001       350     0   1284
D   PEABODY ENERGY CORP.           COMMON         704549104    419    6552  SH       DEFINED   002         0  6552      0
D   PENGROWTH ENERGY TR            COMMON         706902509     51    4000  SH       SOLE      001      4000     0      0
D   PENGROWTH ENERGY TR            COMMON         706902509     77    6000  SH       OTHER     001      6000     0      0
D   PEOPLES UNITED FINANCIAL IN    COMMON         712704105    882   62966  SH       DEFINED   002         0 62966      0
D   PEPSICO INC                    COMMON         713448108  10290  157511  SH       SOLE      001    153388  2310   1813
D   PEPSICO INC                    COMMON         713448108   1379   21109  SH       OTHER     001     16735  1036   3338
D   PEPSICO INC                    COMMON         713448108   1672   25590  SH       DEFINED   002         0 25590      0
D   PEPSICO INC                    COMMON         713448108    335    5125  SH       SOLE      002         0     0   5125
D   PETROCHINA CO LTD              SPONSORED ADR  71646E100    197    1500  SH       SOLE      001         0     0   1500
D   PETROCHINA CO LTD              SPONSORED ADR  71646E100     12      90  SH       OTHER     001         0     0     90
D   PETROLEO BRASILEIRO SA PE      SPONSORED ADR  71654V408    227    6000  SH       DEFINED   002         0  6000      0
D   PFIZER INC                     COMMON         717081103  10220  583656  SH       SOLE      001    550033  4966  28657
D   PFIZER INC                     COMMON         717081103   1373   78447  SH       OTHER     001     76529  1768    150
D   PFIZER INC                     COMMON         717081103   1124   64190  SH       DEFINED   002         0 64190      0
D   PFIZER INC                     COMMON         717081103    802   45802  SH       SOLE      002         0  1800  44002
D   PHILIP MORRIS INTL INC         COMMON         718172109   3184   54406  SH       SOLE      001     40992   374  13040
D   PHILIP MORRIS INTL INC         COMMON         718172109   1152   19683  SH       OTHER     001     18850    30    803
D   PHILIP MORRIS INTL INC         COMMON         718172109    533    9112  SH       DEFINED   002         0  9112      0
D   PHOENIX COMPANIES INC          COMMON         71902E109     28   11000  SH       DEFINED   002         0 11000      0
D   PITNEY BOWES INC               COMMON         724479100    204    8445  SH       SOLE      001      8230     0    215






                                                             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   PITNEY BOWES INC               0              724479100      9     355  SH       OTHER     001       355     0      0
D   PLUM CREEK TIMBER CO INC       COMMON         729251108    944   25198  SH       SOLE      001     25198     0      0
D   PLUM CREEK TIMBER CO INC       COMMON         729251108    130    3480  SH       OTHER     001      3374   106      0
D   PLUM CREEK TIMBER CO-REIT      COMMON         729251108    210    5600  SH       SOLE      002         0     0   5600
D   POTASH CORP SASK INC           COMMON         73755L107    279    1800  SH       SOLE      001         0     0   1800
D   POTASH CORP SASK INC           COMMON         73755L107     14      90  SH       OTHER     001         0     0     90
D   POWERSHARES DB BASE METALS     COMMON         73936B705    215    8785  SH       DEFINED   002         0  8785      0
D   POWERSHARES ETF TRUST WTR R    COMMON         73935X575    305   16050  SH       SOLE      001     16050     0      0
D   POWERSHARES ETF TRUST WTR R    COMMON         73935X575      6     325  SH       OTHER     001         0   325      0
D   POWERSHARES QQQ(TM)            COMMON         73935A104    388    7124  SH       DEFINED   002         0  7124      0
D   PRAXAIR INC                    COMMON         74005P104   1957   20498  SH       SOLE      001     17054  1017   2427
D   PRAXAIR INC                    COMMON         74005P104    479    5013  SH       OTHER     001      4373   520    120
D   PRICE T ROWE GROUP INC         COMMON         74144T108   1579   24467  SH       SOLE      001     20360   165   3942
D   PRICE T ROWE GROUP INC         COMMON         74144T108    202    3125  SH       OTHER     001      2244   566    315
D   PROCTER & GAMBLE CO            COMMON         742718109  11652  181140  SH       SOLE      001    177047  3701    392
D   PROCTER & GAMBLE CO            COMMON         742718109   2258   35109  SH       OTHER     001     33810   560    739
D   PROCTER & GAMBLE CO            COMMON         742718109   1232   19159  SH       DEFINED   002         0 19159      0
D   PROCTER & GAMBLE CO            COMMON         742718109   1556   24184  SH       SOLE      002         0     0  24184
D   PROGRESS ENERGY INC            COMMON         743263105   2131   49008  SH       SOLE      001     47470   400   1138
D   PROGRESS ENERGY INC            COMMON         743263105    179    4134  SH       OTHER     001      4035    99      0
D   PROVIDENT ENERGY TR            COMMON         74386K104      4     500  SH       SOLE      001       500     0      0
D   PROVIDENT ENERGY TR            COMMON         74386K104    121   15247  SH       OTHER     001     15247     0      0
D   PRUDENTIAL FINANCIAL INC       COMMON         744320102    332    5658  SH       DEFINED   002         0  5658      0
D   PRUDENTIAL FINL INC            COMMON         744320102   7353  125238  SH       SOLE      001    119268  2123   3847
D   PRUDENTIAL FINL INC            COMMON         744320102    511    8711  SH       OTHER     001      7970   741      0
D   PUBLIC SVC ENTERPRISE GROUP    COMMON         744573106    154    4853  SH       SOLE      001      4853     0      0
D   PUBLIC SVC ENTERPRISE GROUP    COMMON         744573106     81    2549  SH       OTHER     001      2549     0      0
D   QUALCOMM INC                   COMMON         747525103    961   19416  SH       SOLE      001     15228     0   4188
D   QUALCOMM INC                   COMMON         747525103     34     695  SH       OTHER     001       480     0    215
D   RAYTHEON CO                    COMMON         755111507      9     185  SH       SOLE      001       185     0      0
D   RAYTHEON CO                    COMMON         755111507    192    4150  SH       OTHER     001      3200   450    500
D                                  PREFERRED
    RBS CAPITAL FND TRUST VII      STOCK          74928P207    167   13000  SH       DEFINED   002         0 13000      0
D   RESEARCH IN MOTION LTD         SPONSORED ADR  760975102   9623  165541  SH       SOLE      001    161014  1530   2997
D   RESEARCH IN MOTION LTD         SPONSORED ADR  760975102    411    7077  SH       OTHER     001      6351   726      0
D   RIO TINTO PLC                  SPONSORED ADR  767204100    286    3985  SH       SOLE      001         0     0   3985
D   RIO TINTO PLC                  SPONSORED ADR  767204100    156    2180  SH       OTHER     001      2000     0    180
D   ROYAL DUTCH SHELL PLC          SPONSORED ADR  780259206   1761   26374  SH       SOLE      001     25238     0   1136
D   ROYAL DUTCH SHELL PLC          SPONSORED ADR  780259206    552    8271  SH       OTHER     001      8070    71    130
D   ROYCE VALUE TRUST INC          COMMON         780910105    499   34342  SH       DEFINED   002         0 34342      0
D   RYDEX S&P MIDCAP 400 PURE G    COMMON         78355W601    294    3750  SH       DEFINED   002         0  3750      0
D   SCHLUMBERGER LTD               SPONSORED ADR  806857108  12239  146570  SH       SOLE      001    134718  2592   9260
D   SCHLUMBERGER LTD               SPONSORED ADR  806857108   1579   18905  SH       OTHER     001     13840   660   4405






                                                             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                                    SPONSORED
    SCHLUMBERGER LTD                 ADR          806857108   756     9050  SH       DEFINED   002         0  9050      0
D                                    SPONSORED
    SCHLUMBERGER LTD                 ADR          806857108   250     3000  SH       SOLE      002         0   800   2200
D   SCHWAB CHARLES CORP NEW          COMMON       808513105   202    11818  SH       SOLE      001     11818     0      0
D   SCHWAB CHARLES CORP NEW          COMMON       808513105    15      850  SH       OTHER     001       850     0      0
D   SELECT SECTOR FINANCIAL SPD      OTHER        81369Y605   310    19450  SH       DEFINED   002         0 19450      0
D   SELECT SECTOR SPDR TR SBI H      OTHER        81369Y209   322    10210  SH       SOLE      001     10210     0      0
D   SELECT SECTOR SPDR TR SBI H      OTHER        81369Y209    32     1000  SH       OTHER     001      1000     0      0
D   SELECT SECTOR SPDR TR SBI I      OTHER        81369Y506  1113    16307  SH       SOLE      001     16307     0      0
D   SELECT SECTOR SPDR TR SBI I      OTHER        81369Y506    22      320  SH       OTHER     001         0   320      0
D   SELECT SECTOR SPDR TR SBI I      OTHER        81369Y803   260    10321  SH       SOLE      001     10321     0      0
D   SELECT SECTOR SPDR TR SBI I      OTHER        81369Y803    30     1200  SH       OTHER     001      1200     0      0
D   SELECT SECTOR SPDR TR SBI I      OTHER        81369Y886  1371    43750  SH       SOLE      001     43750     0      0
D   SELECT SECTOR SPDR TR SBI I      OTHER        81369Y886     9      295  SH       OTHER     001       295     0      0
D   SELECT SECTOR SPDR TR SBI M      OTHER        81369Y100   466    12130  SH       SOLE      001     12130     0      0
D   SELECT SECTOR SPDR TR SBI M      OTHER        81369Y100    54     1400  SH       OTHER     001      1400     0      0
D   SEMPRA ENERGY                    COMMON       816851109   332     6318  SH       DEFINED   002         0  6318      0
D   SHERWIN WILLIAMS CO              COMMON       824348106   419     5002  SH       SOLE      001      4985     0     17
D   SIGMA-ALDRICH CORP               COMMON       826552101   266     4000  SH       DEFINED   002         0  4000      0
D   SIGMA-ALDRICH CORP               COMMON       826552101   794    11924  SH       SOLE      002         0     0  11924
D   SMUCKER J M CO                   COMMON       832696405   334     5081  SH       SOLE      001      2034     0   3047
D   SMUCKER J M CO                   COMMON       832696405    19      286  SH       OTHER     001       100     0    186
D   SOUTHERN CO                      COMMON       842587107  2540    66433  SH       SOLE      001     64548   400   1485
D   SOUTHERN CO                      COMMON       842587107   772    20183  SH       OTHER     001     20050     0    133
D   SPDR GOLD TRUST                  OTHER        78463V107  2935    21155  SH       DEFINED   002         0 21155      0
D   SPDR METALS & MINING ETF         COMMON       78464A755  1035    15045  SH       DEFINED   002         0 15045      0
D   SPDR SER TRST MS TECHNOLOGY      OTHER        78464A102  1274    19283  SH       DEFINED   002         0 19283      0
D   SPDR SER TRST MS TECHNOLOGY      OTHER        78464A102   207     3126  SH       SOLE      002         0     0   3126
D   SPECTRA ENERGY CORP              COMMON       847560109   930    37221  SH       SOLE      001     37221     0      0
D   SPECTRA ENERGY CORP              COMMON       847560109    14      550  SH       OTHER     001       550     0      0
D   SPECTRA ENERGY CORP              COMMON       847560109   292    11679  SH       DEFINED   002         0 11679      0
D   STANLEY BLACK & DECKER INC       COMMON       854502101   824    12320  SH       SOLE      001     12320     0      0
D   STANLEY BLACK & DECKER INC       COMMON       854502101    67     1000  SH       OTHER     001      1000     0      0
D   STANLEY BLACK & DECKER INC       COMMON       854502101   524     7837  SH       DEFINED   002         0  7837      0
D   STAPLES INC                      COMMON       855030102  4679   205498  SH       SOLE      001    203591   137   1770
D   STAPLES INC                      COMMON       855030102   473    20789  SH       OTHER     001     18810  1597    382
D   STAPLES INC                      COMMON       855030102   351    15433  SH       DEFINED   002         0 15433      0
D   STARBUCKS CORP                   COMMON       855244109   222     6900  SH       SOLE      001       800     0   6100
D   STARBUCKS CORP                   COMMON       855244109    10      310  SH       OTHER     001         0     0    310
D   STATE STR CORP                   COMMON       857477103  4674   100864  SH       SOLE      001    100125   275    464
D   STATE STR CORP                   COMMON       857477103   336     7241  SH       OTHER     001      7241     0      0
D   STATE STREET CORP                COMMON       857477103  2791    60223  SH       DEFINED   002         0 60223      0
D   STRYKER CORP                     COMMON       863667101  5058    94196  SH       SOLE      001     93649    52    495






                                                             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   STRYKER CORP                     COMMON       863667101   467      8690  SH      OTHER     001      8555     135     0
D   SUNCOR ENERGY INC NEW            COMMON       867224107  1055     27540  SH      SOLE      001     21045       0  6495
D   SUNCOR ENERGY INC NEW            COMMON       867224107    35       910  SH      OTHER     001       850       0    60
D   SYSCO CORP                       COMMON       871829107  1982     67406  SH      SOLE      001     63449    1900  2057
D   SYSCO CORP                       COMMON       871829107   126      4284  SH      OTHER     001      3862     322   100
D   SYSCO CORP                       COMMON       871829107   726     24700  SH      DEFINED   002         0   24700     0
D   SYSCO CORP                       COMMON       871829107   237      8050  SH      SOLE      002         0       0  8050
D   T ROWE PRICE TAX FREE INC        COMMON       779576107   175     18355  SH      DEFINED   002         0   18355     0
D   T ROWE PRICE TAX FREE SHT        COMMON       779902105   405     73057  SH      DEFINED   002         0   73057     0
D   T ROWE PRICE TAX FREE SHT        COMMON       779902105   116     21021  SH      SOLE      002         0       0 21021
D   TARGET CORP                      COMMON       87612E106  6134    102004  SH      SOLE      001    101024     730   250
D   TARGET CORP                      COMMON       87612E106   535      8890  SH      OTHER     001      8368     405   117
D                                    SPONSORED
    TENARIS S A                      ADR          88031M109   307      6274  SH      SOLE      001         0       0  6274
D                                    SPONSORED
    TENARIS S A                      ADR          88031M109    14       277  SH      OTHER     001         0       0   277
D                                    SPONSORED
    TEVA PHARMACEUTICAL INDS LT      ADR          881624209  8655    166036  SH      SOLE      001    160507    2191  3338
D                                    SPONSORED
    TEVA PHARMACEUTICAL INDS LT      ADR          881624209   627     12031  SH      OTHER     001     11128     670   233
D   TEXAS INSTRS INC                 COMMON       882508104  1056     32506  SH      SOLE      001     32506       0     0
D   TEXAS INSTRS INC                 COMMON       882508104   115      3537  SH      OTHER     001      2537    1000     0
D   TEXAS INSTRUMENTS INC            COMMON       882508104   959     29510  SH      DEFINED   002         0   29510     0
D   THERMO ELECTRON CORP             COMMON       883556102   255      4600  SH      SOLE      002         0       0  4600
D   THERMO FISHER SCIENTIFIC IN      COMMON       883556102   526      9505  SH      SOLE      001      9306      35   164
D   THERMO FISHER SCIENTIFIC IN      COMMON       883556102     4        65  SH      OTHER     001        65       0     0
D   TIDEWATER INC                    COMMON       886423102  3865     71795  SH      SOLE      001     71795       0     0
D   TIDEWATER INC                    COMMON       886423102    16       300  SH      OTHER     001       300       0     0
D   TJX COS INC NEW                  COMMON       872540109   252      5675  SH      SOLE      001      1800       0  3875
D   TJX COS INC NEW                  COMMON       872540109     9       200  SH      OTHER     001         0       0   200
D                                    SPONSORED
    TORONTO-DOMINION BANK            ADR          891160509   256      3448  SH      DEFINED   002         0    3448     0
D   TORTOISE MLP FD INC              COMMON       89148B101   256     10572  SH      SOLE      001     10572       0     0
D                                    CONV BD
    TRANSOCEAN INC                   1.5 & 12     893830AV1  4019   4080000 PRN      DEFINED   002         0 4080000     0
D                                    SPONSORED
    TRANSOCEAN LTD                   ADR          H8817H100   259      3733  SH      SOLE      001       259       0  3474
D                                    SPONSORED
    TRANSOCEAN LTD                   ADR          H8817H100    19       278  SH      OTHER     001       123       0   155
D                                    SPONSORED
    TRANSOCEAN LTD                   ADR          H8817H100   763     10971  SH      DEFINED   002         0   10971     0
D   TRAVELERS COMPANIES INC          COMMON       89417E109   300      5385  SH      SOLE      001       100       0  5285
D   TRAVELERS COMPANIES INC          COMMON       89417E109     9       170  SH      OTHER     001         0       0   170
D                                    SPONSORED
    TYCO ELECTRONICS LTD SWITZE      ADR          H8912P106   526     14865  SH      SOLE      001     14865       0     0
D                                    SPONSORED
    TYCO ELECTRONICS LTD SWITZE      ADR          H8912P106     8       219  SH      OTHER     001       219       0     0
D                                    SPONSORED
    TYCO INTERNATIONAL LTD           ADR          H89128104   645     15557  SH      SOLE      001     13740       0  1817
D                                    SPONSORED
    TYCO INTERNATIONAL LTD           ADR          H89128104    11       266  SH      OTHER     001       219       0    47
D   UNIGENE LABS INC                 COMMON       904753100    12     17500  SH      DEFINED   002         0   17500     0
D                                    SPONSORED
    UNILEVER N V                     ADR          904784709   614     19551  SH      SOLE      001      1291       0 18260
D                                    SPONSORED
    UNILEVER N V                     ADR          904784709    23       730  SH      OTHER     001         0       0   730
D   UNION PAC CORP                   COMMON       907818108   562      6068  SH      SOLE      001      6068       0     0






                                                             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   UNION PAC CORP                   COMMON       907818108    407    4397  SH       OTHER     001      1597     0   2800
D   UNITED NAT FOODS INC             COMMON       911163103   1532   41780  SH       SOLE      001     41560    40    180
D   UNITED NAT FOODS INC             COMMON       911163103      3      80  SH       OTHER     001        80     0      0
D   UNITED PARCEL SERVICE INC        COMMON       911312106   6152   84761  SH       SOLE      001     80516   364   3881
D   UNITED PARCEL SERVICE INC        COMMON       911312106    570    7856  SH       OTHER     001      7581    65    210
D   UNITED PARCEL SERVICE INC        COMMON       911312106    661    9106  SH       DEFINED   002         0  9106      0
D   UNITED TECHNOLOGIES CORP         COMMON       913017109  13723  174332  SH       SOLE      001    166748  2856   4728
D   UNITED TECHNOLOGIES CORP         COMMON       913017109   2274   28882  SH       OTHER     001     27240   789    853
D   UNITED TECHNOLOGIES CORP         COMMON       913017109   1570   19938  SH       DEFINED   002         0 19938      0
D   UNITED TECHNOLOGIES CORP         COMMON       913017109    676    8588  SH       SOLE      002         0     0   8588
D   US BANCORP DEL                   COMMON       902973304  11223  416123  SH       SOLE      001    401790  5868   8465
D   US BANCORP DEL                   COMMON       902973304    600   22242  SH       OTHER     001     19763  2396     83
D   USA VIDEO INTERACTIVE CORP       COMMON       902924208      0   15400  SH       DEFINED   002         0 15400      0
D   V F CORP                         COMMON       918204108    706    8195  SH       SOLE      001      8130     0     65
D   V F CORP                         COMMON       918204108     31     365  SH       OTHER     001       316    49      0
D                                    SPONSORED
    VALE S A                         ADR          91912E105    372   10755  SH       SOLE      001      3700     0   7055
D                                    SPONSORED
    VALE S A                         ADR          91912E105     22     635  SH       OTHER     001         0     0    635
D   VANGUARD INTL EQUITY INDE        OTHER        922042858   1040   21600  SH       SOLE      002         0     0  21600
D                                    SPONSORED
    VANGUARD LTD TERM T/E FD-        ADR          922907704    251   22803  SH       DEFINED   002         0 22803      0
D   VANGUARD SHORT TERM BD INDE      OTHER        921937827   2149   26703  SH       DEFINED   002         0 26703      0
D   VANGUARD SHORT TERM BD INDE      OTHER        921937827    584    7255  SH       SOLE      002       600     0   6655
D   VANGUARD WORLD FDS               OTHER        92204A702    326    5300  SH       SOLE      001      4925     0    375
D   VERIZON COMMUNICATIONS           COMMON       92343V104   1299   36318  SH       DEFINED   002         0 36318      0
D   VERIZON COMMUNICATIONS           COMMON       92343V104    304    8502  SH       SOLE      002         0     0   8502
D   VERIZON COMMUNICATIONS INC       COMMON       92343V104  12374  345816  SH       SOLE      001    317519  5641  22656
D   VERIZON COMMUNICATIONS INC       COMMON       92343V104   1642   45901  SH       OTHER     001     43356  1265   1280
D   VISA INC                         COMMON       92826C839    270    3840  SH       DEFINED   002         0  3840      0
D                                    SPONSORED
    VODAFONE GROUP PLC NEW           ADR          92857W209    855   32332  SH       SOLE      001     12897     0  19435
D                                    SPONSORED
    VODAFONE GROUP PLC NEW           ADR          92857W209    126    4760  SH       OTHER     001      4014     0    746
D   WAL MART STORES INC              COMMON       931142103   9905  183658  SH       SOLE      001    179174  1584   2900
D   WAL MART STORES INC              COMMON       931142103    566   10501  SH       OTHER     001     10005   496      0
D   WALGREEN CO                      COMMON       931422109   1151   29555  SH       SOLE      001     28935     0    620
D   WALGREEN CO                      COMMON       931422109    457   11728  SH       OTHER     001      6828   150   4750
D   WALGREEN CO                      COMMON       931422109    356    9150  SH       DEFINED   002         0  9150      0
D   WALGREEN CO                      COMMON       931422109    941   24150  SH       SOLE      002         0     0  24150
D   WAL-MART STORES INC              COMMON       931142103    770   14279  SH       DEFINED   002         0 14279      0
D   WASHINGTON POST CO               COMMON       939640108    220     500  SH       SOLE      001       500     0      0
D   WEATHERFORD INTERNATIONAL L      COMMON       H27013103    291   12750  SH       SOLE      001      1000     0  11750
D   WEATHERFORD INTERNATIONAL L      COMMON       H27013103     10     420  SH       OTHER     001         0     0    420
D   WEBSTER FINANCIAL CORP           COMMON       947890109    358   18160  SH       DEFINED   002         0 18160      0
D   WELLS FARGO & CO NEW             COMMON       949746101  12480  402708  SH       SOLE      001    388449  7270   6989
D   WELLS FARGO & CO NEW             COMMON       949746101    875   28253  SH       OTHER     001     23575  2166   2512






                                                             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   WELLS FARGO CO                     COMMON     949746101   428    13819  SH       DEFINED   002        0 13819      0
D   WELLS FARGO CO                     COMMON     949746101   818    26400  SH       SOLE      002        0     0  26400
D   WELLS FARGO CPA TR IV D            COMMON     94976Y207   218     8600  SH       DEFINED   002        0  8600      0
D   WESTERN UNION CO                   COMMON     959802109   251    13530  SH       DEFINED   002        0 13530      0
D   WHIRLPOOL CORP                     COMMON     963320106   355     4000  SH       OTHER     001     4000     0      0
D   WILLIAMS COS INC                   COMMON     969457100  1775    71802  SH       DEFINED   002        0 71802      0
D   WINDSTREAM CORP                    COMMON     97381W104    44     3182  SH       SOLE      001     2644     0    538
D   WINDSTREAM CORP                    COMMON     97381W104    98     7000  SH       OTHER     001     7000     0      0
D   WORLD WRESTLING ENTMT INC          COMMON     98156Q108   117     8200  SH       SOLE      001     8200     0      0
D   WORLD WRESTLING ENTMT INC          COMMON     98156Q108   242    17000  SH       OTHER     001    17000     0      0
D   YUM! BRANDS INC                    COMMON     988498101   314     6410  SH       DEFINED   002        0  6410      0