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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE QUARTER ENDED: 03/31/2012

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:  Louise Sandberg
TITLE: Senior Executive Vice President - Wealth Management Group
PHONE: (203) 338-4393


/s/ Louise Sandberg                     Bridgeport, CT   05/15/2012
-------------------------------------   --------------   ----------

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:          684
FORM 13F INFORMATION TABLE VALUE TOTAL:   $1,273,900

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



                                                                                                      VOTING AUTHORITY
                                                          VALUE  SHARES/ SH/ PUT/ INVSTMT   OTHER  ---------------------
          NAME OF ISSUER        TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN MANAGERS  SOLE   SHARED  NONE
   --------------------------- --------------- --------- ------- ------- --- ---- ------- -------- ------ ------- ------
                                                                              
D  3M CO                       COMMON          88579Y101    2370   26561 SH       OTHER        001  23700     700   2161
D  3M CO                       COMMON          88579Y101   12710  142470 SH       SOLE         001 135324    1570   5576
D  3M CO                       COMMON          88579Y101     730    8183 SH       DEFINED      002      0    8183      0
D  3M CO                       COMMON          88579Y101     210    2350 SH       SOLE         002      0       0   2350
D  ABBOTT LABS                 COMMON          002824100    1598   26067 SH       OTHER        001  23312     605   2150
D  ABBOTT LABS                 COMMON          002824100   13889  226610 SH       SOLE         001 217136    4240   5234
D  ABBOTT LABS                 COMMON          002824100    1673   27303 SH       DEFINED      002      0   27303      0
D  ABBOTT LABS                 COMMON          002824100    1523   24855 SH       SOLE         002      0       0  24855
D  ACCENTURE PLC IRELAND       SPONSORED ADR   G1151C101     627    9716 SH       SOLE         001   6754       0   2962
D  ACCENTURE PLC IRELAND       SPONSORED ADR   G1151C101     292    4527 SH       OTHER        001   1450       0   3077
D  ACCENTURE PLC IRELAND       SPONSORED ADR   G1151C101     521    8075 SH       DEFINED      002      0    8075      0
D  AETNA INC                   COMMON          00817Y108     493    9819 SH       DEFINED      002      0    9819      0
D  AFLAC INC                   COMMON          001055102     494   10733 SH       OTHER        001  10413     265     55
D  AFLAC INC                   COMMON          001055102    1059   23019 SH       SOLE         001  21807     395    817
D  AGILENT TECHNOLOGIES INC    COMMON          00846U101     416    9336 SH       DEFINED      002      0    9336      0
D  AIR PRODS & CHEMS INC       COMMON          009158106     165    1792 SH       OTHER        001   1792       0      0
D  AIR PRODS & CHEMS INC       COMMON          009158106    1410   15362 SH       SOLE         001  15210       2    150
D  ALCOA INC                   COMMON          013817101       7     690 SH       OTHER        001    690       0      0
D  ALCOA INC                   COMMON          013817101     201   20051 SH       SOLE         001  20051       0      0
D  ALLERGAN INC                COMMON          018490102   10198  106865 SH       SOLE         001 103139    1315   2411
D  ALLERGAN INC                COMMON          018490102     494    5173 SH       OTHER        001   4578     595      0
D  ALLIANCEBERNSTEIN INCOME    COMMON          01881E101      82   10000 SH       DEFINED      002      0   10000      0
D  ALTRIA GROUP INC            COMMON          02209S103     887   28719 SH       OTHER        001  27809       0    910
D  ALTRIA GROUP INC            COMMON          02209S103    2419   78355 SH       SOLE         001  63396     681  14278
D  ALTRIA GROUP INC            COMMON          02209S103     600   19435 SH       DEFINED      002      0   19435      0
D  AMERICAN EXPRESS CO         COMMON          025816109    1218   21044 SH       SOLE         001  19112      20   1912
D  AMERICAN EXPRESS CO         COMMON          025816109     729   12600 SH       OTHER        001  11850     750      0
D  AMERICAN EXPRESS CO         COMMON          025816109     603   10425 SH       DEFINED      002      0   10425      0
D  AMETEK INC                  COMMON          031100100     349    7200 SH       SOLE         001   7200       0      0
D  AMGEN INC                   COMMON          031162100     212    3118 SH       OTHER        001   2983      35    100
D  AMGEN INC                   COMMON          031162100    2218   32626 SH       SOLE         001  31061     650    915
D  AMGEN INC                   COMMON          031162100     812   11950 SH       DEFINED      002      0   11950      0






                                                                              
D  AMGEN INC                   COMMON          031162AQ3    2751 2690000 PRN      DEFINED      002      0 2690000      0
D  ANALOG DEVICES INC          COMMON          032654105      70    1734 SH       OTHER        001   1734       0      0
D  ANALOG DEVICES INC          COMMON          032654105    1099   27205 SH       SOLE         001  26905     300      0
D  ANNALY CAP MGMT INC         COMMON          035710409      32    2000 SH       OTHER        001   2000       0      0
D  ANNALY CAP MGMT INC         COMMON          035710409     171   10800 SH       SOLE         001  10800       0      0
D  ANWORTH MORTGAGE ASSET CP   COMMON          037347101      26    4000 SH       OTHER        001   4000       0      0
D  ANWORTH MORTGAGE ASSET CP   COMMON          037347101      66   10000 SH       SOLE         001  10000       0      0
D  APACHE CORP                 COMMON          037411105     351    3499 SH       OTHER        001   2999       0    500
D  APACHE CORP                 COMMON          037411105    2962   29487 SH       SOLE         001  28192     712    583
D  APACHE CORP                 COMMON          037411105     218    2175 SH       DEFINED      002      0    2175      0
D  APACHE CORP                 COMMON          037411105     708    7050 SH       SOLE         002      0       0   7050
D  APPLE INC                   COMMON          037833100    2892    4824 SH       OTHER        001   4268     380    176
D  APPLE INC                   COMMON          037833100   31432   52426 SH       SOLE         001  49868    1058   1500
D  APPLE INC                   COMMON          037833100    4925    8215 SH       DEFINED      002      0    8215      0
D  APPLE INC                   COMMON          037833100     740    1235 SH       SOLE         002      0       0   1235
D  APPLIED MATLS INC           COMMON          038222105      54    4375 SH       SOLE         001   1830    2000    545
D  APPLIED MATLS INC           COMMON          038222105      75    6055 SH       OTHER        001   3805       0   2250
D  ARROW FINL CORP             COMMON          042744102     341   13960 SH       OTHER        001  13960       0      0
D  ARROW FINL CORP             COMMON          042744102     373   15294 SH       SOLE         001  15294       0      0
D  ASTRAZENECA PLC             SPONSORED ADR   046353108      24     535 SH       OTHER        001    150       0    385
D  ASTRAZENECA PLC             SPONSORED ADR   046353108     297    6674 SH       SOLE         001      0       0   6674
D  AT&T INC                    COMMON          00206R102    2511   80407 SH       OTHER        001  72451    3182   4774
D  AT&T INC                    COMMON          00206R102   18000  576367 SH       SOLE         001 530781   19777  25809
D  AT&T INC                    COMMON          00206R102    2465   78943 SH       DEFINED      002      0   78943      0
D  AT&T INC                    COMMON          00206R102     278    8913 SH       SOLE         002      0       0   8913
D  AUTOMATIC DATA PROCESSING I COMMON          053015103    3781   68504 SH       SOLE         001  65470    1594   1440
D  AUTOMATIC DATA PROCESSING I COMMON          053015103     972   17604 SH       OTHER        001  12349     965   4290
D  AUTOMATIC DATA PROCESSING I COMMON          053015103    1146   20770 SH       DEFINED      002      0   20770      0
D  AVALONBAY CMNTYS INC        COMMON          053484101     265    1877 SH       SOLE         001   1877       0      0
D  AVALONBAY CMNTYS INC        COMMON          053484101     466    3297 SH       OTHER        001   3281       0     16
D  AVNET INC                   COMMON          053807103     590   16200 SH       DEFINED      002      0   16200      0
D  BAKER HUGHES INC            COMMON          057224107      67    1590 SH       OTHER        001   1590       0      0
D  BAKER HUGHES INC            COMMON          057224107     179    4266 SH       SOLE         001   4076     190      0
D  BANK OF AMERICA CORP        COMMON          060505104     126   13148 SH       OTHER        001  12901     110    137
D  BANK OF AMERICA CORP        COMMON          060505104     912   95267 SH       SOLE         001  94395     678    194
D  BANK OF AMERICA CORP        COMMON          060505104     271   28300 SH       DEFINED      002      0   28300      0
D  BANK OF AMERICA CORP        COMMON          060505724    1198   47500 SH       DEFINED      002      0   47500      0
D  BANK OF NEW YORK MELLON COR COMMON          064058100     273   11301 SH       OTHER        001  11101       0    200
D  BANK OF NEW YORK MELLON COR COMMON          064058100    2905  120376 SH       SOLE         001 119143     850    383
D  BANK OF NEW YORK MELLON COR COMMON          064058100     743   30790 SH       DEFINED      002      0   30790      0
D  BARRICK GOLD CORP           COMMON          067901108      17     384 SH       OTHER        001    384       0      0
D  BARRICK GOLD CORP           COMMON          067901108     204    4700 SH       SOLE         001   4700       0      0






                                                                              
D  BAXTER INTL INC             COMMON          071813109    1145   19150 SH       DEFINED      002      0   19150      0
D  BB & T CORP                 COMMON          054937107      25     799 SH       OTHER        001    400       0    399
D  BB & T CORP                 COMMON          054937107     593   18901 SH       SOLE         001  14175       0   4726
D  BEAM INC                    COMMON          073730103      64    1085 SH       OTHER        001   1085       0      0
D  BEAM INC                    COMMON          073730103     307    5248 SH       SOLE         001   3835       0   1413
D  BECTON DICKINSON & CO       COMMON          075887109     185    2385 SH       OTHER        001   1135      35   1215
D  BECTON DICKINSON & CO       COMMON          075887109     358    4609 SH       SOLE         001   2755      90   1764
D  BECTON DICKINSON & CO       COMMON          075887109     906   11670 SH       DEFINED      002      0   11670      0
D  BERKSHIRE HATHAWAY INC CL A COMMON          084670108    5120      42 SH       SOLE         001     42       0      0
D  BERKSHIRE HATHAWAY INC CL A COMMON          084670108     488       4 SH       OTHER        001      2       0      2
D  BERKSHIRE HATHAWAY INC CL A COMMON          084670108     488       4 SH       SOLE         002      0       0      4
D  BERKSHIRE HATHAWAY INC CL B COMMON          084670702    1366   16833 SH       SOLE         001  16783       0     50
D  BERKSHIRE HATHAWAY INC CL B COMMON          084670702     626    7710 SH       OTHER        001   1985       0   5725
D  BERKSHIRE HATHAWAY INC CL B COMMON          084670702     586    7219 SH       DEFINED      002      0    7219      0
D  BERKSHIRE HATHAWAY INC CL B COMMON          084670702     207    2550 SH       SOLE         002      0       0   2550
D  BEST BUY INC                COMMON          086516101      18     752 SH       OTHER        001    752       0      0
D  BEST BUY INC                COMMON          086516101     287   12130 SH       SOLE         001  12027       0    103
D  BHP BILLITON LTD            SPONSORED ADR   088606108     408    5639 SH       OTHER        001   4477     280    882
D  BHP BILLITON LTD            SPONSORED ADR   088606108    6753   93276 SH       SOLE         001  88435     580   4261
D  BHP BILLITON LTD            SPONSORED ADR   088606108     326    4502 SH       DEFINED      002      0    4502      0
D  BIGLARI HLDGS INC           COMMON          08986R101    1550    3848 SH       SOLE         001   3848       0      0
D  BOEING CO                   COMMON          097023105   11655  156723 SH       SOLE         001 149205    1293   6225
D  BOEING CO                   COMMON          097023105    1191   16012 SH       OTHER        001   7459     205   8348
D  BOEING CO                   COMMON          097023105     683    9186 SH       DEFINED      002      0    9186      0
D  BOEING CO                   COMMON          097023105     759   10200 SH       SOLE         002      0       0  10200
D  BOSWELL J G CO              COMMON          101205102     225     300 SH       SOLE         001    300       0      0
D  BP PLC                      SPONSORED ADR   055622104     373    8286 SH       OTHER        001   8223       0     63
D  BP PLC                      SPONSORED ADR   055622104    1022   22714 SH       SOLE         001  20899     857    958
D  BRISTOL MYERS SQUIBB CO     COMMON          110122108     973   28833 SH       OTHER        001  25273       0   3560
D  BRISTOL MYERS SQUIBB CO     COMMON          110122108    2319   68699 SH       SOLE         001  56474     865  11360
D  BRISTOL MYERS SQUIBB CO     COMMON          110122108     955   28282 SH       DEFINED      002      0   28282      0
D  BRISTOL MYERS SQUIBB CO     COMMON          110122108     508   15050 SH       SOLE         002      0       0  15050
D  CANADIAN NATL RY CO         COMMON          136375102      22     277 SH       OTHER        001     50       0    227
D  CANADIAN NATL RY CO         COMMON          136375102     286    3604 SH       SOLE         001      0       0   3604
D  CAPITAL ONE FINL CORP       COMMON          14040H105     319    5721 SH       OTHER        001   5354     195    172
D  CAPITAL ONE FINL CORP       COMMON          14040H105    9781  175474 SH       SOLE         001 166318    1735   7421
D  CATERPILLAR INC             COMMON          149123101    5569   52281 SH       SOLE         001  52026      20    235
D  CATERPILLAR INC             COMMON          149123101    1360   12765 SH       OTHER        001  12200      20    545
D  CATERPILLAR INC             COMMON          149123101    1202   11280 SH       DEFINED      002      0   11280      0
D  CATERPILLAR INC             COMMON          149123101     463    4350 SH       SOLE         002      0       0   4350
D  CENOVUS ENERGY INC          COMMON          15135U109       8     209 SH       OTHER        001    209       0      0
D  CENOVUS ENERGY INC          COMMON          15135U109     319    8884 SH       SOLE         001   8884       0      0






                                                                              
D  CHEMBIO DIAGNOSTICS INC     COMMON          163572100      30   60960 SH       SOLE         002      0       0  60960
D  CHEVRON CORP                COMMON          166764100    4195   39133 SH       OTHER        001  37477     780    876
D  CHEVRON CORP                COMMON          166764100   27383  255411 SH       SOLE         001 242041    5176   8194
D  CHEVRON CORP                COMMON          166764100    4418   41211 SH       DEFINED      002      0   41211      0
D  CHEVRON CORP                COMMON          166764100    1664   15519 SH       SOLE         002      0       0  15519
D  CHICAGO BRIDGE & IRON CO    COMMON          167250109     309    7160 SH       DEFINED      002      0    7160      0
D  CHIMERA INVT CORP           COMMON          16934Q109      17    6000 SH       OTHER        001   6000       0      0
D  CHIMERA INVT CORP           COMMON          16934Q109      34   12000 SH       SOLE         001  12000       0      0
D  CHUBB CORP                  COMMON          171232101     557    8054 SH       OTHER        001   7684     335     35
D  CHUBB CORP                  COMMON          171232101    9187  132936 SH       SOLE         001 126005    1991   4940
D  CIGNA CORP                  COMMON          125509109     366    7437 SH       DEFINED      002      0    7437      0
D  CISCO SYS INC               COMMON          17275R102     816   38558 SH       OTHER        001  32528     610   5420
D  CISCO SYS INC               COMMON          17275R102    7935  375182 SH       SOLE         001 359930    3840  11412
D  CISCO SYS INC               COMMON          17275R102    1450   68576 SH       DEFINED      002      0   68576      0
D  CITIGROUP INC               COMMON          172967424     136    3729 SH       OTHER        001   3669       0     60
D  CITIGROUP INC               COMMON          172967424     233    6381 SH       SOLE         001   6041     340      0
D  CITRIX SYS INC              COMMON          177376100      55     700 SH       OTHER        001    700       0      0
D  CITRIX SYS INC              COMMON          177376100     289    3665 SH       SOLE         001   3665       0      0
D  CLECO CORP                  COMMON          12561W105     350    8819 SH       OTHER        001   8500       0    319
D  CLECO CORP                  COMMON          12561W105     108    2717 SH       SOLE         001      0       0   2717
D  CLOROX CO                   COMMON          189054109     127    1850 SH       OTHER        001   1850       0      0
D  CLOROX CO                   COMMON          189054109     129    1875 SH       SOLE         001   1875       0      0
D  COACH INC                   COMMON          189754104      85    1102 SH       OTHER        001    926       0    176
D  COACH INC                   COMMON          189754104    1917   24809 SH       SOLE         001  22513       0   2296
D  COCA COLA CO                COMMON          191216100    8076  109120 SH       SOLE         001 105398     900   2822
D  COCA COLA CO                COMMON          191216100    1323   17873 SH       OTHER        001  14685     270   2918
D  COCA COLA CO                COMMON          191216100    1674   22617 SH       DEFINED      002      0   22617      0
D  COCA COLA CO                COMMON          191216100     585    7900 SH       SOLE         002      0       0   7900
D  COLGATE PALMOLIVE CO        COMMON          194162103     489    5000 SH       OTHER        001   3510    1380    110
D  COLGATE PALMOLIVE CO        COMMON          194162103    3967   40575 SH       SOLE         001  38355     445   1775
D  COLGATE PALMOLIVE CO        COMMON          194162103     855    8745 SH       DEFINED      002      0    8745      0
D  COLGATE PALMOLIVE CO        COMMON          194162103    1551   15865 SH       SOLE         002      0       0  15865
D  COMCAST CORP                COMMON          20030N101     720   23987 SH       DEFINED      002      0   23987      0
D  CON EDISON INC              COMMON          209115104     637   10910 SH       OTHER        001  10910       0      0
D  CON EDISON INC              COMMON          209115104    2871   49140 SH       SOLE         001  48662     452     26
D  CONOCOPHILLIPS              COMMON          20825C104    1169   15378 SH       OTHER        001  14753     355    270
D  CONOCOPHILLIPS              COMMON          20825C104   21853  287500 SH       SOLE         001 275827    2455   9218
D  CONOCOPHILLIPS              COMMON          20825C104    1892   24891 SH       DEFINED      002      0   24891      0
D  CONOCOPHILLIPS              COMMON          20825C104    1133   14900 SH       SOLE         002      0     900  14000
D  CONSUMER DISC. SEL SECTOR S OTHER           81369Y407     244    5412 SH       DEFINED      002      0    5412      0
D  CONSUMER STAPLES SPDR FUND  OTHER           81369Y308    5931  174025 SH       SOLE         001 163688    2776   7561
D  CONSUMER STAPLES SPDR FUND  OTHER           81369Y308     201    5910 SH       OTHER        001   5355     555      0






                                                                              
D  COOPER INDUSTRIES PLC       SPONSORED ADR   G24140108       8     125 SH       OTHER        001      0       0    125
D  COOPER INDUSTRIES PLC       SPONSORED ADR   G24140108     430    6722 SH       SOLE         001   4447       0   2275
D  CORNING INC                 COMMON          219350105     292   20711 SH       OTHER        001  20711       0      0
D  CORNING INC                 COMMON          219350105    1799  127765 SH       SOLE         001 125742    1196    827
D  CORNING INC                 COMMON          219350105     397   28175 SH       DEFINED      002      0   28175      0
D  CORPORATE PROPERTY ASSOCIAT COMMON          22002Y107     194   18500 SH       SOLE         001  18500       0      0
D  COSTCO WHSL CORP            COMMON          22160K105    9121  100456 SH       SOLE         001  96943    1083   2430
D  COSTCO WHSL CORP            COMMON          22160K105     588    6474 SH       OTHER        001   6254     220      0
D  COSTCO WHSL CORP            COMMON          22160K105     232    2560 SH       DEFINED      002      0    2560      0
D  COVIDIEN PLC                SPONSORED ADR   G2554F113      12     219 SH       OTHER        001    219       0      0
D  COVIDIEN PLC                SPONSORED ADR   G2554F113     798   14587 SH       SOLE         001  14587       0      0
D  CRANE CO                    COMMON          224399105     219    4513 SH       SOLE         001   4513       0      0
D  CRYSTAL ROCK HOLDINGS INC   COMMON          22940F103      21   20000 SH       DEFINED      002      0   20000      0
D  CSX CORP                    COMMON          126408103    6957  323293 SH       SOLE         001 309288    4498   9507
D  CSX CORP                    COMMON          126408103    1724   80097 SH       OTHER        001  67561    1010  11526
D  CSX CORP                    COMMON          126408103    1078   50108 SH       DEFINED      002      0   50108      0
D  CVS CAREMARK CORP           COMMON          126650100   13965  311728 SH       SOLE         001 305494    2088   4146
D  CVS CAREMARK CORP           COMMON          126650100     734   16382 SH       OTHER        001  16017     365      0
D  CVS CAREMARK CORP           COMMON          126650100     541   12075 SH       DEFINED      002      0   12075      0
D  CVS CAREMARK CORP           COMMON          126650100     437    9750 SH       SOLE         002      0       0   9750
D  DANAHER CORP                COMMON          235851102    1776   31723 SH       SOLE         001  28602    3035     86
D  DANAHER CORP                COMMON          235851102     416    7430 SH       OTHER        001   6030     600    800
D  DARDEN RESTAURANTS INC      COMMON          237194105      39     760 SH       SOLE         001    760       0      0
D  DARDEN RESTAURANTS INC      COMMON          237194105     179    3500 SH       OTHER        001   3500       0      0
D  DEERE & CO                  COMMON          244199105     616    7615 SH       OTHER        001   7330     170    115
D  DEERE & CO                  COMMON          244199105   13785  170400 SH       SOLE         001 164700    1372   4328
D  DEERE & CO                  COMMON          244199105    1012   12505 SH       DEFINED      002      0   12505      0
D  DEERE & CO                  COMMON          244199105     263    3255 SH       SOLE         002      0       0   3255
D  DELL INC                    COMMON          24702R101     347   20939 SH       OTHER        001  18259    1415   1265
D  DELL INC                    COMMON          24702R101   11994  722725 SH       SOLE         001 698293    8695  15737
D  DEVON ENERGY CORP           COMMON          25179M103      67     948 SH       OTHER        001    816       0    132
D  DEVON ENERGY CORP           COMMON          25179M103    1654   23254 SH       SOLE         001  21489       0   1765
D  DIAGEO PLC                  SPONSORED ADR   25243Q205     122    1265 SH       OTHER        001    925       0    340
D  DIAGEO PLC                  SPONSORED ADR   25243Q205     572    5931 SH       SOLE         001    931       0   5000
D  DISCOVER FINL SVCS          COMMON          254709108     172    5170 SH       OTHER        001   5170       0      0
D  DISCOVER FINL SVCS          COMMON          254709108    8424  252666 SH       SOLE         001 236797    2854  13015
D  DISNEY (WALT) CO            COMMON          254687106     225    5132 SH       OTHER        001   4297     680    155
D  DISNEY (WALT) CO            COMMON          254687106    1919   43832 SH       SOLE         001  42591     300    941
D  DISNEY (WALT) CO            COMMON          254687106    1121   25604 SH       DEFINED      002      0   25604      0
D  DOCUMENT SECURITYSYSTEMS    COMMON          25614T101     124   41000 SH       SOLE         001  41000       0      0
D  DOMINION RES INC VA         COMMON          25746U109     314    6141 SH       OTHER        001   5811       0    330
D  DOMINION RES INC VA         COMMON          25746U109    3419   66762 SH       SOLE         001  60107     230   6425






                                                                              
D  DOVER CORP                  COMMON          260003108    5666   90015 SH       SOLE         001  86085    1278   2652
D  DOVER CORP                  COMMON          260003108     682   10836 SH       OTHER        001   8811    2025      0
D  DOW CHEM CO                 COMMON          260543103     573   16535 SH       OTHER        001  16535       0      0
D  DOW CHEM CO                 COMMON          260543103     673   19426 SH       SOLE         001  17477    1449    500
D  DOW CHEM CO                 COMMON          260543103     267    7698 SH       DEFINED      002      0    7698      0
D  DU PONT E I DE NEMOURS & CO COMMON          263534109    1804   34105 SH       OTHER        001  30942     805   2358
D  DU PONT E I DE NEMOURS & CO COMMON          263534109   12351  233483 SH       SOLE         001 218886    2825  11772
D  DU PONT E I DE NEMOURS & CO COMMON          263534109    1092   20647 SH       DEFINED      002      0   20647      0
D  DUKE ENERGY CORP            COMMON          26441C105     126    5978 SH       OTHER        001   5878       0    100
D  DUKE ENERGY CORP            COMMON          26441C105     160    7596 SH       SOLE         001   6597       0    999
D  E M C CORP MASS             COMMON          268648102    1047   35024 SH       OTHER        001  33119     995    910
D  E M C CORP MASS             COMMON          268648102   17548  587286 SH       SOLE         001 557843   13464  15979
D  E M C CORP MASS             COMMON          268648102     972   32526 SH       DEFINED      002      0   32526      0
D  EASTMAN CHEMICAL CO         COMMON          277432100     266    5140 SH       DEFINED      002      0    5140      0
D  EATON CORP                  COMMON          278058102      37     750 SH       OTHER        001    750       0      0
D  EATON CORP                  COMMON          278058102     750   15048 SH       SOLE         001  15015       0     33
D  EBAY INC                    COMMON          278642103      58    1575 SH       OTHER        001   1575       0      0
D  EBAY INC                    COMMON          278642103     319    8645 SH       SOLE         001   4439       0   4206
D  ECOLAB INC                  COMMON          278865100     328    5316 SH       SOLE         001   5086       0    230
D  ECOLAB INC                  COMMON          278865100      98    1580 SH       OTHER        001    900      80    600
D  EDWARDS LIFESCIENCES CORP   COMMON          28176E108     256    3520 SH       DEFINED      002      0    3520      0
D  ELAN CORP PLC               SPONSORED ADR   284131208    1244   82908 SH       DEFINED      002      0   82908      0
D  EMERSON ELEC CO             COMMON          291011104    4582   87805 SH       SOLE         001  85143     925   1737
D  EMERSON ELEC CO             COMMON          291011104     440    8424 SH       OTHER        001   8274     150      0
D  EMERSON ELEC CO             COMMON          291011104     992   19020 SH       DEFINED      002      0   19020      0
D  ENCANA CORP                 COMMON          292505104       7     374 SH       OTHER        001    374       0      0
D  ENCANA CORP                 COMMON          292505104     300   15274 SH       SOLE         001  15274       0      0
D  ENERGY SELECT SECTOR SPDR   OTHER           81369Y506    1139   15875 SH       SOLE         001  15875       0      0
D  ENTERPRISE PRODS PARTNERS L COMMON          293792107     234    4637 SH       OTHER        001   4637       0      0
D  ENTERPRISE PRODS PARTNERS L COMMON          293792107     419    8295 SH       SOLE         001   8295       0      0
D  EXELON CORP                 COMMON          30161N101    3661   93378 SH       SOLE         001  90802    1858    718
D  EXELON CORP                 COMMON          30161N101     355    9062 SH       OTHER        001   7665     670    727
D  EXPRESS SCRIPTS INC         COMMON          302182100     555   10236 SH       OTHER        001   7033     345   2858
D  EXPRESS SCRIPTS INC         COMMON          302182100   10966  202398 SH       SOLE         001 196106    2145   4147
D  EXXON MOBIL CORP            COMMON          30231G102    9495  109475 SH       OTHER        001  94863    5795   8817
D  EXXON MOBIL CORP            COMMON          30231G102   40931  471937 SH       SOLE         001 438745   10130  23062
D  EXXON MOBIL CORP            COMMON          30231G102    7068   81494 SH       DEFINED      002      0   81494      0
D  EXXON MOBIL CORP            COMMON          30231G102    2031   23413 SH       SOLE         002      0       0  23413
D  FEDERAL HOME LN MTG CORP    COMMON          313400624      14   10400 SH       DEFINED      002      0   10400      0
D  FEDEX CORP                  COMMON          31428X106      15     160 SH       OTHER        001    160       0      0
D  FEDEX CORP                  COMMON          31428X106     253    2750 SH       SOLE         001   2750       0      0
D  FEDEX CORP                  COMMON          31428X106     623    6775 SH       DEFINED      002      0    6775      0






                                                                              
D  FEDEX CORP                  COMMON          31428X106     214    2329 SH       SOLE         002      0       0   2329
D  FINANCIAL SELECT SECTOR SPD OTHER           81369Y605     914   57842 SH       DEFINED      002      0   57842      0
D  FIRST NIAGARA FINL GP INC U COMMON          33582V108     547   55550 SH       DEFINED      002      0   55550      0
D  FIRST TRUST HEALTH CARE ALP COMMON          33734X143     393   12750 SH       DEFINED      002      0   12750      0
D  FIRSTENERGY CORP            COMMON          337932107     125    2744 SH       OTHER        001   2744       0      0
D  FIRSTENERGY CORP            COMMON          337932107     476   10432 SH       SOLE         001  10432       0      0
D  FISERV INC                  COMMON          337738108      29     419 SH       OTHER        001    419       0      0
D  FISERV INC                  COMMON          337738108     360    5186 SH       SOLE         001   5186       0      0
D  FORD MTR CO DEL             COMMON          345370860     479   38404 SH       DEFINED      002      0   38404      0
D  FORD MTR CO DEL             COMMON          345370860     159   12710 SH       SOLE         002      0    4000   8710
D  FREEPORT-MCMORAN COPPER & G COMMON          35671D857     723   19009 SH       DEFINED      002      0   19009      0
D  FRONTIER COMMUNICATIONS COR COMMON          35906A108      69   16589 SH       OTHER        001  16283       0    306
D  FRONTIER COMMUNICATIONS COR COMMON          35906A108      72   17338 SH       SOLE         001  16573       0    765
D  GANNETT INC                 COMMON          364730101     213   13900 SH       SOLE         001  13900       0      0
D  GENERAL DYNAMICS CORP       COMMON          369550108     914   12456 SH       SOLE         001  12181      56    219
D  GENERAL DYNAMICS CORP       COMMON          369550108     162    2205 SH       OTHER        001   2105     100      0
D  GENERAL DYNAMICS CORP       COMMON          369550108     321    4375 SH       DEFINED      002      0    4375      0
D  GENERAL ELEC CAP CORP       COMMON          369622519      72    2850 SH       OTHER        001   2850       0      0
D  GENERAL ELEC CAP CORP       COMMON          369622519     158    6250 SH       SOLE         001   6250       0      0
D  GENERAL ELECTRIC CO         COMMON          369604103    3018  150390 SH       OTHER        001 130486    3200  16704
D  GENERAL ELECTRIC CO         COMMON          369604103   15825  788478 SH       SOLE         001 733400   34425  20653
D  GENERAL ELECTRIC CO         COMMON          369604103    2735  136278 SH       DEFINED      002      0  136278      0
D  GENERAL ELECTRIC CO         COMMON          369604103     579   28857 SH       SOLE         002      0    2300  26557
D  GENERAL MILLS INC           COMMON          370334104    1196   30321 SH       OTHER        001  28181     800   1340
D  GENERAL MILLS INC           COMMON          370334104    9799  248387 SH       SOLE         001 238008    3773   6606
D  GENERAL MILLS INC           COMMON          370334104     581   14720 SH       DEFINED      002      0   14720      0
D  GENERAL MTRS CO             COMMON          37045V100     314   12228 SH       DEFINED      002      0   12228      0
D  GENUINE PARTS CO            COMMON          372460105     967   15406 SH       OTHER        001  14160     680    566
D  GENUINE PARTS CO            COMMON          372460105   18000  286854 SH       SOLE         001 272408    5452   8994
D  GENUINE PARTS CO            COMMON          372460105     224    3568 SH       DEFINED      002      0    3568      0
D  GILEAD SCIENCES INC         COMMON          375558103   12402  253820 SH       SOLE         001 246019    2467   5334
D  GILEAD SCIENCES INC         COMMON          375558103     510   10429 SH       OTHER        001   9839     590      0
D  GILEAD SCIENCES INC         COMMON          375558103     390    7985 SH       DEFINED      002      0    7985      0
D  GLAXOSMITHKLINE PLC         SPONSORED ADR   37733W105     199    4420 SH       OTHER        001   4420       0      0
D  GLAXOSMITHKLINE PLC         SPONSORED ADR   37733W105     130    2904 SH       SOLE         001   2048       0    856
D  GLAXOSMITHKLINE PLC         SPONSORED ADR   37733W105     591   13155 SH       DEFINED      002      0   13155      0
D  GOLDMAN SACHS GP PFD        PREFERRED STOCK 38145X111     325   12850 SH       DEFINED      002      0   12850      0
D  GOLDMAN SACHS GROUP INC     COMMON          38141G104      70     560 SH       OTHER        001    540      20      0
D  GOLDMAN SACHS GROUP INC     COMMON          38141G104     497    3995 SH       SOLE         001   3945      50      0
D  GOLDMAN SACHS GROUP INC     COMMON          38141G104     545    4385 SH       DEFINED      002      0    4385      0
D  GOOGLE INC                  COMMON          38259P508     766    1194 SH       OTHER        001   1039      40    115
D  GOOGLE INC                  COMMON          38259P508   10458   16309 SH       SOLE         001  15463     204    642






                                                                              
D  GOOGLE INC                  COMMON          38259P508     455     710 SH       DEFINED      002      0     710      0
D  GREEN MTN COFFEE ROASTERS I COMMON          393122106     256    5475 SH       SOLE         001   5475       0      0
D  HALLIBURTON CO              COMMON          406216101     137    4135 SH       SOLE         001   4135       0      0
D  HALLIBURTON CO              COMMON          406216101     139    4200 SH       OTHER        001   4200       0      0
D  HALLIBURTON CO              COMMON          406216101    1041   31350 SH       DEFINED      002      0   31350      0
D  HARRIS CORP DEL             COMMON          413875105      61    1359 SH       OTHER        001   1359       0      0
D  HARRIS CORP DEL             COMMON          413875105     916   20323 SH       SOLE         001  20138     185      0
D  HCP INC                     COMMON          40414L109      20     495 SH       OTHER        001      0       0    495
D  HCP INC                     COMMON          40414L109     288    7309 SH       SOLE         001      0       0   7309
D  HCP INC                     COMMON          40414L109     295    7475 SH       DEFINED      002      0    7475      0
D  HEALTH CARE REIT INC        COMMON          42217K106      19     350 SH       OTHER        001      0       0    350
D  HEALTH CARE REIT INC        COMMON          42217K106     321    5847 SH       SOLE         001      0       0   5847
D  HEINZ (H.J.) CO             COMMON          423074103     289    5399 SH       OTHER        001   4483       0    916
D  HEINZ (H.J.) CO             COMMON          423074103     683   12752 SH       SOLE         001   5834     380   6538
D  HEINZ (H.J.) CO             COMMON          423074103     603   11255 SH       DEFINED      002      0   11255      0
D  HEWLETT PACKARD CO          COMMON          428236103    2114   88721 SH       SOLE         001  87609     827    285
D  HEWLETT PACKARD CO          COMMON          428236103     458   19210 SH       OTHER        001  14390     200   4620
D  HEWLETT PACKARD CO          COMMON          428236103     488   20488 SH       DEFINED      002      0   20488      0
D  HOME DEPOT INC              COMMON          437076102    1600   31797 SH       OTHER        001  30107     910    780
D  HOME DEPOT INC              COMMON          437076102   22316  443561 SH       SOLE         001 429232    4327  10002
D  HOME DEPOT INC              COMMON          437076102    1258   25002 SH       DEFINED      002      0   25002      0
D  HONEYWELL INTL INC          COMMON          438516106     385    6301 SH       OTHER        001   6301       0      0
D  HONEYWELL INTL INC          COMMON          438516106    1597   26166 SH       SOLE         001  26166       0      0
D  HONEYWELL INTL INC          COMMON          438516106    1245   20392 SH       DEFINED      002      0   20392      0
D  HSBC HLDGS PLC              SPONSORED ADR   404280406      17     384 SH       OTHER        001      0       0    384
D  HSBC HLDGS PLC              SPONSORED ADR   404280406     244    5489 SH       SOLE         001      0       0   5489
D  HUABAO INTL HLDGS LTD       SPONSORED ADR   G4639H122      24   30000 SH       OTHER        001  30000       0      0
D  HUBBELL INC CLASS A         COMMON          443510102     205    2708 SH       SOLE         001   2708       0      0
D  HUBBELL INC CLASS B         COMMON          443510201      31     400 SH       SOLE         001    400       0      0
D  HUBBELL INC CLASS B         COMMON          443510201     275    3500 SH       OTHER        001   3500       0      0
D  HUBBELL INC CLASS B         COMMON          443510201     383    4874 SH       DEFINED      002      0    4874      0
D  HUNT J B TRANS SVCS INC     COMMON          445658107      11     200 SH       OTHER        001    200       0      0
D  HUNT J B TRANS SVCS INC     COMMON          445658107     222    4075 SH       SOLE         001   4075       0      0
D  HYFLUX LTD                  SPONSORED ADR   Y3817K105      34   28000 SH       OTHER        001  28000       0      0
D  IDEXX LABS INC              COMMON          45168D104     297    3400 SH       SOLE         001   3283       1    116
D  IDEXX LABS INC              COMMON          45168D104     105    1199 SH       OTHER        001    859     340      0
D  ILLINOIS TOOL WKS INC       COMMON          452308109     184    3225 SH       OTHER        001   2975     110    140
D  ILLINOIS TOOL WKS INC       COMMON          452308109     998   17473 SH       SOLE         001  16403     100    970
D  ILLINOIS TOOL WKS INC       COMMON          452308109     297    5200 SH       SOLE         002      0       0   5200
D  INTEL CORP                  COMMON          458140100    1842   65511 SH       OTHER        001  54126    2995   8390
D  INTEL CORP                  COMMON          458140100   24715  879066 SH       SOLE         001 843988   11337  23741
D  INTEL CORP                  COMMON          458140100    1525   54254 SH       DEFINED      002      0   54254      0






                                                                              
D  INTEL CORP                  COMMON          458140100     283   10075 SH       SOLE         002      0       0  10075
D  INTL BUSINESS MACHS         COMMON          459200101    4703   22542 SH       OTHER        001  20148    1765    629
D  INTL BUSINESS MACHS         COMMON          459200101   19340   92690 SH       SOLE         001  89127     800   2763
D  INTL BUSINESS MACHS         COMMON          459200101    3292   15778 SH       DEFINED      002      0   15778      0
D  INTL BUSINESS MACHS         COMMON          459200101    3165   15171 SH       SOLE         002      0       0  15171
D  INTUITIVE SURGICAL INC      COMMON          46120E602      16      29 SH       OTHER        001      0       0     29
D  INTUITIVE SURGICAL INC      COMMON          46120E602     244     450 SH       SOLE         001    104       0    346
D  ISHARES BARCLAYS 1-3 YR CRE OTHER           464288646    2362   22476 SH       DEFINED      002      0   22476      0
D  ISHARES BARCLAYS 1-3 YR CRE OTHER           464288646    1673   15916 SH       SOLE         002      0       0  15916
D  ISHARES BARCLAYS 3-7 YR     OTHER           464288661     471    3886 SH       SOLE         002      0       0   3886
D  ISHARES COMEX GOLD TR       OTHER           464285105     554   34070 SH       SOLE         001  34070       0      0
D  ISHARES DJ SELECT DIVIDEND  OTHER           464287168     201    3600 SH       DEFINED      002      0    3600      0
D  ISHARES DJ US BASIC MATERIA OTHER           464287838     823   11700 SH       SOLE         001  11700       0      0
D  ISHARES DJ US BASIC MATERIA OTHER           464287838     381    5410 SH       DEFINED      002      0    5410      0
D  ISHARES DJ US HEALTHCARE SE OTHER           464287762      39     500 SH       OTHER        001    500       0      0
D  ISHARES DJ US HEALTHCARE SE OTHER           464287762     248    3175 SH       SOLE         001   3175       0      0
D  ISHARES INCMSCI PACIFIC EX  OTHER           464286665     265    6088 SH       DEFINED      002      0    6088      0
D  ISHARES INTERMEDIATE GOV/CR OTHER           464288612     381    3432 SH       DEFINED      002      0    3432      0
D  ISHARES LEHMAN 1-3 YR TRS B OTHER           464287457     589    6987 SH       DEFINED      002      0    6987      0
D  ISHARES LEHMAN 1-3 YR TRS B OTHER           464287457     218    2590 SH       SOLE         002      0       0   2590
D  ISHARES LEHMAN TRES INF PR  OTHER           464287176    9355   79516 SH       DEFINED      002      0   79516      0
D  ISHARES LEHMAN TRES INF PR  OTHER           464287176     938    7975 SH       SOLE         002      0     300   7675
D  ISHARES NASDAQ BIOTECH INDE OTHER           464287556     607    4925 SH       DEFINED      002      0    4925      0
D  ISHARES RUSSELL 1000 GROWTH OTHER           464287614     780   11810 SH       DEFINED      002      0   11810      0
D  ISHARES RUSSELL 1000 INDEX  OTHER           464287622     718    9213 SH       DEFINED      002      0    9213      0
D  ISHARES RUSSELL 2000 INDEX  OTHER           464287655    1019   12310 SH       DEFINED      002      0   12310      0
D  ISHARES RUSSELL MIDCAP INDE OTHER           464287499    1933   17461 SH       DEFINED      002      0   17461      0
D  ISHARES RUSSELL MIDCAP INDE OTHER           464287499     253    2281 SH       SOLE         002      0       0   2281
D  ISHARES S & P GLOBAL ENERGY OTHER           464287341     318    7987 SH       DEFINED      002      0    7987      0
D  ISHARES S & P GLOBAL HEALTH OTHER           464287325     502    8348 SH       DEFINED      002      0    8348      0
D  ISHARES S&P 500 BARRA VALUE OTHER           464287408    1275   19635 SH       DEFINED      002      0   19635      0
D  ISHARES S&P 500 GROWTH INDE OTHER           464287309    1477   19601 SH       DEFINED      002      0   19601      0
D  ISHARES S&P 500 INDEX       OTHER           464287200    1386    9815 SH       DEFINED      002      0    9815      0
D  ISHARES TR                  OTHER           464287689     678    8140 SH       SOLE         001   8140       0      0
D  ISHARES TR                  OTHER           464287689     454    5451 SH       OTHER        001      0    4571    880
D  ISHARES TR DJ US OIL & GAS  OTHER           464288851     276    4196 SH       DEFINED      002      0    4196      0
D  ISHARES TR MSCI EAFE INDEX  OTHER           464287465     678   12353 SH       DEFINED      002      0   12353      0
D  ISHARES TR MSCI EMERGING MK OTHER           464287234     297    6925 SH       DEFINED      002      0    6925      0
D  ISHARES TR MSCI EMERGING MK OTHER           464287234     256    5971 SH       SOLE         002      0       0   5971
D  ISHARES TR S&P MIDCAP 400 G OTHER           464287606     321    2855 SH       DEFINED      002      0    2855      0
D  ISHARES TR S&P MIDCAP 400 I OTHER           464287507     287    2894 SH       DEFINED      002      0    2894      0
D  ISHARES VANGUARD SMALLCAP   COMMON          922908751     429    5455 SH       DEFINED      002      0    5455      0






                                                                              
D  JACOBS ENGR GROUP INC       COMMON          469814107      67    1500 SH       OTHER        001    650       0    850
D  JACOBS ENGR GROUP INC       COMMON          469814107     158    3560 SH       SOLE         001   3285     275      0
D  JOHNSON & JOHNSON           COMMON          478160104    3469   52588 SH       OTHER        001  47563    1140   3885
D  JOHNSON & JOHNSON           COMMON          478160104   16309  247255 SH       SOLE         001 235168    4337   7750
D  JOHNSON & JOHNSON           COMMON          478160104    4093   62046 SH       DEFINED      002      0   62046      0
D  JOHNSON & JOHNSON           COMMON          478160104    2109   31980 SH       SOLE         002      0       0  31980
D  JOHNSON CONTROLS INC        COMMON          478366107     274    8440 SH       SOLE         001   7270     955    215
D  JOHNSON CONTROLS INC        COMMON          478366107     123    3795 SH       OTHER        001   3095     300    400
D  JP MORGAN CHASE & CO        COMMON          46625H100    2728   59341 SH       OTHER        001  56422    1658   1261
D  JP MORGAN CHASE & CO        COMMON          46625H100   17709  385154 SH       SOLE         001 367534    5317  12303
D  JP MORGAN CHASE & CO        COMMON          46625H100    3441   74828 SH       DEFINED      002      0   74828      0
D  JP MORGAN CHASE & CO        COMMON          46625H100     511   11119 SH       SOLE         002      0    1200   9919
D  JPMORGAN TR II              COMMON          4812C0357     513   43325 SH       DEFINED      002      0   43325      0
D  KELLOGG CO                  COMMON          487836108     130    2419 SH       OTHER        001   2419       0      0
D  KELLOGG CO                  COMMON          487836108     282    5263 SH       SOLE         001   4928      35    300
D  KEYCORP                     COMMON          493267108       2     292 SH       OTHER        001      0       0    292
D  KEYCORP                     COMMON          493267108     115   13580 SH       SOLE         001    600       0  12980
D  KIMBERLY CLARK CORP         COMMON          494368103     546    7384 SH       OTHER        001   6989       0    395
D  KIMBERLY CLARK CORP         COMMON          494368103    4536   61382 SH       SOLE         001  56118     295   4969
D  KIMBERLY CLARK CORP         COMMON          494368103     507    6865 SH       DEFINED      002      0    6865      0
D  KINDER MORGAN ENERGY PARTNE COMMON          494550106     278    3365 SH       OTHER        001   3365       0      0
D  KINDER MORGAN ENERGY PARTNE COMMON          494550106     379    4585 SH       SOLE         001   4585       0      0
D  KINDER MORGAN ENERGY PARTNE COMMON          494550106     443    5353 SH       DEFINED      002      0    5353      0
D  KINDER MORGAN MGMT LLC      COMMON          49455U100     235    3148 SH       OTHER        001   3148       0      0
D  KINDER MORGAN MGMT LLC      COMMON          49455U100     106    1418 SH       SOLE         001      1       0   1417
D  KOHLS CORP                  COMMON          500255104     370    7400 SH       DEFINED      002      0    7400      0
D  KRAFT FOODS INC             COMMON          50075N104     461   12127 SH       OTHER        001  11134       0    993
D  KRAFT FOODS INC             COMMON          50075N104     995   26178 SH       SOLE         001  10623       0  15555
D  KRAFT FOODS INC             COMMON          50075N104     427   11231 SH       DEFINED      002      0   11231      0
D  L-3 COMMUNICATIONS HLDGS IN COMMON          502424104     209    2950 SH       DEFINED      002      0    2950      0
D  LABORATORY CORP AMER HLDGS  COMMON          50540R409     374    4088 SH       SOLE         001   4022      66      0
D  LABORATORY CORP AMER HLDGS  COMMON          50540R409      34     368 SH       OTHER        001    288      80      0
D  LIFE TECHNOLOGIES CORP      COMMON          53217V109      40     818 SH       SOLE         001    818       0      0
D  LIFE TECHNOLOGIES CORP      COMMON          53217V109     312    6400 SH       OTHER        001   6400       0      0
D  LILLY ELI & CO              COMMON          532457108     184    4564 SH       OTHER        001   3899      50    615
D  LILLY ELI & CO              COMMON          532457108    1697   42143 SH       SOLE         001  32739     330   9074
D  LILLY ELI & CO              COMMON          532457108     262    6504 SH       DEFINED      002      0    6504      0
D  LINN ENERGY LLC             COMMON          536020100     776   20335 SH       OTHER        001  20335       0      0
D  LINN ENERGY LLC             COMMON          536020100    1304   34191 SH       SOLE         001  33756     435      0
D  LOCKHEED MARTIN CORP        COMMON          539830109      19     210 SH       OTHER        001    210       0      0
D  LOCKHEED MARTIN CORP        COMMON          539830109     222    2465 SH       SOLE         001   2465       0      0
D  LOWES COMPANIES             COMMON          548661107     235    7475 SH       OTHER        001   7475       0      0






                                                                              
D  LOWES COMPANIES             COMMON          548661107    1072   34166 SH       SOLE         001  33901       0    265
D  LOWES COMPANIES             COMMON          548661107     978   31168 SH       DEFINED      002      0   31168      0
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     761   24008 SH       DEFINED      002      0   24008      0
D  MARATHON PETROLEUM CORP     COMMON          56585A102     471   10854 SH       DEFINED      002      0   10854      0
D  MARKET VECTORS ETF TR       COMMON          57060U100      37     750 SH       OTHER        001    750       0      0
D  MARKET VECTORS ETF TR       COMMON          57060U100     398    8025 SH       SOLE         001   8025       0      0
D  MARKET VECTORS ETF TR       COMMON          57060U100     468    9441 SH       DEFINED      002      0    9441      0
D  MARSH & MCLENNAN COS INC    COMMON          571748102      43    1300 SH       OTHER        001   1300       0      0
D  MARSH & MCLENNAN COS INC    COMMON          571748102     486   14814 SH       SOLE         001  10800       0   4014
D  MASTERCARD INC              COMMON          57636Q104     334     795 SH       DEFINED      002      0     795      0
D  MATERIALS SELECT SECTOR SPD OTHER           81369Y100     122    3300 SH       OTHER        001   2780     215    305
D  MATERIALS SELECT SECTOR SPD OTHER           81369Y100    1140   30824 SH       SOLE         001  26954    1155   2715
D  MATTEL INC                  COMMON          577081102     348   10339 SH       SOLE         001  10300       0     39
D  MCCORMICK & CO INC COM NON  COMMON          579780206      59    1085 SH       OTHER        001   1085       0      0
D  MCCORMICK & CO INC COM NON  COMMON          579780206     618   11348 SH       SOLE         001  11183       0    165
D  MCDONALDS CORP              COMMON          580135101    1687   17195 SH       OTHER        001  14130     600   2465
D  MCDONALDS CORP              COMMON          580135101   19961  203473 SH       SOLE         001 194099    3587   5787
D  MCDONALDS CORP              COMMON          580135101    3096   31562 SH       DEFINED      002      0   31562      0
D  MCDONALDS CORP              COMMON          580135101     437    4450 SH       SOLE         002      0       0   4450
D  MEDCO HEALTH SOLUTIONS INC  COMMON          58405U102     227    3235 SH       OTHER        001   3187       0     48
D  MEDCO HEALTH SOLUTIONS INC  COMMON          58405U102     404    5744 SH       SOLE         001   5169     575      0
D  MEDCO HEALTH SOLUTIONS INC  COMMON          58405U102     222    3156 SH       SOLE         002      0       0   3156
D  MEDTRONIC INC               COMMON          585055106     233    5940 SH       OTHER        001   5415     225    300
D  MEDTRONIC INC               COMMON          585055106    2913   74327 SH       SOLE         001  73602     280    445
D  MEDTRONIC INC               COMMON          585055106     405   10325 SH       DEFINED      002      0   10325      0
D  MEDTRONIC INC               COMMON          585055AM8     960  950000 PRN      DEFINED      002      0  950000      0
D  MERCK & CO INC              COMMON          58933Y105     906   23597 SH       OTHER        001  21742     700   1155
D  MERCK & CO INC              COMMON          58933Y105    2689   70032 SH       SOLE         001  59531    1285   9216
D  MERCK & CO INC              COMMON          58933Y105     622   16192 SH       DEFINED      002      0   16192      0
D  METLIFE INC                 COMMON          59156R108     248    6640 SH       OTHER        001   6640       0      0
D  METLIFE INC                 COMMON          59156R108    2385   63853 SH       SOLE         001  63775       0     78
D  METLIFE INC 5.875           COMMON          59156R405     276   10900 SH       DEFINED      002      0   10900      0
D  MFA FINANCIAL INC           COMMON          55272X102      30    4000 SH       OTHER        001   4000       0      0
D  MFA FINANCIAL INC           COMMON          55272X102      45    6000 SH       SOLE         001   6000       0      0
D  MICROSOFT CORP              COMMON          594918104    1725   53489 SH       OTHER        001  47729    2840   2920
D  MICROSOFT CORP              COMMON          594918104   24274  752574 SH       SOLE         001 716926   10176  25472
D  MICROSOFT CORP              COMMON          594918104    1657   51382 SH       DEFINED      002      0   51382      0
D  MICROSOFT CORP              COMMON          594918104     831   25749 SH       SOLE         002      0       0  25749
D  MIMEDX GROUP INC            COMMON          602496101      12   10000 SH       SOLE         001  10000       0      0
D  MONSANTO CO                 COMMON          61166W101     157    1971 SH       SOLE         001   1913       0     58






                                                                              
D  MONSANTO CO                 COMMON          61166W101     339    4244 SH       OTHER        001   4134     110      0
D  MONSANTO CO                 COMMON          61166W101     691    8669 SH       DEFINED      002      0    8669      0
D  MONSANTO CO                 COMMON          61166W101     350    4394 SH       SOLE         002      0       0   4394
D  MORGAN STANLEY              COMMON          617446448     232   11820 SH       DEFINED      002      0   11820      0
D  MOTOROLA SOLUTIONS INC      COMMON          620076307     287    5640 SH       OTHER        001   5415       0    225
D  MOTOROLA SOLUTIONS INC      COMMON          620076307    9394  184817 SH       SOLE         001 177076    2520   5221
D  NATIONAL OILWELL VARCO INC  COMMON          637071101      86    1076 SH       OTHER        001    575       0    501
D  NATIONAL OILWELL VARCO INC  COMMON          637071101     178    2242 SH       SOLE         001    165     150   1927
D  NATIONAL OILWELL VARCO INC  COMMON          637071101     449    5650 SH       DEFINED      002      0    5650      0
D  NAUGATUCK VY FINL CORP      COMMON          63906P107     141   19516 SH       SOLE         002      0       0  19516
D  NESTLE S A                  SPONSORED ADR   641069406      49     782 SH       OTHER        001    512       0    270
D  NESTLE S A                  SPONSORED ADR   641069406     365    5815 SH       SOLE         001   1500       0   4315
D  NEXTERA ENERGY INC          COMMON          65339F101     853   13967 SH       OTHER        001  12282    1085    600
D  NEXTERA ENERGY INC          COMMON          65339F101    9804  160516 SH       SOLE         001 148835    2544   9137
D  NEXTERA ENERGY INC          COMMON          65339F101     260    4263 SH       DEFINED      002      0    4263      0
D  NIKE INC                    COMMON          654106103     172    1590 SH       OTHER        001    980     120    490
D  NIKE INC                    COMMON          654106103     279    2571 SH       SOLE         001   1771     265    535
D  NIKE INC                    COMMON          654106103     309    2850 SH       DEFINED      002      0    2850      0
D  NOBLE CORPORATION BAAR      COMMON          H5833N103      12     320 SH       OTHER        001      0       0    320
D  NOBLE CORPORATION BAAR      COMMON          H5833N103     217    5800 SH       SOLE         001    160       0   5640
D  NOKIA CORP                  SPONSORED ADR   654902204      22    4054 SH       OTHER        001   3224       0    830
D  NOKIA CORP                  SPONSORED ADR   654902204      83   15090 SH       SOLE         001    500       0  14590
D  NOKIA CORP                  SPONSORED ADR   654902204      66   12101 SH       DEFINED      002      0   12101      0
D  NORFOLK SOUTHERN CORP       COMMON          655844108      54     826 SH       SOLE         001    826       0      0
D  NORFOLK SOUTHERN CORP       COMMON          655844108     973   14782 SH       OTHER        001  14282       0    500
D  NORFOLK SOUTHERN CORP       COMMON          655844108    1214   18439 SH       SOLE         002      0       0  18439
D  NORWOOD RES LTD             SPONSORED ADR   669958100       0   31470 SH       SOLE         001  31470       0      0
D  NOVARTIS AG                 SPONSORED ADR   66987V109     311    5617 SH       OTHER        001   5512       0    105
D  NOVARTIS AG                 SPONSORED ADR   66987V109    2266   40904 SH       SOLE         001  38829     195   1880
D  OCCIDENTAL PETROLEUM CORP   COMMON          674599105     643    6748 SH       OTHER        001   6365     270    113
D  OCCIDENTAL PETROLEUM CORP   COMMON          674599105   11858  124518 SH       SOLE         001 118179    1593   4746
D  OCCIDENTAL PETROLEUM CORP   COMMON          674599105     628    6590 SH       DEFINED      002      0    6590      0
D  OMNICOM GROUP INC           COMMON          681919106     558   11011 SH       OTHER        001   9351     540   1120
D  OMNICOM GROUP INC           COMMON          681919106   10856  214325 SH       SOLE         001 206004    2667   5654
D  OPPENHEIMER DEVELOPING MK   COMMON          683974109    1330   39507 SH       DEFINED      002      0   39507      0
D  ORACLE CORP                 COMMON          68389X105     657   22539 SH       OTHER        001  20499     990   1050
D  ORACLE CORP                 COMMON          68389X105   11983  410929 SH       SOLE         001 397370    4188   9371
D  ORACLE CORP                 COMMON          68389X105    1419   48650 SH       DEFINED      002      0   48650      0
D  ORACLE CORP                 COMMON          68389X105     260    8930 SH       SOLE         002      0       0   8930
D  PARKER HANNIFIN CORP        COMMON          701094104     433    5120 SH       DEFINED      002      0    5120      0
D  PATTERSON COS INC           COMMON          703395103      20     600 SH       OTHER        001    600       0      0
D  PATTERSON COS INC           COMMON          703395103     330    9870 SH       SOLE         001   9870       0      0






                                                                              
D  PAYCHEX INC                 COMMON          704326107      78    2515 SH       OTHER        001   2515       0      0
D  PAYCHEX INC                 COMMON          704326107     176    5684 SH       SOLE         001   5684       0      0
D  PEABODY ENERGY CORP         COMMON          704549104     552   19045 SH       DEFINED      002      0   19045      0
D  PEOPLE'S UNITED FINANCIAL   COMMON          712704105     756   57122 SH       DEFINED      002      0   57122      0
D  PEPSICO INC                 COMMON          713448108    6929  104428 SH       SOLE         001 100350    2073   2005
D  PEPSICO INC                 COMMON          713448108    1294   19509 SH       OTHER        001  16179     625   2705
D  PEPSICO INC                 COMMON          713448108    2456   37022 SH       DEFINED      002      0   37022      0
D  PEPSICO INC                 COMMON          713448108     357    5375 SH       SOLE         002      0       0   5375
D  PFIZER INC                  COMMON          717081103    1751   77320 SH       OTHER        001  74951    1454    915
D  PFIZER INC                  COMMON          717081103   11720  517543 SH       SOLE         001 483055    5174  29314
D  PFIZER INC                  COMMON          717081103    1696   74897 SH       DEFINED      002      0   74897      0
D  PFIZER INC                  COMMON          717081103     913   40339 SH       SOLE         002      0    1800  38539
D  PHILIP MORRIS INTL INC      COMMON          718172109    2173   24523 SH       OTHER        001  23808     245    470
D  PHILIP MORRIS INTL INC      COMMON          718172109    9693  109389 SH       SOLE         001  98649    1243   9497
D  PHILIP MORRIS INTL INC      COMMON          718172109     603    6810 SH       DEFINED      002      0    6810      0
D  PLUM CREEK TIMBER CO INC    COMMON          729251108     162    3902 SH       OTHER        001   3863       0     39
D  PLUM CREEK TIMBER CO INC    COMMON          729251108    1288   31003 SH       SOLE         001  30613     390      0
D  PLUM CREEK TIMBER CO INC    COMMON          729251108     208    5000 SH       SOLE         002      0       0   5000
D  POTASH CORP SASK INC        COMMON          73755L107      12     270 SH       OTHER        001      0       0    270
D  POTASH CORP SASK INC        COMMON          73755L107     204    4465 SH       SOLE         001      0       0   4465
D  POWERSHARES DB BASE METALS  COMMON          73936B705     253   12575 SH       DEFINED      002      0   12575      0
D  POWERSHARES QQQ(TM)         COMMON          73935A104     481    7124 SH       DEFINED      002      0    7124      0
D  POWERSHARES WATER RESOURCES COMMON          73935X575     313   16300 SH       SOLE         001  15600       0    700
D  PPG INDS INC                COMMON          693506107     115    1200 SH       OTHER        001   1200       0      0
D  PPG INDS INC                COMMON          693506107     106    1102 SH       SOLE         001   1093       0      9
D  PPG INDS INC                COMMON          693506107     266    2780 SH       DEFINED      002      0    2780      0
D  PRAXAIR INC                 COMMON          74005P104     482    4202 SH       OTHER        001   3562     520    120
D  PRAXAIR INC                 COMMON          74005P104    1877   16371 SH       SOLE         001  12828    2017   1526
D  PRICE T ROWE GROUP INC      COMMON          74144T108    1030   15775 SH       SOLE         001  14770     265    740
D  PRICE T ROWE GROUP INC      COMMON          74144T108      90    1377 SH       OTHER        001    812     565      0
D  PROCTER & GAMBLE CO         COMMON          742718109    9290  138222 SH       SOLE         001 130623    5735   1864
D  PROCTER & GAMBLE CO         COMMON          742718109    3054   45440 SH       OTHER        001  39727    1218   4495
D  PROCTER & GAMBLE CO         COMMON          742718109    1776   26425 SH       DEFINED      002      0   26425      0
D  PROCTER & GAMBLE CO         COMMON          742718109    1641   24416 SH       SOLE         002      0       0  24416
D  PROGRESS ENERGY INC         COMMON          743263105     190    3585 SH       OTHER        001   3585       0      0
D  PROGRESS ENERGY INC         COMMON          743263105    2257   42502 SH       SOLE         001  41682     270    550
D  PROVIDENT ENERGY LTD        SPONSORED ADR   74386V100     189   15747 SH       OTHER        001  15747       0      0
D  PRUDENTIAL FINANCIAL INC    COMMON          744320102     445    7025 SH       OTHER        001   6575     380     70
D  PRUDENTIAL FINANCIAL INC    COMMON          744320102    8714  137474 SH       SOLE         001 131514    1865   4095
D  PRUDENTIAL FINANCIAL INC    COMMON          744320102     676   10669 SH       DEFINED      002      0   10669      0
D  PUBLIC SVC ENTERPRISE GROUP COMMON          744573106      70    2282 SH       OTHER        001   2282       0      0
D  PUBLIC SVC ENTERPRISE GROUP COMMON          744573106     147    4795 SH       SOLE         001   4795       0      0






                                                                              
D  QUALCOMM INC                COMMON          747525103      47     695 SH       OTHER        001    480       0    215
D  QUALCOMM INC                COMMON          747525103    1104   16223 SH       SOLE         001  13563       0   2660
D  QUALCOMM INC                COMMON          747525103     713   10481 SH       DEFINED      002      0   10481      0
D  RAYONIER INC                COMMON          754907103     223    5064 SH       DEFINED      002      0    5064      0
D  RAYTHEON CO                 COMMON          755111507      10     185 SH       SOLE         001    185       0      0
D  RAYTHEON CO                 COMMON          755111507     198    3746 SH       OTHER        001   3246       0    500
D  RIO TINTO PLC               SPONSORED ADR   767204100     124    2222 SH       OTHER        001   2000       0    222
D  RIO TINTO PLC               SPONSORED ADR   767204100     237    4261 SH       SOLE         001     50       0   4211
D  ROPER INDS INC              COMMON          776696106      14     146 SH       OTHER        001      0       0    146
D  ROPER INDS INC              COMMON          776696106     211    2124 SH       SOLE         001      0       0   2124
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR   780259206     518    7385 SH       OTHER        001   7325       0     60
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR   780259206    1767   25197 SH       SOLE         001  24114     155    928
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR   780259206     365    5200 SH       DEFINED      002      0    5200      0
D  ROYAL DUTCH SHELL PLC B     SPONSORED ADR   780259107     167    2364 SH       OTHER        001   2144       0    220
D  ROYAL DUTCH SHELL PLC B     SPONSORED ADR   780259107     316    4474 SH       SOLE         001    225       0   4249
D  ROYCE VALUE TRUST INC       COMMON          780910105     453   32589 SH       DEFINED      002      0   32589      0
D  RYDEX S&P MIDCAP 400 PURE G COMMON          78355W601     375    4178 SH       DEFINED      002      0    4178      0
D  SCHLUMBERGER LTD            SPONSORED ADR   806857108    1106   15811 SH       OTHER        001  11341     340   4130
D  SCHLUMBERGER LTD            SPONSORED ADR   806857108    4392   62801 SH       SOLE         001  55130    1885   5786
D  SCHLUMBERGER LTD            SPONSORED ADR   806857108    1007   14400 SH       DEFINED      002      0   14400      0
D  SELECT SECTOR SPDR TR       OTHER           81369Y886    6715  191616 SH       SOLE         001 183923    2497   5196
D  SELECT SECTOR SPDR TR       OTHER           81369Y886     200    5718 SH       OTHER        001   5248     470      0
D  SEMPRA ENERGY               COMMON          816851109     206    3435 SH       SOLE         001   3435       0      0
D  SIGMA-ALDRICH CORP          COMMON          826552101     278    3800 SH       DEFINED      002      0    3800      0
D  SIGMA-ALDRICH CORP          COMMON          826552101     871   11924 SH       SOLE         002      0       0  11924
D  SIMON PPTY GROUP INC        COMMON          828806109     198    1358 SH       SOLE         001   1358       0      0
D  SIMON PPTY GROUP INC        COMMON          828806109     296    2033 SH       OTHER        001   2000       0     33
D  SOUTHERN CO                 COMMON          842587107     914   20338 SH       OTHER        001  19938       0    400
D  SOUTHERN CO                 COMMON          842587107    2988   66514 SH       SOLE         001  63911     515   2088
D  SOUTHERN CO                 COMMON          842587107     226    5025 SH       DEFINED      002      0    5025      0
D  SPDR GOLD TRUST             OTHER           78463V107     365    2254 SH       DEFINED      002      0    2254      0
D  SPDR GOLD TRUST             OTHER           78463V107     207    1275 SH       SOLE         002      0       0   1275
D  SPDR S&P INTERNATIONAL DIVI OTHER           78463X772     250    5008 SH       DEFINED      002      0    5008      0
D  SPECTRA ENERGY CORP         COMMON          847560109      76    2417 SH       OTHER        001   2217       0    200
D  SPECTRA ENERGY CORP         COMMON          847560109    1356   42993 SH       SOLE         001  41598    1395      0
D  SPECTRA ENERGY CORP         COMMON          847560109     533   16885 SH       DEFINED      002      0   16885      0
D  STANLEY BLACK & DECKER INC  COMMON          854502101      82    1063 SH       OTHER        001   1063       0      0
D  STANLEY BLACK & DECKER INC  COMMON          854502101    1053   13680 SH       SOLE         001  11820       0   1860
D  STANLEY BLACK & DECKER INC  COMMON          854502101     551    7156 SH       DEFINED      002      0    7156      0
D  STAPLES INC                 COMMON          855030102     583   36018 SH       SOLE         001  35269      52    697
D  STAPLES INC                 COMMON          855030102     111    6885 SH       OTHER        001   5013    1872      0
D  STAPLES INC                 COMMON          855030102     237   14650 SH       DEFINED      002      0   14650      0






                                                                              
D  STARBUCKS CORP              COMMON          855244109      40     710 SH       OTHER        001    400       0    310
D  STARBUCKS CORP              COMMON          855244109     215    3851 SH       SOLE         001      0       0   3851
D  STARBUCKS CORP              COMMON          855244109     310    5550 SH       DEFINED      002      0    5550      0
D  STATE STREET CORP           COMMON          857477103   12587  276643 SH       SOLE         001 267919    2668   6056
D  STATE STREET CORP           COMMON          857477103     473   10386 SH       OTHER        001   9891     495      0
D  STATE STREET CORP           COMMON          857477103     870   19123 SH       DEFINED      002      0   19123      0
D  STRYKER CORP                COMMON          863667101    3713   66920 SH       SOLE         001  66837       0     83
D  STRYKER CORP                COMMON          863667101     286    5160 SH       OTHER        001   5025     135      0
D  SUN LIFE FINANCIAL INC      COMMON          866796105     253   10685 SH       DEFINED      002      0   10685      0
D  SUNCOR ENERGY INC           COMMON          867224107      38    1160 SH       OTHER        001   1100       0     60
D  SUNCOR ENERGY INC           COMMON          867224107     730   22315 SH       SOLE         001  16905       0   5410
D  SYSCO CORP                  COMMON          871829107    1574   52717 SH       SOLE         001  50477    1255    985
D  SYSCO CORP                  COMMON          871829107      96    3203 SH       OTHER        001   2953     250      0
D  SYSCO CORP                  COMMON          871829107     967   32390 SH       DEFINED      002      0   32390      0
D  SYSCO CORP                  COMMON          871829107     228    7650 SH       SOLE         002      0       0   7650
D  T ROWE PRICE TAX FREE INC   COMMON          779576107     163   15840 SH       DEFINED      002      0   15840      0
D  T ROWE PRICE TAX FREE SHT   COMMON          779902105     401   70617 SH       DEFINED      002      0   70617      0
D  T ROWE PRICE TAX FREE SHT   COMMON          779902105     123   21583 SH       SOLE         002      0       0  21583
D  TANGER FACTORY OUTLET CTRS  COMMON          875465106     208    7000 SH       OTHER        001   7000       0      0
D  TARGET CORP                 COMMON          87612E106     633   10868 SH       OTHER        001  10868       0      0
D  TARGET CORP                 COMMON          87612E106    4103   70416 SH       SOLE         001  70181     100    135
D  TE CONNECTIVITY LTD         SPONSORED ADR   H84989104       8     219 SH       OTHER        001    219       0      0
D  TE CONNECTIVITY LTD         SPONSORED ADR   H84989104     546   14865 SH       SOLE         001  14865       0      0
D  TECHNOLOGY SELECT SECT SPDR OTHER           81369Y803     493   16333 SH       SOLE         001  16333       0      0
D  TECHNOLOGY SELECT SECT SPDR OTHER           81369Y803      53    1755 SH       OTHER        001    925     830      0
D  TECHNOLOGY SELECT SECT SPDR OTHER           81369Y803     384   12733 SH       DEFINED      002      0   12733      0
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR   881624209     393    8725 SH       OTHER        001   7335     790    600
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR   881624209    8378  185937 SH       SOLE         001 178947    3072   3918
D  TEXAS INSTRUMENTS INC       COMMON          882508104     728   21660 SH       DEFINED      002      0   21660      0
D  TEXTRON INC                 COMMON          883203101     357   12830 SH       SOLE         001  12796       0     34
D  THE HERSHEY COMPANY         COMMON          427866108     534    8700 SH       OTHER        001   8700       0      0
D  THE HERSHEY COMPANY         COMMON          427866108     280    4566 SH       SOLE         001   4550       0     16
D  THERMO FISHER SCIENTIFIC, I COMMON          883556102    7258  128736 SH       SOLE         001 122694    1709   4333
D  THERMO FISHER SCIENTIFIC, I COMMON          883556102     271    4806 SH       OTHER        001   4501     305      0
D  THERMO FISHER SCIENTIFIC, I COMMON          883556102     259    4600 SH       SOLE         002      0       0   4600
D  TIDEWATER INC               COMMON          886423102      16     300 SH       OTHER        001    300       0      0
D  TIDEWATER INC               COMMON          886423102    3716   68790 SH       SOLE         001  68790       0      0
D  TIME WARNER INC             COMMON          887317303     496   13148 SH       DEFINED      002      0   13148      0
D  TJX COS INC                 COMMON          872540109     477   12001 SH       OTHER        001  11251     260    490
D  TJX COS INC                 COMMON          872540109   13647  343655 SH       SOLE         001 328166    3336  12153
D  TORONTO-DOMINION BANK       SPONSORED ADR   891160509     246    2900 SH       DEFINED      002      0    2900      0
D  TORTOISE MLP FD INC         COMMON          89148B101      48    1888 SH       OTHER        001   1888       0      0






                                                                              
D  TORTOISE MLP FD INC         COMMON          89148B101     222    8649 SH       SOLE         001   8649       0      0
D  TRANSOCEAN LTD              SPONSORED ADR   H8817H100      11     209 SH       OTHER        001     54       0    155
D  TRANSOCEAN LTD              SPONSORED ADR   H8817H100     190    3482 SH       SOLE         001    100      50   3332
D  TRAVELERS COMPANIES INC     COMMON          89417E109      60    1018 SH       OTHER        001    268     200    550
D  TRAVELERS COMPANIES INC     COMMON          89417E109     514    8685 SH       SOLE         001   2086     348   6251
D  TYCO INTERNATIONAL LTD      SPONSORED ADR   H89128104      12     219 SH       OTHER        001    219       0      0
D  TYCO INTERNATIONAL LTD      SPONSORED ADR   H89128104     895   15939 SH       SOLE         001  14467       0   1472
D  TYHEE GOLD CORP             COMMON          902166107       5   50000 SH       SOLE         001  50000       0      0
D  UNIGENE LABS INC            COMMON          904753100       8   17500 SH       DEFINED      002      0   17500      0
D  UNILEVER N V                SPONSORED ADR   904784709      38    1105 SH       OTHER        001    375       0    730
D  UNILEVER N V                SPONSORED ADR   904784709     515   15121 SH       SOLE         001   2016       0  13105
D  UNION PAC CORP              COMMON          907818108     493    4584 SH       SOLE         001   4584       0      0
D  UNION PAC CORP              COMMON          907818108     519    4825 SH       OTHER        001   1625     300   2900
D  UNION PAC CORP              COMMON          907818108     508    4731 SH       DEFINED      002      0    4731      0
D  UNITED HEALTH GROUP INC     COMMON          91324P102     160    2721 SH       OTHER        001   2431     110    180
D  UNITED HEALTH GROUP INC     COMMON          91324P102    5495   93232 SH       SOLE         001  90259     995   1978
D  UNITED HEALTH GROUP INC     COMMON          91324P102     219    3711 SH       DEFINED      002      0    3711      0
D  UNITED PARCEL SERVICE INC   COMMON          911312106     957   11856 SH       OTHER        001  10412     470    974
D  UNITED PARCEL SERVICE INC   COMMON          911312106   10987  136111 SH       SOLE         001 130486    1447   4178
D  UNITED PARCEL SERVICE INC   COMMON          911312106     659    8167 SH       DEFINED      002      0    8167      0
D  UNITED TECHNOLOGIES CORP    COMMON          913017109    2258   27227 SH       OTHER        001  25628     745    854
D  UNITED TECHNOLOGIES CORP    COMMON          913017109   14639  176506 SH       SOLE         001 168167    2644   5695
D  UNITED TECHNOLOGIES CORP    COMMON          913017109    1318   15885 SH       DEFINED      002      0   15885      0
D  UNITED TECHNOLOGIES CORP    COMMON          913017109     651    7844 SH       SOLE         002      0       0   7844
D  US BANCORP                  COMMON          902973304   14598  460802 SH       SOLE         001 447581    4277   8944
D  US BANCORP                  COMMON          902973304     794   25065 SH       OTHER        001  24300     765      0
D  V F CORP                    COMMON          918204108      40     277 SH       OTHER        001    199       0     78
D  V F CORP                    COMMON          918204108    1425    9763 SH       SOLE         001   8690      95    978
D  VALE S A                    SPONSORED ADR   91912E105      19     835 SH       OTHER        001    200       0    635
D  VALE S A                    SPONSORED ADR   91912E105     230    9875 SH       SOLE         001   3200       0   6675
D  VANGUARD EMERGING MARKETS E OTHER           922042858     939   21600 SH       SOLE         002      0       0  21600
D  VANGUARD INFORMATION TECHNO OTHER           92204A702     510    6877 SH       SOLE         001   6427       0    450
D  VANGUARD SHORT TERM BD INDE OTHER           921937827    1179   14565 SH       DEFINED      002      0   14565      0
D  VANGUARD SHORT TERM BD INDE OTHER           921937827     778    9617 SH       SOLE         002      0       0   9617
D  VARIAN MED SYS INC          COMMON          92220P105     295    4274 SH       SOLE         001   3220     725    329
D  VARIAN MED SYS INC          COMMON          92220P105    1304   18905 SH       OTHER        001    845       0  18060
D  VERIZON COMMUNICATIONS      COMMON          92343V104    1921   50251 SH       OTHER        001  43398    1610   5243
D  VERIZON COMMUNICATIONS      COMMON          92343V104   14004  366308 SH       SOLE         001 334305   13620  18383
D  VERIZON COMMUNICATIONS      COMMON          92343V104    1838   48073 SH       DEFINED      002      0   48073      0
D  VERIZON COMMUNICATIONS      COMMON          92343V104     357    9332 SH       SOLE         002      0       0   9332
D  VISA INC                    COMMON          92826C839     783    6635 SH       DEFINED      002      0    6635      0
D  VODAFONE GROUP PLC          SPONSORED ADR   92857W209     139    5027 SH       OTHER        001   4302       0    725






                                                                              
D  VODAFONE GROUP PLC          SPONSORED ADR   92857W209     628   22699 SH       SOLE         001   9401     613  12685
D  VORNADO RLTY L P PINES 7.87 COMMON          929043602     220    8000 SH       OTHER        001   8000       0      0
D  WAL MART STORES INC         COMMON          931142103     852   13919 SH       OTHER        001  12218     760    941
D  WAL MART STORES INC         COMMON          931142103   14588  238368 SH       SOLE         001 230512    3022   4834
D  WAL MART STORES INC         COMMON          931142103     703   11486 SH       DEFINED      002      0   11486      0
D  WALGREEN CO                 COMMON          931422109     332    9920 SH       OTHER        001   5035     995   3890
D  WALGREEN CO                 COMMON          931422109     993   29649 SH       SOLE         001  24577     925   4147
D  WALGREEN CO                 COMMON          931422109     669   19980 SH       DEFINED      002      0   19980      0
D  WALGREEN CO                 COMMON          931422109     814   24300 SH       SOLE         002      0       0  24300
D  WEATHERFORD INTERNATIONAL L COMMON          H27013103      10     670 SH       OTHER        001      0       0    670
D  WEATHERFORD INTERNATIONAL L COMMON          H27013103     172   11420 SH       SOLE         001      0       0  11420
D  WEBSTER FINANCL CP WATERBUR COMMON          947890109     342   15100 SH       DEFINED      002      0   15100      0
D  WELLS FARGO CO              COMMON          949746101     907   26568 SH       OTHER        001  21437    1865   3266
D  WELLS FARGO CO              COMMON          949746101   14506  424900 SH       SOLE         001 409651    5462   9787
D  WELLS FARGO CO              COMMON          949746101     840   24600 SH       SOLE         002      0       0  24600
D  WESTERN UNION CO            COMMON          959802109     205   11630 SH       DEFINED      002      0   11630      0
D  WHIRLPOOL CORP              COMMON          963320106     307    4000 SH       OTHER        001   4000       0      0
D  WHIRLPOOL CORP              COMMON          963320106      76     986 SH       SOLE         001      0       0    986
D  WILLIAMS COS INC            COMMON          969457100    1630   52904 SH       DEFINED      002      0   52904      0
D  WPX ENERGY INC              COMMON          98212B103     355   19694 SH       DEFINED      002      0   19694      0
D  YUM BRANDS INC              COMMON          988498101     402    5650 SH       DEFINED      002      0    5650      0
D  ZIMMER HOLDINGS INC         COMMON          98956P102     207    3220 SH       SOLE         002      0       0   3220