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

                               -----------------

                                   FORM 13F

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                              FORM 13F COVER PAGE

REPORT FOR THE QUARTER ENDED: 09/30/2009

CHECK HERE IF AMENDMENT: ( ) AMENDMENT NUMBER: ______

THIS AMENDMENT (CHECK ONLY ONE.): ( ) IS A RESTATEMENT.
                                  ( ) ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

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

Form 13F File Number: 28-05107

THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT AND THE PERSON BY WHOM
IT IS SIGNED HEREBY REPRESENT THAT THE PERSON SIGNING THE REPORT IS AUTHORIZED
TO SUBMIT IT, THAT ALL INFORMATION CONTAINED HEREIN IS TRUE, CORRECT AND
COMPLETE, AND THAT IT IS UNDERSTOOD THAT ALL REQUIRED ITEMS, STATEMENTS
SCHEDULES, LISTS, AND TABLES, ARE CONSIDERED INTEGRAL PARTS OF THIS FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

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

/s/ R. David Rosato
Bridgeport, CT
11/10/2009

REPORT TYPE (CHECK ONLY ONE.):

(X) 13F HOLDINGS REPORT

( ) 13F NOTICE

( ) 13F COMBINATION REPORT

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                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:                2

FORM 13F INFORMATION TABLE ENTRY TOTAL:         724
FORM 13F INFORMATION TABLE VALUE TOTAL:  $1,082,916

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
                                                                 ---------------------------------
                                                                         SHARES/                             VOTING AUTHORITY
                                                                  VALUE    PRN    SH/ PUT/ INVSTMT  OTHER   -------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT    PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    ---------------------------------  --------------  --------- ------- -------- --- ---- ------- -------- ------ ------ -----
                                                                                      
D   100,000THS TRAVEL CENTERS O        COMMON          JKE174103     0      50000 SH       SOLE      001         0      0 50000
D   1830 ASSOCIATES, LLC               COMMON          SU0001655   611          1 SH       OTHER     001         1      0     0
D   3M CO                              COMMON          88579Y101   583       7903 SH       DEFINED   002         0   7903     0
D   3M CO                              COMMON          88579Y101  5271      71418 SH       SOLE      001     62563    515  8340
D   3M CO                              COMMON          88579Y101  1529      20719 SH       OTHER     001     20209    150   360
D   50 SOUTH TENTH STREET CORP         COMMON          REIT00058   200          2 SH       SOLE      001         2      0     0
D   ABBOTT LABS                        COMMON          002824100   586      11849 SH       DEFINED   002         0  11849     0
D   ABBOTT LABS                        COMMON          002824100  1106      22355 SH       SOLE      002       100      0 22255
D   ABBOTT LABS                        COMMON          002824100  1793      36249 SH       SOLE      001     34645    500  1104
D   ABBOTT LABS                        COMMON          002824100   800      16163 SH       OTHER     001     16163      0     0
D   ACCENTURE PLC IRELAND              SPONSORED ADR   G1151C101  1295      34735 SH       SOLE      001     25730      0  9005
D   ACCENTURE PLC IRELAND              SPONSORED ADR   G1151C101   118       3177 SH       OTHER     001        50    550  2577
D   ACME UTD CORP                      COMMON          004816104   228      25232 SH       SOLE      001         0      0 25232
D   ACTIVISION BLIZZARD INC            COMMON          00507V109  2636     212750 SH       DEFINED   002       500 212250     0
D   AETNA INC                          COMMON          00817Y108   204       7324 SH       SOLE      001      7324      0     0
D   AFLAC INC                          COMMON          001055102  5133     120104 SH       SOLE      001    115100   2274  2730
D   AFLAC INC                          COMMON          001055102   745      17435 SH       OTHER     001     16640    757    38
D   AIG VAR ANN P79A4024918            OTHER           VARANN918    41      40864 SH       DEFINED   002      N.A.   N.A.  N.A.
D   AIG VAR ANN P79A4025803            OTHER           VARANN803    30   29918.87 SH       DEFINED   002      N.A.   N.A.  N.A.
D   AIR PRODS & CHEMS INC              COMMON          009158106  5844      75327 SH       SOLE      001     73259    938  1130
D   AIR PRODS & CHEMS INC              COMMON          009158106   280       3608 SH       OTHER     001      3151    457     0
D   AKAMAI TECHNOLOGIES                COMMON          00971T101   720      36600 SH       DEFINED   002         0  36600     0
D   ALASKA COMMUNICATIONS SYS G        COMMON          01167P101   111      12010 SH       SOLE      001         0      0 12010
D   ALASKA COMMUNICATIONS SYS G        COMMON          01167P101     6        620 SH       OTHER     001         0      0   620
D   ALCOA INC                          COMMON          013817101  2144     163407 SH       SOLE      001    162707      0   700
D   ALCOA INC                          COMMON          013817101   127       9658 SH       OTHER     001      9658      0     0
D   ALLERGAN INC                       COMMON          018490102  6720     118393 SH       SOLE      001    114987   1603  1803
D   ALLERGAN INC                       COMMON          018490102   573      10090 SH       OTHER     001      9062   1028     0
D   ALLIANCEBERNSTEIN INCOME           COMMON          01881E101    83      10000 SH       DEFINED   002         0  10000     0
D   ALTRIA GROUP INC                   COMMON          02209S103   364      20447 SH       DEFINED   002         0  20447     0
D   ALTRIA GROUP INC                   COMMON          02209S103  3447     193553 SH       SOLE      001    157001   3383 33169
D   ALTRIA GROUP INC                   COMMON          02209S103   385      21591 SH       OTHER     001     19026   1185  1380






                                                                    FORM 13F INFORMATION TABLE
                                                                 --------------------------------
                                                                         SHARES/                             VOTING AUTHORITY
                                                                  VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   --------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED  NONE
    ---------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------ ------- -----
                                                                                      
D   AMAZON COM INC                     COMMON          023135106    401     4300  SH      SOLE      001       240       0  4060
D   AMAZON COM INC                     COMMON          023135106     15      165  SH      OTHER     001        35       0   130
D   AMERICAN EXPRESS CO                COMMON          025816109    559    16490  SH      DEFINED   002         0   16490     0
D   AMERICAN EXPRESS CO                COMMON          025816109   1213    35783  SH      SOLE      001     34316          1467
D   AMERICAN EXPRESS CO                COMMON          025816109    312     9211  SH      OTHER     001      8461     750     0
D   AMGEN INC                          COMMON          031162100    580     9625  SH      DEFINED   002         0    9625     0
D   AMGEN INC                          COMMON          031162100    718    11920  SH      SOLE      002         0    1000 10920
D   AMGEN INC                          COMMON          031162AN0   4673  4685000 PRN      DEFINED   002         0 4685000     0
D   AMGEN INC                          COMMON          031162100   6890   114393  SH      SOLE      001    112448    1142   803
D   AMGEN INC                          COMMON          031162100    561     9308  SH      OTHER     001      8483     825     0
D   ANALOG DEVICES INC                 COMMON          032654105    286    10380  SH      SOLE      001     10380       0     0
D   APACHE CORP                        COMMON          037411105    725     7900  SH      SOLE      002         0       0  7900
D   APACHE CORP                        COMMON          037411105   7668    83497  SH      SOLE      001     74073    3507  5917
D   APACHE CORP                        COMMON          037411105    771     8401  SH      OTHER     001      7144     497   760
D   APPLE INC                          COMMON          037833100   1627     8776  SH      DEFINED   002         0    8776     0
D   APPLE INC                          COMMON          037833100  14056    75833  SH      SOLE      001     70723    2110  3000
D   APPLE INC                          COMMON          037833100   1284     6927  SH      OTHER     001      6236     641    50
D   ARM HLDGS PLC                      SPONSORED ADR   042068106      7      981  SH      OTHER     001         0       0   981
D   ARM HLDGS PLC                      SPONSORED ADR   042068106    162    23153  SH      SOLE      001         0       0 23153
D   ARROW FINL CORP                    COMMON          042744102    266     9738  SH      SOLE      001      9738       0     0
D   ARROW FINL CORP                    COMMON          042744102    359    13160  SH      OTHER     001     13160       0     0
D   ASTRAZENECA PLC                    SPONSORED ADR   046353108    565    12570  SH      SOLE      001         0       0 12570
D   ASTRAZENECA PLC                    SPONSORED ADR   046353108     30      660  SH      OTHER     001       100       0   560
D   AT&T INC                           COMMON          00206R102   1916    70932  SH      DEFINED   002        45   70887     0
D   AT&T INC                           COMMON          00206R102  15817   585594  SH      SOLE      001    533200    8846 43548
D   AT&T INC                           COMMON          00206R102   2848   105426  SH      OTHER     001    100311    3048  2067
D   AUTOMATIC DATA PROCESSING          COMMON          053015103    326     8283  SH      DEFINED   002         0    8283     0
D   AUTOMATIC DATA PROCESSING          COMMON          053015103   4980   126715  SH      SOLE      001    116504    7887  2324
D   AUTOMATIC DATA PROCESSING          COMMON          053015103    982    24991  SH      OTHER     001     19916    1025  4050
D   AVALONBAY CMNTYS INC               COMMON          053484101    156     2147  SH      SOLE      001      2112       0    35
D   AVALONBAY CMNTYS INC               COMMON          053484101    132     1813  SH      OTHER     001      1803       0    10
D   AVNET INC                          COMMON          053807103    541    20850  SH      DEFINED   002         0   20850     0
D   AVON PRODS INC                     COMMON          054303102   6321   186128  SH      SOLE      001    177982    2793  5353
D   AVON PRODS INC                     COMMON          054303102    468    13773  SH      OTHER     001     12394    1379     0
D   BAKER HUGHES INC                   COMMON          057224107   2160    50625  SH      SOLE      001     48542     406  1677
D   BAKER HUGHES INC                   COMMON          057224107    140     3286  SH      OTHER     001      3005     281     0
D   BALFOUR MACLAINE CORP              COMMON          058459AA6      0    15000  SH      DEFINED   002         0   15000     0
D   BANK OF AMERICA CORPORATION        COMMON          060505104    551    32568  SH      DEFINED   002         0   32568     0
D   BANK OF AMERICA CORPORATION        COMMON          060505724   1145    52800  SH      DEFINED   002         0   52800     0
D   BANK OF AMERICA CORPORATION        COMMON          060505104   6786   401059  SH      SOLE      001    400449       0   610
D   BANK OF AMERICA CORPORATION        COMMON          060505104    760    44926  SH      OTHER     001     44821     105     0
D   BANK OF NEW YORK MELLON COR        COMMON          064058100   6375   219904  SH      SOLE      001    213236    2892  3776






                                                                    FORM 13F INFORMATION TABLE
                                                                 --------------------------------
                                                                         SHARES/                            VOTING AUTHORITY
                                                                  VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   -------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    ---------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------ ------ -----
                                                                                     
D   BANK OF NEW YORK MELLON COR        COMMON          064058100    901   31068  SH       OTHER     001     29942  1126      0
D   BARD C R INC                       COMMON          067383109    882   11221  SH       SOLE      001      8591  1991    639
D   BARD C R INC                       COMMON          067383109    108    1369  SH       OTHER     001      1354     0     15
D   BAXTER INTERNATIONAL INC           COMMON          071813109   1404   24625  SH       DEFINED   002         0 24625      0
D   BAXTER INTERNATIONAL INC           COMMON          071813109    272    4772  SH       SOLE      001      2452     0   2320
D   BAXTER INTERNATIONAL INC           COMMON          071813109    183    3205  SH       OTHER     001      3000   157     48
D   BB&T CORP                          COMMON          054937107   1659   60900  SH       SOLE      001     60900     0      0
D   BB&T CORP                          COMMON          054937107      6     225  SH       OTHER     001       225     0      0
D   BECTON DICKINSON & CO              COMMON          075887109    865   12408  SH       DEFINED   002         0 12408      0
D   BECTON DICKINSON & CO              COMMON          075887109   1714   24567  SH       SOLE      001     18015  1738   4814
D   BECTON DICKINSON & CO              COMMON          075887109    344    4937  SH       OTHER     001      3617     0   1320
D   BENEFICIAL INTEREST IN TRUS        OTHER           SU0000723    475       1  SH       OTHER     001      N.A.  N.A.   N.A.
D   BERKSHIRE HATHAWAY INC CL B        COMMON          084670207    219      66  SH       DEFINED   002         0    66      0
D   BERKSHIRE HATHAWAY INC DEL         COMMON          084670108  10605     105  SH       SOLE      001       105     0      0
D   BERKSHIRE HATHAWAY INC DEL         COMMON          084670207   1602     482  SH       SOLE      001       460    21      1
D   BERKSHIRE HATHAWAY INC DEL         COMMON          084670207    459     138  SH       OTHER     001        38     0    100
D   BEST BUY INC                       COMMON          086516101   6363  169601  SH       SOLE      001    165468  1762   2371
D   BEST BUY INC                       COMMON          086516101    416   11086  SH       OTHER     001      9933  1153      0
D   BHP BILLITON LTD                   SPONSORED ADR   088606108    959   14529  SH       DEFINED   002         0 14529      0
D   BHP BILLITON LTD                   SPONSORED ADR   088606108   5599   84823  SH       SOLE      001     75485  1259   8079
D   BHP BILLITON LTD                   SPONSORED ADR   088606108    320    4847  SH       OTHER     001      3985   529    333
D   BIRDSEYE BUILDING COMPANY,         COMMON          STK000054    354   25000  SH       SOLE      001     25000     0      0
D   BOEING CO                          COMMON          097023105    534    9865  SH       SOLE      002         0     0   9865
D   BOEING CO                          COMMON          097023105   2548   47057  SH       SOLE      001     39757     0   7300
D   BOEING CO                          COMMON          097023105    690   12747  SH       OTHER     001      4219     0   8528
D   BP PLC                             SPONSORED ADR   055622104    452    8495  SH       DEFINED   002         0  8495      0
D   BP PLC                             SPONSORED ADR   055622104    229    4306  SH       SOLE      002       200     0   4106
D   BP PLC                             SPONSORED ADR   055622104  11663  219115  SH       SOLE      001    200480  3255  15380
D   BP PLC                             SPONSORED ADR   055622104   1356   25466  SH       OTHER     001     24002   794    670
D   BRISTOL MYERS SQUIBB CO            COMMON          110122108   1500   66615  SH       SOLE      001     34710   200  31705
D   BRISTOL MYERS SQUIBB CO            COMMON          110122108    488   21669  SH       OTHER     001     18359     0   3310
D   BRISTOL- MYERS SQUIBB CO           COMMON          110122108    532   23633  SH       DEFINED   002         0 23633      0
D   BRISTOL- MYERS SQUIBB CO           COMMON          110122108    327   14500  SH       SOLE      002       300  2000  12200
D   BURLINGTON NORTHN SANTA FE         COMMON          12189T104    225    2818  SH       DEFINED   002         0  2818      0
D   BURLINGTON NORTHN SANTA FE         COMMON          12189T104    244    3057  SH       SOLE      001      2757     0    300
D   BURLINGTON NORTHN SANTA FE         COMMON          12189T104    529    6629  SH       OTHER     001      3602     0   3027
D   CANADIAN NATL RY CO                SPONSORED ADR   136375102    468    9545  SH       SOLE      001      1220     0   8325
D   CANADIAN NATL RY CO                SPONSORED ADR   136375102     14     280  SH       OTHER     001         0     0    280
D   CANADIAN PAC RY LTD                SPONSORED ADR   13645T100    217    4645  SH       SOLE      001         0     0   4645
D   CANADIAN PAC RY LTD                SPONSORED ADR   13645T100      7     154  SH       OTHER     001         0     0    154
D   CARNIVAL CORP                      COMMON          143658300    215    6460  SH       SOLE      001      6460     0      0
D   CARNIVAL CORP                      COMMON          143658300     16     475  SH       OTHER     001       475     0      0






                                                                 FORM 13F INFORMATION TABLE
                                                             -----------------------------------
                                                                      SHARES/                                VOTING AUTHORITY
                                                              VALUE     PRN     SH/ PUT/ INVSTMT  OTHER   -----------------------
           NAME OF ISSUER          TITLE OF CLASS    CUSIP   (X1000)    AMT     PRN CALL DSCRETN MANAGERS  SOLE    SHARED   NONE
    -----------------------------  --------------  --------- ------- ---------- --- ---- ------- -------- ------ ---------- -----
                                                                                        
D   CATERPILLAR INC                   COMMON       149123101    896  17458.9506 SH       DEFINED   002         0 17458.9506     0
D   CATERPILLAR INC                   COMMON       149123101    299        5825 SH       SOLE      002       125          0  5700
D   CATERPILLAR INC                   COMMON       149123101   5538      107897 SH       SOLE      001    107897          0     0
D   CATERPILLAR INC                   COMMON       149123101    389        7571 SH       OTHER     001      7471          0   100
D   CENTRAL FINL CORP VT              COMMON       153472105   2428       36240 SH       SOLE      001     36240          0     0
D   CHESAPEAKE ENERGY CORP            COMMON       165167107    301       10600 SH       DEFINED   002         0      10600     0
D   CHEVRON CORP                      COMMON       166764100   3830       54387 SH       DEFINED   002       100      54287     0
D   CHEVRON CORP                      COMMON       166764100   1207       17140 SH       SOLE      002       300          0 16840
D   CHEVRON CORP                      COMMON       166764100  17982      255318 SH       SOLE      001    240184       3335 11799
D   CHEVRON CORP                      COMMON       166764100   2533       35971 SH       OTHER     001     34538        973   460
D   CHIMERA INVT CORP                 COMMON       16934Q109     86       22500 SH       SOLE      001     22500          0     0
D   CHUBB CORP                        COMMON       171232101   1719       34097 SH       SOLE      001     30483       2694   920
D   CHUBB CORP                        COMMON       171232101    315        6243 SH       OTHER     001      5468        655   120
D   CISCO SYS INC                     COMMON       17275R102  16116      684632 SH       SOLE      001    655092      15011 14529
D   CISCO SYS INC                     COMMON       17275R102   1821       77349 SH       OTHER     001     72126       2106  3117
D   CISCO SYS INC                     COMMON       17275R102   1649       70063 SH       DEFINED   002         0      70063     0
D   CITADEL BROADCASTING CORP         COMMON       17285T106      3       41532 SH       SOLE      001     41532          0     0
D   CITADEL BROADCASTING CORP         COMMON       17285T106      0          23 SH       OTHER     001         0          0    23
D   CITIGROUP INC                     COMMON       172967101    158       32621 SH       DEFINED   002         0      32621     0
D   CITIGROUP INC                     COMMON       172967101    580      119895 SH       SOLE      001    119295          0   600
D   CITIGROUP INC                     COMMON       172967101     87       18019 SH       OTHER     001     17180          0   839
D   CITRIX SYS INC                    COMMON       177376100    346        8818 SH       SOLE      001      8078          0   740
D   CITRIX SYS INC                    COMMON       177376100     90        2285 SH       OTHER     001      2285          0     0
D   CLECO CORP                        COMMON       12561W105    130        5180 SH       SOLE      001         0          0  5180
D   CLECO CORP                        COMMON       12561W105    220        8760 SH       OTHER     001      8500          0   260
D   CLOROX CO DEL                     COMMON       189054109    647       10996 SH       SOLE      001     10996          0     0
D   CLOROX CO DEL                     COMMON       189054109    163        2779 SH       OTHER     001      2679          0   100
D   COACH INC                         COMMON       189754104   4071      123665 SH       SOLE      001    122988          0   677
D   COACH INC                         COMMON       189754104    204        6184 SH       OTHER     001      6125          0    59
D   COBBLE HILL HOLDINGS, INC         COMMON       19088P208    755       75455 SH       OTHER     001     75455          0     0
D   COCA COLA CO                      COMMON       191216100   7586      141266 SH       SOLE      001    138862        254  2150
D   COCA COLA CO                      COMMON       191216100    975       18162 SH       OTHER     001     17027       1135     0
D   COCA COLA CO                      COMMON       191216100   1151       21437 SH       DEFINED   002         0      21437     0
D   COCA COLA CO                      COMMON       191216100    403        7500 SH       SOLE      002         0          0  7500
D   COGNIZANT TECHNOLOGY SOLUTI       COMMON       192446102    195        5035 SH       SOLE      001                    0  5035
D   COGNIZANT TECHNOLOGY SOLUTI       COMMON       192446102     20         529 SH       OTHER     001       440          0    89
D   COLGATE PALMOLIVE CO              COMMON       194162103   5797       75992 SH       SOLE      001     68405       2648  4939
D   COLGATE PALMOLIVE CO              COMMON       194162103    537        7042 SH       OTHER     001      4952       1905   185
D   COLGATE PALMOLIVE CO              COMMON       194162103    812       10650 SH       DEFINED   002         0      10650     0
D   COLGATE PALMOLIVE CO              COMMON       194162103   1365       17901 SH       SOLE      002         0          0 17901
D   COMCAST CORP                      COMMON       20030N200    322       20015 SH       SOLE      001     20015          0     0
D   COMCAST CORP                      COMMON       20030N200      6         350 SH       OTHER     001       350          0     0






                                                                      FORM 13F INFORMATION TABLE
                                                                   --------------------------------
                                                                           SHARES/                            VOTING AUTHORITY
                                                                    VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   -------------------
              NAME OF ISSUER             TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    -----------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------ ------ -----
                                                                                       
D   COMCAST CORP CL A                    COMMON          20030N101   244    14426  SH       DEFINED   002         0 14426      0
D   COMCAST CORP CL A                    COMMON          20030N101   193    11406  SH       SOLE      001     10896     0    510
D   COMCAST CORP CL A                    COMMON          20030N101    52     3110  SH       OTHER     001      3110     0      0
D   COMMUNITY SVC COMMUNICATION          COMMON          20404P203    21    13250  SH       SOLE      001     13250     0      0
D   COMPUSONICS VIDEO CORP               COMMON          209929108     0    20384  SH       SOLE      001     20384     0      0
D   CONNECTICUT RIV CMNTY BK WE          COMMON          207696105   245    29375  SH       SOLE      001     29375     0      0
D   CONOCOPHILLIPS                       COMMON          20825C104  1721    38109  SH       DEFINED   002         0 38109      0
D   CONOCOPHILLIPS                       COMMON          20825C104   759    16800  SH       SOLE      002       400   600  15800
D   CONOCOPHILLIPS                       COMMON          20825C104  3166    70116  SH       SOLE      001     69818     0    298
D   CONOCOPHILLIPS                       COMMON          20825C104   211     4673  SH       OTHER     001      4612     0     61
D   CONSOLIDATED EDISON INC              COMMON          209115104  1981    48400  SH       SOLE      001     48400     0      0
D   CONSOLIDATED EDISON INC              COMMON          209115104   458    11185  SH       OTHER     001     10985     0    200
D   CORNING INC                          COMMON          219350105   225    14725  SH       DEFINED   002         0 14725      0
D   CORNING INC                          COMMON          219350105  8959   585187  SH       SOLE      001    567333  5645  12209
D   CORNING INC                          COMMON          219350105   725    47366  SH       OTHER     001     45366  1854    146
D   CORPORATE PROPERTY ASSOCIAT          COMMON          22002Y107   239    19627  SH       SOLE      001     19627     0      0
D   CORRIDOR COMMUNICATIONS COR          COMMON          220261101     0   110000  SH       OTHER     001    110000     0      0
D   COSTCO WHSL CORP                     COMMON          22160K105  2000    35470  SH       SOLE      001     30765     0   4705
D   COSTCO WHSL CORP                     COMMON          22160K105   126     2240  SH       OTHER     001      2100     0    140
D   CSX CORP                             COMMON          126408103   210     5026  SH       DEFINED   002         0  5026      0
D   CSX CORP                             COMMON          126408103  5032   120205  SH       SOLE      001    116547  1792   1866
D   CSX CORP                             COMMON          126408103   469    11194  SH       OTHER     001      6188  1006   4000
D   CVS CAREMARK CORPORATION             COMMON          126650100   440    12300  SH       DEFINED   002         0 12300      0
D   CVS CAREMARK CORPORATION             COMMON          126650100   370    10350  SH       SOLE      002         0     0  10350
D   CVS CAREMARK CORPORATION             COMMON          126650100  5858   163908  SH       SOLE      001    161614   288   2006
D   CVS CAREMARK CORPORATION             COMMON          126650100   618    17284  SH       OTHER     001     16779   505      0
D   DANAHER CORP DEL                     COMMON          235851102  3558    52850  SH       SOLE      001     48555  3933    362
D   DANAHER CORP DEL                     COMMON          235851102   497     7385  SH       OTHER     001      6735   500    150
D   DARDEN RESTAURANTS INC               COMMON          237194105  1002    29371  SH       SOLE      001     28811     0    560
D   DEERE & CO                           COMMON          244199105  1335    31115  SH       DEFINED   002         0 31115      0
D   DEERE & CO                           COMMON          244199105  5157   120158  SH       SOLE      001    118227   439   1492
D   DEERE & CO                           COMMON          244199105   251     5845  SH       OTHER     001      5723   122      0
D   DELL INC                             COMMON          24702R101  1764   115611  SH       SOLE      001    115611     0      0
D   DELL INC                             COMMON          24702R101    53     3470  SH       OTHER     001      3470     0      0
D   DEVON ENERGY CORP                    COMMON          25179M103  7070   105000  SH       SOLE      001    101088  3225    687
D   DEVON ENERGY CORP                    COMMON          25179M103   356     5285  SH       OTHER     001      4840   445      0
D   DIAGEO P L C                         SPONSORED ADR   25243Q205   726    11811  SH       SOLE      001        61     0  11750
D   DIAGEO P L C                         SPONSORED ADR   25243Q205   115     1865  SH       OTHER     001      1345     0    520
D   DIAGEO P L C                         SPONSORED ADR   25243Q205   327     5326  SH       DEFINED   002         0  5326      0
D   DISCOVER FINL SVCS                   COMMON          254709108   168    10368  SH       SOLE      001     10368     0      0
D   DISCOVER FINL SVCS                   COMMON          254709108     4      224  SH       OTHER     001       224     0      0
D   DISNEY WALT CO                       COMMON          254687106   824    30011  SH       DEFINED   002         0 30011      0






                                                                      FORM 13F INFORMATION TABLE
                                                                   --------------------------------
                                                                           SHARES/                            VOTING AUTHORITY
                                                                    VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   -------------------
              NAME OF ISSUER             TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    -----------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------ ------ -----
                                                                                       
D   DISNEY WALT CO                       COMMON          254687106  17286  629489  SH       SOLE      001    621701   3276  4512
D   DISNEY WALT CO                       COMMON          254687106    588   21396  SH       OTHER     001     19562   1534   300
D   DOMINION RES INC VA                  COMMON          25746U109   4175  121014  SH       SOLE      001    116549   2325  2140
D   DOMINION RES INC VA                  COMMON          25746U109    612   17730  SH       OTHER     001     16250   1280   200
D   DOMINION RES INC VA                  COMMON          25746U109    289    8372  SH       DEFINED   002         0   8372     0
D   DOVER CORP                           COMMON          260003108    141    3630  SH       SOLE      001      3573      0    57
D   DOVER CORP                           COMMON          260003108    322    8320  SH       OTHER     001      6025   2190   105
D   DOW CHEM CO                          COMMON          260543103   3090  118544  SH       SOLE      001    111348      0  7196
D   DOW CHEM CO                          COMMON          260543103    398   15273  SH       OTHER     001     15123      0   150
D   DOW CHEM CO                          COMMON          260543103    242    9300  SH       DEFINED   002         0   9300     0
D   DREYFUS STR MUNI LEO SERIES          COMMON          261932404    200  200000  PRN      DEFINED   002         0 200000     0
D   DU PONT E I DE NEMOURS & CO          COMMON          263534109    212    6588  SH       DEFINED   002         0   6588     0
D   DU PONT E I DE NEMOURS & CO          COMMON          263534109   1737   54053  SH       SOLE      001     53853    200     0
D   DU PONT E I DE NEMOURS & CO          COMMON          263534109    724   22524  SH       OTHER     001     22184    340     0
D   E M C CORP MASS                      COMMON          268648102    600   35226  SH       OTHER     001     32287   2939     0
D   E M C CORP MASS                      COMMON          268648102   8062  473135  SH       SOLE      001    445435  17582 10118
D   EBAY INC                             COMMON          278642103    170    7201  SH       SOLE      001      7201      0     0
D   EBAY INC                             COMMON          278642103     75    3170  SH       OTHER     001      3170      0     0
D   ECOLAB INC                           COMMON          278865100    845   18286  SH       SOLE      001     10146      0  8140
D   ECOLAB INC                           COMMON          278865100     10     225  SH       OTHER     001         0      0   225
D   ELAN CORP PLC                        SPONSORED ADR   284131208    596   83808  SH       DEFINED   002         0  83808     0
D   ELDORADO GOLD CORP                   COMMON          284902103    342   30000  SH       SOLE      001     20000      0 10000
D   EMC CORP                             COMMON          268648102    994   58311  SH       DEFINED   002         0  58311     0
D   EMERSON ELEC CO                      COMMON          291011104    529   13210  SH       DEFINED   002         0  13210     0
D   EMERSON ELEC CO                      COMMON          291011104   5644  140817  SH       SOLE      001    131215    383  9219
D   EMERSON ELEC CO                      COMMON          291011104    947   23623  SH       OTHER     001     22872    421   330
D   ENCANA CORP                          COMMON          292505104   1526   26484  SH       SOLE      001     26484      0     0
D   ENCANA CORP                          COMMON          292505104     95    1645  SH       OTHER     001      1645      0     0
D   ENTERPRISE PRODS PARTNERS L          COMMON          293792107    217    7667  SH       SOLE      001      7667      0     0
D   ENTERPRISE PRODS PARTNERS L          COMMON          293792107     31    1100  SH       OTHER     001      1100      0     0
D   EXELON CORP                          COMMON          30161N101    226    4550  SH       DEFINED   002         0   4550     0
D   EXELON CORP                          COMMON          30161N101   8182  164902  SH       SOLE      001    158764   3824  2314
D   EXELON CORP                          COMMON          30161N101    670   13512  SH       OTHER     001     11796   1666    50
D   EXPEDITORS INTL WASH INC             COMMON          302130109    315    8967  SH       SOLE      001         0      0  8967
D   EXPEDITORS INTL WASH INC             COMMON          302130109      9     265  SH       OTHER     001         0      0   265
D   EXPRESS SCRIPTS INC                  COMMON          302182100   4149   53478  SH       SOLE      001     51106    823  1549
D   EXPRESS SCRIPTS INC                  COMMON          302182100    520    6699  SH       OTHER     001      4638    212  1849
D   EXXON MOBIL CORP                     COMMON          30231G102   5035   73393  SH       DEFINED   002         0  73393     0
D   EXXON MOBIL CORP                     COMMON          30231G102   1254   18275  SH       SOLE      002         0      0 18275
D   EXXON MOBIL CORP                     COMMON          30231G102  27051  394269  SH       SOLE      001    374838   9642  9789
D   EXXON MOBIL CORP                     COMMON          30231G102   8478  123573  SH       OTHER     001    105906  11127  6540
D   FEDERAL HOME LN MTG CORP             COMMON          313400624     26   14200  SH       DEFINED   002         0  14200     0






                                                                      FORM 13F INFORMATION TABLE
                                                                   --------------------------------
                                                                           SHARES/                             VOTING AUTHORITY
                                                                    VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   --------------------
              NAME OF ISSUER             TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE   SHARED NONE
    -----------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------- ------ -----
                                                                                        
D   FEDEX CORP                           COMMON          31428X106    528     7025 SH       DEFINED   002          0   7025     0
D   FEDEX CORP                           COMMON          31428X106    329     4375 SH       SOLE      001       4375      0     0
D   FEDEX CORP                           COMMON          31428X106     23      305 SH       OTHER     001        305      0     0
D   FIRSTENERGY CORP                     COMMON          337932107    302     6605 SH       SOLE      001       6605      0     0
D   FIRSTENERGY CORP                     COMMON          337932107     82     1793 SH       OTHER     001       1793      0     0
D   FISERV INC                           COMMON          337738108    329     6819 SH       SOLE      001       6074      0   745
D   FISERV INC                           COMMON          337738108      6      120 SH       OTHER     001        120      0     0
D   FORTUNE BRANDS INC                   COMMON          349631101    356     8273 SH       SOLE      001       8273      0     0
D   FORTUNE BRANDS INC                   COMMON          349631101     28      660 SH       OTHER     001        660      0     0
D   FPL GROUP INC                        COMMON          302571104    224     4048 SH       DEFINED   002          0   4048     0
D   FPL GROUP INC                        COMMON          302571104   3205    58030 SH       SOLE      001      44888   2774 10368
D   FPL GROUP INC                        COMMON          302571104    765    13853 SH       OTHER     001      13098    355   400
D   FREEPORT-MCMORAN COPPER & G          COMMON          35671D857    324     4722 SH       SOLE      001       1605      0  3117
D   FREEPORT-MCMORAN COPPER & G          COMMON          35671D857    103     1503 SH       OTHER     001       1074    429     0
D   FRONTIER OIL CORP                    COMMON          35914P105   4393   315590 SH       SOLE      001     311488    494  3608
D   FRONTIER OIL CORP                    COMMON          35914P105    383    27523 SH       OTHER     001      26473   1050     0
D   FSP 303 EAST WACKER DRIVE C          COMMON          REIT00108    300        3 SH       SOLE      001          3      0     0
D   FSP GRAND BOULEVARD CORP             COMMON          REIT00009    300        3 SH       SOLE      001          3      0     0
D   GANNETT INC                          COMMON          364730101    175    13970 SH       SOLE      001      13970      0     0
D   GATEROCKET INC                       COMMON          367359999     20    26668 SH       SOLE      001      26668      0     0
D   GENERAL DYNAMICS CORP                COMMON          369550108   1282    19847 SH       SOLE      001      17371   1966   510
D   GENERAL DYNAMICS CORP                COMMON          369550108    180     2785 SH       OTHER     001       2695      0    90
D   GENERAL ELEC CAP CORP                COMMON          369622519    324    13450 SH       SOLE      001      13450      0     0
D   GENERAL ELEC CAP CORP                COMMON          369622519     39     1600 SH       OTHER     001       1600      0     0
D   GENERAL ELECTRIC CO                  COMMON          369604103   1900   115712 SH       DEFINED   002          0 115712     0
D   GENERAL ELECTRIC CO                  COMMON          369604103    362    22057 SH       SOLE      002        500   1300 20257
D   GENERAL ELECTRIC CO                  COMMON          369604103  18654  1136076 SH       SOLE      001    1069452  26894 39730
D   GENERAL ELECTRIC CO                  COMMON          369604103   3226   196451 SH       OTHER     001     151723  36418  8310
D   GENERAL MILLS INC                    COMMON          370334104    324     5025 SH       DEFINED   002          0   5025     0
D   GENERAL MILLS INC                    COMMON          370334104    876    13602 SH       SOLE      001      13151      0   451
D   GENERAL MILLS INC                    COMMON          370334104     99     1545 SH       OTHER     001       1245    300     0
D   GENUINE PARTS CO                     COMMON          372460105   9809   257714 SH       SOLE      001     232417   6150 19147
D   GENUINE PARTS CO                     COMMON          372460105    615    16151 SH       OTHER     001      13788   1603   760
D   GENZYME CORP                         COMMON          372917104   1291    22750 SH       DEFINED   002          0  22750     0
D   GILEAD SCIENCES INC                  COMMON          375558103   1253    26950 SH       DEFINED   002          0  26950     0
D   GILEAD SCIENCES INC                  COMMON          375558103    339     7300 SH       SOLE      002        300      0  7000
D   GILEAD SCIENCES INC                  COMMON          375558103   2423    52111 SH       SOLE      001      44000    102  8009
D   GILEAD SCIENCES INC                  COMMON          375558103    191     4103 SH       OTHER     001       3630    288   185
D   GLAXOSMITHKLINE PLC                  SPONSORED ADR   37733W105    515    13034 SH       DEFINED   002          0  13034     0
D   GLAXOSMITHKLINE PLC                  SPONSORED ADR   37733W105    256     6467 SH       SOLE      001       5326      0  1141
D   GLAXOSMITHKLINE PLC                  SPONSORED ADR   37733W105    125     3169 SH       OTHER     001       2495    674     0
D   GOLDMAN SACHS GROUP INC              COMMON          38141G104    313     1700 SH       DEFINED   002          0   1700     0






                                                                      FORM 13F INFORMATION TABLE
                                                                   --------------------------------
                                                                           SHARES/                            VOTING AUTHORITY
                                                                    VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   -------------------
              NAME OF ISSUER             TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    -----------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------ ------ -----
                                                                                       
D   GOLDMAN SACHS GROUP INC              COMMON          38141G104   3488   18919  SH       SOLE      001     17481   683    755
D   GOLDMAN SACHS GROUP INC              COMMON          38141G104    105     571  SH       OTHER     001       510     0     61
D   GOOGLE INC                           COMMON          38259P508    599    1209  SH       SOLE      001       480     0    729
D   GOOGLE INC                           COMMON          38259P508     61     123  SH       OTHER     001       102     0     21
D   GREEN MTN COFFEE ROASTERS I          COMMON          393122106    340    4600  SH       SOLE      001      4600     0      0
D   HALLIBURTON CO                       COMMON          406216101    487   17950  SH       DEFINED   002         0 17950      0
D   HALLIBURTON CO                       COMMON          406216101    129    4760  SH       SOLE      001      4760     0      0
D   HALLIBURTON CO                       COMMON          406216101    109    4025  SH       OTHER     001      4025     0      0
D   HAMPDEN BANCORP INC                  COMMON          40867E107    238   21968  SH       SOLE      001     21968     0      0
D   HARMONIC INC                         COMMON          413160102     72   10770  SH       SOLE      001         0     0  10770
D   HARMONIC INC                         COMMON          413160102      4     545  SH       OTHER     001         0     0    545
D   HEALTH CARE REIT INC                 COMMON          42217K106    491   11806  SH       SOLE      001         0     0  11806
D   HEALTH CARE REIT INC                 COMMON          42217K106     22     530  SH       OTHER     001         0     0    530
D   HEINZ H J CO                         COMMON          423074103    877   22059  SH       SOLE      001      5209     0  16850
D   HEINZ H J CO                         COMMON          423074103    148    3720  SH       OTHER     001      3000     0    720
D   HENRY JACK & ASSOC INC               COMMON          426281101    367   15647  SH       SOLE      001     14605   586    456
D   HENRY JACK & ASSOC INC               COMMON          426281101     87    3695  SH       OTHER     001      3695     0      0
D   HERSHEY CO                           COMMON          427866108    264    6800  SH       SOLE      001      6800     0      0
D   HERSHEY CO                           COMMON          427866108    309    7950  SH       OTHER     001      7950     0      0
D   HEWLETT PACKARD CO                   COMMON          428236103    713   15105  SH       DEFINED   002         0 15105      0
D   HEWLETT PACKARD CO                   COMMON          428236103  13617  288429  SH       SOLE      001    271235  5688  11506
D   HEWLETT PACKARD CO                   COMMON          428236103   1862   39450  SH       OTHER     001     25929  9316   4205
D   HOME DEPOT INC                       COMMON          437076102    625   23446  SH       DEFINED   002         0 23446      0
D   HOME DEPOT INC                       COMMON          437076102  10422  391228  SH       SOLE      001    383430  3389   4409
D   HOME DEPOT INC                       COMMON          437076102   1140   42799  SH       OTHER     001     41407  1392      0
D   HONEYWELL INTERNATIONAL INC          COMMON          438516106    566   15242  SH       DEFINED   002         0 15242      0
D   HONEYWELL INTERNATIONAL INC          COMMON          438516106   6524  175606  SH       SOLE      001    171598  1937   2071
D   HONEYWELL INTERNATIONAL INC          COMMON          438516106    620   16687  SH       OTHER     001     15793   894      0
D   HSBC HLDGS PLC                       SPONSORED ADR   404280406    610   10630  SH       SOLE      001      1000     0   9630
D   HSBC HLDGS PLC                       SPONSORED ADR   404280406     25     430  SH       OTHER     001         0     0    430
D   HUBBELL INC                          COMMON          443510201     95    2270  SH       SOLE      001      2270     0      0
D   HUBBELL INC                          COMMON          443510201    147    3500  SH       OTHER     001      3500     0      0
D   IDEXX LABS INC                       COMMON          45168D104   1053   21050  SH       SOLE      001     16055  3536   1459
D   IDEXX LABS INC                       COMMON          45168D104    105    2094  SH       OTHER     001      1754   340      0
D   ILLINOIS TOOL WORKS INC              COMMON          452308109    222    5200  SH       SOLE      002         0     0   5200
D   ILLINOIS TOOL WORKS INC              COMMON          452308109    156    3652  SH       SOLE      001      3652     0      0
D   ILLINOIS TOOL WORKS INC              COMMON          452308109    120    2798  SH       OTHER     001      2798     0      0
D   IMAGING DIAGNOSTIC SYS INC           COMMON          45244W100      0   40000  SH       SOLE      001     40000     0      0
D   INFOSYS TECHNOLOGIES LTD             SPONSORED ADR   456788108    267    5514  SH       SOLE      001         0     0   5514
D   INFOSYS TECHNOLOGIES LTD             SPONSORED ADR   456788108      8     172  SH       OTHER     001         0     0    172
D   INGERSOLL-RAND PLC                   COMMON          G47791101    319   10411  SH       DEFINED   002         0 10411      0
D   INTEL CORP                           COMMON          458140100    384   19622  SH       DEFINED   002         0 19622      0






                                                                      FORM 13F INFORMATION TABLE
                                                                   --------------------------------
                                                                           SHARES/                            VOTING AUTHORITY
                                                                    VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   -------------------
              NAME OF ISSUER             TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    -----------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------ ------ -----
                                                                                       
D   INTEL CORP                              COMMON       458140100  15423  788071  SH       SOLE      001    768851  8388  10832
D   INTEL CORP                              COMMON       458140100   2063  105429  SH       OTHER     001     94195  3834   7400
D   INTERCONTINENTALEXCHANGE IN             COMMON       45865V100    324    3331  SH       SOLE      001         0     0   3331
D   INTERCONTINENTALEXCHANGE IN             COMMON       45865V100     11     110  SH       OTHER     001         0     0    110
D   INTERNATIONAL BUSINESS MACH             COMMON       459200101   2135   17852  SH       DEFINED   002         0 17852      0
D   INTERNATIONAL BUSINESS MACH             COMMON       459200101   1942   16236  SH       SOLE      002       100     0  16136
D   INTERNATIONAL BUSINESS MACH             COMMON       459200101  14315  119678  SH       SOLE      001    113067   200   6411
D   INTERNATIONAL BUSINESS MACH             COMMON       459200101   2881   24089  SH       OTHER     001     20494  1540   2055
D   ISHARES BARCLAYS 1-3 YR CRE             OTHER        464288646   1783   17087  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES BARCLAYS 1-3 YR CRE             OTHER        464288646    712    6819  SH       SOLE      002      N.A.  N.A.   N.A.
D   ISHARES BARCLAYS 1-3YR TRS              OTHER        464287457   1986   23642  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES BARCLAYS 1-3YR TRS              OTHER        464287457    404    4807  SH       SOLE      002      N.A.  N.A.   N.A.
D   ISHARES BARCLAYS TIPS BOND              OTHER        464287176   8590   83497  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES COMEX GOLD TR                   OTHER        464285105    500    5059  SH       SOLE      001      N.A.  N.A.   N.A.
D   ISHARES COMEX GOLD TR                   OTHER        464285105     99    1005  SH       OTHER     001      N.A.  N.A.   N.A.
D   ISHARES DJ US BASIC MATERIA             OTHER        464287838    286    5210  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES MSCI CANADA INDEX               OTHER        464286509    562   22075  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES MSCI EAFE INDEX                 OTHER        464287465    849   15525  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES MSCI EMERG MKT INDE             OTHER        464287234    631   16222  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES MSCI EMERG MKT INDE             OTHER        464287234    228    5862  SH       SOLE      002      N.A.  N.A.   N.A.
D   ISHARES MSCI PAC EXJAPAN                OTHER        464286665    274    6752  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES NASDAQ BIOTECH INDE             OTHER        464287556    349    4290  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES RUSSELL 1000 GROWTH             OTHER        464287614    228    4915  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES RUSSELL 1000 INDEX              OTHER        464287622    602   10354  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES RUSSELL 2000 INDEX              OTHER        464287655    953   15820  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES RUSSELL MIDCAP INDE             OTHER        464287499   1241   15869  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES S&P 500 GROWTH INDE             OTHER        464287309   1757   32535  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES S&P 500 INDEX                   OTHER        464287200   1436   13545  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES S&P 500 VALUE INDEX             OTHER        464287408   1635   31945  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES S&P 500 VALUE INDEX             OTHER        464287408    215    4200  SH       SOLE      002      N.A.  N.A.   N.A.
D   ISHARES S&P GLBL ENERGY                 OTHER        464287341    483   14168  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES S&P GLBL HEALTHCARE             OTHER        464287325    699   14456  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES S&P MIDCAP 400                  OTHER        464287507    255    3694  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES S&P MIDCAP 400 GR               OTHER        464287606    206    2790  SH       DEFINED   002      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287325    527   10900  SH       SOLE      001      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287325     12     240  SH       OTHER     001      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287374    521   16085  SH       SOLE      001      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287374    110    3400  SH       OTHER     001      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287689    572    9232  SH       OTHER     001      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287762    233    3950  SH       SOLE      001      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287838   1256   22915  SH       SOLE      001      N.A.  N.A.   N.A.
D   ISHARES TR INDEX                        OTHER        464287838     45     825  SH       OTHER     001      N.A.  N.A.   N.A.






                                                                      FORM 13F INFORMATION TABLE
                                                                   --------------------------------
                                                                           SHARES/                            VOTING AUTHORITY
                                                                    VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   -------------------
             NAME OF ISSUER            TITLE OF CLASS     CUSIP    (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    ---------------------------------  --------------  ----------- ------- ------- --- ---- ------- -------- ------ ------ -----
                                                                                       
D   ITAU UNIBANCO HLDG SA              SPONSORED ADR   D 465562106    210   10434  SH       SOLE      001      4680     0   5754
D   ITAU UNIBANCO HLDG SA              SPONSORED ADR   D 465562106      6     283  SH       OTHER     001         0     0    283
D   ITT CORP                           COMMON          450911102     1430   27425  SH       SOLE      001     27225     0    200
D   ITT CORP                           COMMON          450911102       58    1110  SH       OTHER     001      1110     0      0
D   JACOBS ENGINEERING GROUP           COMMON          469814107      307    6686  SH       DEFINED   002         0  6686      0
D   JACOBS ENGINEERING GROUP           COMMON          469814107      300    6525  SH       SOLE      002         0     0   6525
D   JACOBS ENGINEERING GROUP           COMMON          469814107     1708   37173  SH       SOLE      001     35850     0   1323
D   JACOBS ENGINEERING GROUP           COMMON          469814107      303    6589  SH       OTHER     001      6550     0     39
D   JOHNSON & JOHNSON                  COMMON          478160104     2945   48365  SH       DEFINED   002         0 48365      0
D   JOHNSON & JOHNSON                  COMMON          478160104     2198   36100  SH       SOLE      002       500     0  35600
D   JOHNSON & JOHNSON                  COMMON          478160104    24945  409679  SH       SOLE      001    388617  7170  13892
D   JOHNSON & JOHNSON                  COMMON          478160104     4472   73442  SH       OTHER     001     62841  4116   6485
D   JOHNSON CTLS INC                   COMMON          478366107      138    5400  SH       SOLE      001      5400     0      0
D   JOHNSON CTLS INC                   COMMON          478366107       69    2700  SH       OTHER     001      2700     0      0
D   JPMORGAN CHASE & CO                COMMON          46625H100     1817   41471  SH       DEFINED   002         0 41471      0
D   JPMORGAN CHASE & CO                COMMON          46625H100    12238  279268  SH       SOLE      001    258156  5847  15265
D   JPMORGAN CHASE & CO                COMMON          46625H100     2120   48378  SH       OTHER     001     46431  1463    484
D   JUNIPER NETWORKS INC               COMMON          48203R104      335   12400  SH       SOLE      001       335     0  12065
D   JUNIPER NETWORKS INC               COMMON          48203R104        9     340  SH       OTHER     001        20     0    320
D   KELLOGG CO                         COMMON          487836108      559   11359  SH       SOLE      001      9655  1461    243
D   KELLOGG CO                         COMMON          487836108       98    1996  SH       OTHER     001      1896     0    100
D   KEYCORP                            COMMON          493267108       68   10469  SH       SOLE      001     10469     0      0
D   KEYCORP                            COMMON          493267108       13    1970  SH       OTHER     001      1970     0      0
D   KIMBERLY CLARK CORP                COMMON          494368103      810   13732  SH       OTHER     001     13142     0    590
D   KIMBERLY CLARK CORP                COMMON          494368103     3641   61730  SH       SOLE      001     49968     0  11762
D   KIMBERLY CLARK CORP                COMMON          494368103      313    5300  SH       DEFINED   002         0  5300      0
D   KIMCO REALTY CORP                  COMMON          49446R109      329   25200  SH       SOLE      001     25200     0      0
D   KIMCO REALTY CORP                  COMMON          49446R109       29    2250  SH       OTHER     001      2250     0      0
D   KINDER MORGAN ENERGY PARTNE        COMMON          494550106      696   12881  SH       DEFINED   002         0 12881      0
D   KINDER MORGAN ENERGY PARTNE        COMMON          494550106      271    5010  SH       SOLE      001      5010     0      0
D   KINDER MORGAN ENERGY PARTNE        COMMON          494550106      103    1900  SH       OTHER     001      1900     0      0
D   KINDER MORGAN MGMT LLC FRAC        COMMON          EKE55U103        0   68229  SH       SOLE      001     68229     0      0
D   KINROSS GOLD CORP                  COMMON          496902404      323   14900  SH       SOLE      001     11900     0   3000
D   KRAFT FOODS INC                    COMMON          50075N104     1494   56883  SH       SOLE      001     21855     0  35028
D   KRAFT FOODS INC                    COMMON          50075N104      206    7825  SH       OTHER     001      6481     0   1344
D   L-3 COMMUNICATIONS HLDGS IN        COMMON          502424104     2422   30149  SH       SOLE      001     28582   807    760
D   L-3 COMMUNICATIONS HLDGS IN        COMMON          502424104      438    5447  SH       OTHER     001      5016   410     21
D   LABORATORY CORP AMER HLDGS         COMMON          50540R409     3879   59047  SH       SOLE      001     55208  3222    617
D   LABORATORY CORP AMER HLDGS         COMMON          50540R409      336    5110  SH       OTHER     001      4535   430    145
D   LEGACY RESERVES LP                 COMMON          524707304      174   10300  SH       SOLE      001     10300     0      0
D   LEGACY RESERVES LP                 COMMON          524707304        7     400  SH       OTHER     001       400     0      0
D   LIFE TECHNOLOGIES CORP             COMMON          53217V109       63    1344  SH       SOLE      001      1330     0     14






                                                                   FORM 13F INFORMATION TABLE
                                                                --------------------------------
                                                                        SHARES/                             VOTING AUTHORITY
                                                                 VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   ---------------------
           NAME OF ISSUER           TITLE OF CLASS      CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED   NONE
    -----------------------------  ------------------ --------- ------- ------- --- ---- ------- -------- ------ ------- ------
                                                                                     
D   LIFE TECHNOLOGIES CORP         COMMON             53217V109    298     6400 SH       OTHER     001      6400       0      0
D   LILLY ELI & CO                 COMMON             532457108   1110    33600 SH       SOLE      001     17013       0  16587
D   LILLY ELI & CO                 COMMON             532457108    203     6149 SH       OTHER     001      5439       0    710
D   LINN ENERGY LLC                COMMON             536020100    211     9200 SH       SOLE      001      9200       0      0
D   LINN ENERGY LLC                COMMON             536020100    149     6500 SH       OTHER     001      6500       0      0
D   LMOM HOLDINGS, LLC SUBSCRIP    COMMON             LP0001380    520        1 SH       SOLE      001         1       0      0
D   LOCKHEED MARTIN CORP           COMMON             539830109   3659    46863 SH       SOLE      001     44310    2058    495
D   LOCKHEED MARTIN CORP           COMMON             539830109    368     4718 SH       OTHER     001      3749     250    719
D   LOWES COS INC                  COMMON             548661107    380    18150 SH       DEFINED   002         0   18150      0
D   LOWES COS INC                  COMMON             548661107   1159    55354 SH       SOLE      001     43379       0  11975
D   LOWES COS INC                  COMMON             548661107    187     8910 SH       OTHER     001      8505       0    405
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   MANULIFE FINL CORP             COMMON             56501R106    230    11000 SH       SOLE      001      3968     464   6568
D   MANULIFE FINL CORP             COMMON             56501R106      7      321 SH       OTHER     001         0       0    321
D   MARATHON OIL CORP              COMMON             565849106   2341    73370 SH       DEFINED   002         0   73370      0
D   MARATHON OIL CORP              COMMON             565849106    687    21533 SH       SOLE      001     17784    2995    754
D   MARATHON OIL CORP              COMMON             565849106    124     3873 SH       OTHER     001      3873       0      0
D   MARKET VECTORS GLOBAL AGR      OTHER              57060U605    557    14410 SH       DEFINED   002      N.A.    N.A.   N.A.
D   MARLIN CO.                     COMMON             571172295    202    28134 SH       SOLE      001     28134       0      0
D   MARSH & MCLENNAN COS INC       COMMON             571748102    237     9600 SH       SOLE      001      9600       0      0
D   MATTEL INC                     COMMON             577081102    203    11000 SH       SOLE      001     11000       0      0
D   MCCORMICK & CO INC             COMMON             579780206   2204    64938 SH       SOLE      001     63838       0   1100
D   MCCORMICK & CO INC             COMMON             579780206    279     8226 SH       OTHER     001      7884     342      0
D   MCDONALDS CORP                 COMMON             580135101   3263    57175 SH       DEFINED   002         0   57175      0
D   MCDONALDS CORP                 COMMON             580135101    237     4146 SH       SOLE      002       800       0   3346
D   MCDONALDS CORP                 COMMON             580135101  10262   179807 SH       SOLE      001    168414    5127   6266
D   MCDONALDS CORP                 COMMON             580135101    932    16337 SH       OTHER     001     13151     836   2350
D   MEDCO HEALTH SOLUTIONS INC     COMMON             58405U102    499     9018 SH       DEFINED   002         0    9018      0
D   MEDCO HEALTH SOLUTIONS INC     COMMON             58405U102    252     4556 SH       SOLE      002         0       0   4556
D   MEDCO HEALTH SOLUTIONS INC     COMMON             58405U102    239     4326 SH       SOLE      001      4326       0      0
D   MEDCO HEALTH SOLUTIONS INC     COMMON             58405U102    128     2320 SH       OTHER     001      2320       0      0
D   MEDTRONIC INC                  COMMON             585055106    603    16375 SH       DEFINED   002         0   16375      0
D   MEDTRONIC INC                  COMMON             585055AL0   4920  4945000 PRN      DEFINED   002         0 4945000      0
D   MEDTRONIC INC                  PREFERRED STOCK 1  585055AL0    448   450000 SH       SOLE      001      N.A.    N.A.   N.A.
D   MEDTRONIC INC                  COMMON             585055106   3033    82410 SH       SOLE      001     82410       0      0
D   MEDTRONIC INC                  COMMON             585055106    314     8541 SH       OTHER     001      8541       0      0
D   MERCHANTS BANCSHARES           COMMON             588448100    276    12904 SH       SOLE      001     12904       0      0
D   MERCK & CO INC                 COMMON             589331107   1171    37037 SH       SOLE      001     36297     260    480
D   MERCK & CO INC                 COMMON             589331107    664    21008 SH       OTHER     001     19708     800    500
D   METLIFE INC                    COMMON             59156R108   8313   218358 SH       SOLE      001    211506    4269   2583
D   METLIFE INC                    COMMON             59156R108    614    16125 SH       OTHER     001     15343     782      0






                                                                     FORM 13F INFORMATION TABLE
                                                                  --------------------------------
                                                                          SHARES/                              VOTING AUTHORITY
                                                                   VALUE    PRN   SH/ PUT/   INVSTMT  OTHER   -------------------
             NAME OF ISSUER            TITLE OF CLASS     CUSIP   (X1000)   AMT   PRN CALL   DSCRETN MANAGERS  SOLE  SHARED NONE
    ---------------------------------  ---------------- --------- ------- ------- --- ----   ------- -------- ------ ------ -----
                                                                                        
D   METLIFE INC 5.875                  PREFERRED STOCK  59156R405    268   10900  SH         DEFINED   002      N.A.   N.A.  N.A.
D   MICRO IMAGING TECH INC             COMMON           59484E100      2   24111  SH         OTHER     001     24111      0     0
D   MICROCHIP TECHNOLOGY INC           COMMON           595017104    207    7796  SH         SOLE      001      2598      0  5198
D   MICROCHIP TECHNOLOGY INC           COMMON           595017104      3     102  SH         OTHER     001         0      0   102
D   MICROSOFT CORP                     COMMON           594918104   1169   45457  SH         DEFINED   002         0  45457     0
D   MICROSOFT CORP                     COMMON           594918104    549   21349  SH         SOLE      002         0      0 21349
D   MICROSOFT CORP                     COMMON           594918104  17374  675507  SH         SOLE      001    630243   8553 36711
D   MICROSOFT CORP                     COMMON           594918104   2013   78266  SH         OTHER     001     73409   3856  1001
D   MONSANTO CO                        COMMON           61166W101    999   12905  SH         DEFINED   002         0  12905     0
D   MONSANTO CO                        COMMON           61166W101    313    4044  SH         SOLE      002       200      0  3844
D   MONSANTO CO                        COMMON           61166W101   3080   39796  SH         SOLE      001     34079    155  5562
D   MONSANTO CO                        COMMON           61166W101    636    8219  SH         OTHER     001      7277    113   829
D   MONSTER WORLDWIDE INC              COMMON           611742107    193   11044  SH         SOLE      001         0      0 11044
D   MONSTER WORLDWIDE INC              COMMON           611742107      4     228  SH         OTHER     001         0      0   228
D   MORGAN STANLEY                     COMMON           617446448   1145   37073  SH         SOLE      001     23363      0 13710
D   MORGAN STANLEY                     COMMON           617446448     30     986  SH         OTHER     001       448      0   538
D   Nasdaq Stock market                COMMON           631103108     32    1500  SH         SOLE      002      1500      0     0
D   Nasdaq Stock market                COMMON           631103108    441   20934  SH         SOLE      001     20503    191   240
D   Nasdaq Stock market                COMMON           631103108     84    3991  SH         OTHER     001      3721      0   270
D   NATIONAL FUEL GAS CO N J           COMMON           636180101    229    4996  SH         SOLE      001      2556      0  2440
D   NATIONAL FUEL GAS CO N J           COMMON           636180101     41     901  SH         OTHER     001       850      0    51
D   NATIONAL OILWELL VARCO INC         COMMON           637071101    358    8300  SH         DEFINED   002         0   8300     0
D   NATIONWIDE LIFE INS CO IRA         COMMON              NATION    386  386348  SH         DEFINED   002         0 386348     0
D   NAUGATUCK VY FINL CORP             COMMON           639067107     85   19280  SH         SOLE      002         0      0 19280
D   NESTLE S A                         SPONSORED ADR    641069406   1561   36685  SH         SOLE      001     31109      0  5576
D   NESTLE S A                         SPONSORED ADR    641069406     66    1542  SH         OTHER     001      1286      0   256
D   NEWALLIANCE BANCSHARES IN          COMMON           650203102    540   50500  SH         DEFINED   002         0  50500     0
D   NEWMONT MINING CORP                COMMON           651639106    312    7085  SH         SOLE      001      5085      0  2000
D   NEWMONT MINING CORP                COMMON           651639106      5     113  SH         OTHER     001       113      0     0
D   NIKE INC                           COMMON           654106103    330    5105  SH         SOLE      001       375      0  4730
D   NIKE INC                           COMMON           654106103     41     640  SH         OTHER     001       500      0   140
D   NOBLE CORPORATION BAAR             COMMON           H5833N103    258    6805  SH         SOLE      001       345      0  6460
D   NOBLE CORPORATION BAAR             COMMON           H5833N103     30     790  SH         OTHER     001       500      0   290
D   NOKIA CORP                         SPONSORED ADR    654902204    387   26491  SH         DEFINED   002         0  26491     0
D   NOKIA CORP                         SPONSORED ADR    654902204   4910  335840  SH         SOLE      001    296061   4241 35538
D   NOKIA CORP                         SPONSORED ADR    654902204    272   18588  SH         OTHER     001     14842   2386  1360
D   NORFOLK SOUTHERN CORP              COMMON           655844108    801   18569  SH         SOLE      002         0      0 18569
D   NORFOLK SOUTHERN CORP              COMMON           655844108    393    9110  SH         SOLE      001      9110      0     0
D   NORFOLK SOUTHERN CORP              COMMON           655844108    227    5275  SH         OTHER     001      4775      0   500
D   NORTHERN TR CORP                   COMMON           665859104    263    4520  SH         SOLE      001         0      0  4520
D   NORTHERN TR CORP                   COMMON           665859104      8     135  SH         OTHER     001         0      0   135
D   NORTHROP GRUMMAN CORP              COMMON           666807102    202    3894  SH         DEFINED   002         0   3894     0






                                                                    FORM 13F INFORMATION TABLE
                                                                 --------------------------------
                                                                         SHARES/                               VOTING AUTHORITY
                                                                  VALUE    PRN   SH/ PUT/   INVSTMT  OTHER   --------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL   DSCRETN MANAGERS  SOLE   SHARED NONE
    ---------------------------------  --------------  --------- ------- ------- --- ----   ------- -------- ------- ------ -----
                                                                                        
D   NORTHROP GRUMMAN CORP              COMMON          666807102   1185    22898 SH         SOLE      001      21721   196    981
D   NORTHROP GRUMMAN CORP              COMMON          666807102     26      504 SH         OTHER     001        150   354      0
D   NORWOOD RES LTD                    SPONSORED ADR   669958100      6    31470 SH         SOLE      001      31470     0      0
D   NOVARTIS A G                       SPONSORED ADR   66987V109    343     6800 SH         SOLE      002          0     0   6800
D   NOVARTIS A G                       SPONSORED ADR   66987V109   1750    34732 SH         SOLE      001      31547     0   3185
D   NOVARTIS A G                       SPONSORED ADR   66987V109    120     2387 SH         OTHER     001       2245     0    142
D   NUCOR CORP                         COMMON          670346105    498    10590 SH         SOLE      001       4350     0   6240
D   NUCOR CORP                         COMMON          670346105      9      195 SH         OTHER     001          5     0    190
D   NUVEEN FLAG CONN MUNI BOND         COMMON          67065N886    125    11757 SH         DEFINED   002          0 11757      0
D   NVIDIA CORP                        COMMON          67066G104    156    10400 SH         SOLE      001         35     0  10365
D   NVIDIA CORP                        COMMON          67066G104      5      316 SH         OTHER     001        100     0    216
D   OCCIDENTAL PETE CORP DEL           COMMON          674599105    239     3044 SH         SOLE      001       3044     0      0
D   OCCIDENTAL PETE CORP DEL           COMMON          674599105    406     5175 SH         OTHER     001       5175     0      0
D   OMNICOM GROUP INC                  COMMON          681919106   1170    31663 SH         SOLE      001      27924  3457    282
D   OMNICOM GROUP INC                  COMMON          681919106    124     3356 SH         OTHER     001       2286     0   1070
D   ORACLE CORP                        COMMON          68389X105   1153    55316 SH         DEFINED   002          0 55316      0
D   ORACLE CORP                        COMMON          68389X105   5000   239922 SH         SOLE      001     209818 12014  18090
D   ORACLE CORP                        COMMON          68389X105    504    24164 SH         OTHER     001      22334  1215    615
D   OXFORD CNTY TEL & TEL MAINE        COMMON          OXFORDTT3   1275    75000 SH         SOLE      001      75000     0      0
D   PABST COMET LLC                    COMMON          SU0001531    444        2 SH         SOLE      001          2     0      0
D   PABST OIL & GAS PARTNERSHIP        COMMON          SU0001549      1    20000 SH         SOLE      001      20000     0      0
D   PATTERSON COMPANIES INC            COMMON          703395103   3191   117118 SH         SOLE      001     117118     0      0
D   PATTERSON COMPANIES INC            COMMON          703395103    119     4350 SH         OTHER     001       4350     0      0
D   PENGROWTH ENERGY TR                COMMON          706902509    105    10000 SH         SOLE      001      10000     0      0
D   PEOPLES UNITED FINANCIAL IN        COMMON          712704105    917    58946 SH         DEFINED   002          0 58946      0
D   PEOPLES UNITED FINANCIAL IN        COMMON          712704105  22624  1453986 SH         SOLE      001    1453986     0      0
D   PEOPLES UNITED FINANCIAL IN        COMMON          712704105   2953   189787 SH         OTHER     001     185101     0   4686
D   PEPCO HOLDINGS INC                 COMMON          713291102    106     7100 SH         SOLE      001       7100     0      0
D   PEPCO HOLDINGS INC                 COMMON          713291102    118     7900 SH         OTHER     001       7900     0      0
D   PEPSICO INC                        COMMON          713448108   2022    34463 SH         DEFINED   002          0 34463      0
D   PEPSICO INC                        COMMON          713448108    343     5855 SH         SOLE      002          0     0   5855
D   PEPSICO INC                        COMMON          713448108  12198   207948 SH         SOLE      001     201085  4721   2142
D   PEPSICO INC                        COMMON          713448108   1714    29221 SH         OTHER     001      23906  1120   4195
D   PETROCHINA CO LTD                  SPONSORED ADR   71646E100    308     2711 SH         SOLE      001          0     0   2711
D   PETROCHINA CO LTD                  SPONSORED ADR   71646E100     18      157 SH         OTHER     001          0     0    157
D   PETROLEO BRASILEIRO SA PETR        SPONSORED ADR   71654V408    302     6573 SH         SOLE      001       2660     0   3913
D   PETROLEO BRASILEIRO SA PETR        SPONSORED ADR   71654V408      6      139 SH         OTHER     001          0     0    139
D   PETROQUEST ENERGY INC              COMMON          716748108    110    17000 SH         SOLE      001      17000     0      0
D   PFIZER INC                         COMMON          717081103   1266    76513 SH         DEFINED   002          0 76513      0
D   PFIZER INC                         COMMON          717081103    726    43852 SH         SOLE      002          0  1800  42052
D   PFIZER INC                         COMMON          717081103  11694   706593 SH         SOLE      001     667266  7372  31955
D   PFIZER INC                         COMMON          717081103   1730   104527 SH         OTHER     001      91909 12468    150






                                                                    FORM 13F INFORMATION TABLE
                                                                 --------------------------------
                                                                         SHARES/                              VOTING AUTHORITY
                                                                  VALUE    PRN   SH/ PUT/   INVSTMT  OTHER   -------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL   DSCRETN MANAGERS  SOLE  SHARED NONE
    ---------------------------------  --------------  --------- ------- ------- --- ----   ------- -------- ------ ------ -----
                                                                                       
D   PHILIP MORRIS INTL INC             COMMON          718172109    385    7902  SH         DEFINED   002         0  7902      0
D   PHILIP MORRIS INTL INC             COMMON          718172109   2120   43503  SH         SOLE      001     27336     0  16167
D   PHILIP MORRIS INTL INC             COMMON          718172109    511   10490  SH         OTHER     001      9810     0    680
D   PITNEY BOWES INC                   COMMON          724479100    949   38178  SH         SOLE      001     37259   583    336
D   PITNEY BOWES INC                   COMMON          724479100    115    4619  SH         OTHER     001      4519   100      0
D   PLUM CREEK TIMBER CO INC           COMMON          729251108    274    8931  SH         DEFINED   002         0  8931      0
D   PLUM CREEK TIMBER CO INC           COMMON          729251108   1126   36758  SH         SOLE      001     36758     0      0
D   PLUM CREEK TIMBER CO INC           COMMON          729251108    128    4174  SH         OTHER     001      4174     0      0
D   POTASH CORP SASK INC               COMMON          73755L107    258    2859  SH         SOLE      001       355     0   2504
D   POTASH CORP SASK INC               COMMON          73755L107      9     104  SH         OTHER     001         0     0    104
D   POWERSHARES DB BASE METALS         OTHER           73936B705    276   15100  SH         DEFINED   002      N.A.  N.A.   N.A.
D   POWERSHARES DB CMDTY IDX           OTHER           73935S105    235   10638  SH         DEFINED   002      N.A.  N.A.   N.A.
D   POWERSHARES DB OIL FUND            OTHER           73936B507   1210   48650  SH         DEFINED   002      N.A.  N.A.   N.A.
D   POWERSHARES ETF TRUST              OTHER           73935X575    603   36070  SH         SOLE      001      N.A.  N.A.   N.A.
D   POWERSHARES ETF TRUST              OTHER           73935X575      5     325  SH         OTHER     001      N.A.  N.A.   N.A.
D   POWERSHARES QQQ(TM)                OTHER           73935A104    391    9265  SH         DEFINED   002      N.A.  N.A.   N.A.
D   PRAXAIR INC                        COMMON          74005P104   3871   47390  SH         SOLE      001     39698  3029   4663
D   PRAXAIR INC                        COMMON          74005P104    853   10440  SH         OTHER     001      9695   520    225
D   PRICE T ROWE GROUP INC             COMMON          74144T108   4846  106046  SH         SOLE      001     91550  4593   9903
D   PRICE T ROWE GROUP INC             COMMON          74144T108    440    9625  SH         OTHER     001      8065  1225    335
D   PROBLEM KNOWLEDGE COUPLER C        COMMON          CSTK00001    119   41666  SH         OTHER     001     41666     0      0
D   PROCTER & GAMBLE CO                COMMON          742718109   1182   20409  SH         DEFINED   002         0 20409      0
D   PROCTER & GAMBLE CO                COMMON          742718109   1570   27109  SH         SOLE      002         0     0  27109
D   PROCTER & GAMBLE CO                COMMON          742718109  12282  212044  SH         SOLE      001    202691  8377    976
D   PROCTER & GAMBLE CO                COMMON          742718109   2211   38178  SH         OTHER     001     37273   415    490
D   PROGRESS ENERGY INC                COMMON          743263105    172    4407  SH         OTHER     001      4407     0      0
D   PROGRESS ENERGY INC                COMMON          743263105   1169   29924  SH         SOLE      001     29032   400    492
D   PROSHARES ULTRASHRT 20+YR T        COMMON          74347R297    965   21930  SH         DEFINED   002         0 21930      0
D   PROVIDENT ENERGY TR                COMMON          74386K104     88   15247  SH         SOLE      001     15247     0      0
D   PUBLIC SERVICE ENTERPRISE G        COMMON          744573106    484   15400  SH         DEFINED   002         0 15400      0
D   PUBLIC SVC ENTERPRISE GROUP        COMMON          744573106    205    6520  SH         SOLE      001      6520     0      0
D   PUBLIC SVC ENTERPRISE GROUP        COMMON          744573106     69    2206  SH         OTHER     001      2206     0      0
D   QUALCOMM INC                       COMMON          747525103    646   14369  SH         DEFINED   002         0 14369      0
D   QUALCOMM INC                       COMMON          747525103   1311   29153  SH         SOLE      001     21913     0   7240
D   QUALCOMM INC                       COMMON          747525103     39     865  SH         OTHER     001       650     0    215
D   QUEST DIAGNOSTICS INC              COMMON          74834L100    405    7760  SH         SOLE      001      2550     0   5210
D   QUEST DIAGNOSTICS INC              COMMON          74834L100      7     140  SH         OTHER     001         0     0    140
D   RAYTHEON CO                        COMMON          755111507     16     336  SH         SOLE      001       336     0      0
D   RAYTHEON CO                        COMMON          755111507    201    4185  SH         OTHER     001      3235   450    500
D   RBS CAPITAL FND TRUST VII          OTHER           74928P207    128   13000  SH         DEFINED   002      N.A.  N.A.   N.A.
D   RIO TINTO PLC                      SPONSORED ADR   767204100    253    1488  SH         SOLE      001        30     0   1458
D   RIO TINTO PLC                      SPONSORED ADR   767204100    131     772  SH         OTHER     001       700     0     72






                                                                    FORM 13F INFORMATION TABLE
                                                                 --------------------------------
                                                                         SHARES/                              VOTING AUTHORITY
                                                                  VALUE    PRN   SH/ PUT/   INVSTMT  OTHER   -------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL   DSCRETN MANAGERS  SOLE  SHARED NONE
    ---------------------------------  --------------  --------- ------- ------- --- ----   ------- -------- ------ ------ -----
                                                                                       
D   ROCKWELL COLLINS INC               COMMON          774341101   208     4087  SH         SOLE      001      1650  1794    643
D   ROCKWELL COLLINS INC               COMMON          774341101    25      490  SH         OTHER     001       490     0      0
D   ROPER INDS INC NEW                 COMMON          776696106   132     2598  SH         SOLE      001         0     0   2598
D   ROPER INDS INC NEW                 COMMON          776696106    80     1562  SH         OTHER     001      1500     0     62
D   ROYAL DUTCH SHELL PLC              SPONSORED ADR   780259206   320     5600  SH         DEFINED   002         0  5600      0
D   ROYAL DUTCH SHELL PLC              SPONSORED ADR   780259206  3181    55616  SH         SOLE      001     53628  1327    661
D   ROYAL DUTCH SHELL PLC              SPONSORED ADR   780259206   865    15125  SH         OTHER     001     10704  4421      0
D   ROYCE VALUE TRUST INC              COMMON          780910105   408    39448  SH         DEFINED   002         0 39448      0
D   SCHLUMBERGER LTD                   SPONSORED ADR   806857108   775    13000  SH         DEFINED   002         0 13000      0
D   SCHLUMBERGER LTD                   SPONSORED ADR   806857108  3166    53120  SH         SOLE      001     43539  1236   8345
D   SCHLUMBERGER LTD                   SPONSORED ADR   806857108   923    15491  SH         OTHER     001     11005     0   4486
D   SCHWAB CHARLES CORP NEW            COMMON          808513105  2386   124570  SH         SOLE      001    119909   950   3711
D   SCHWAB CHARLES CORP NEW            COMMON          808513105    93     4853  SH         OTHER     001      4514   339      0
D   SELECT SECTOR FINANCIAL SPD        OTHER           81369Y605   281    18800  SH         DEFINED   002      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y100   362    11705  SH         SOLE      001      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y100   136     4400  SH         OTHER     001      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y506   860    15950  SH         SOLE      001      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y506    23      420  SH         OTHER     001      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y803   175     8400  SH         SOLE      001      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y803    56     2703  SH         OTHER     001      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y886  1582    53945  SH         SOLE      001      N.A.  N.A.   N.A.
D   SELECT SECTOR SPDR TR              OTHER           81369Y886     3      100  SH         OTHER     001      N.A.  N.A.   N.A.
D   SEMPRA ENERGY                      COMMON          816851109   246     4933  SH         DEFINED   002         0  4933      0
D   SEMPRA ENERGY                      COMMON          816851109   288     5779  SH         SOLE      001      4325     0   1454
D   SEMPRA ENERGY                      COMMON          816851109     7      136  SH         OTHER     001         7     0    129
D   SHERWIN WILLIAMS CO                COMMON          824348106   329     5470  SH         SOLE      001      5470     0      0
D   SHERWIN WILLIAMS CO                COMMON          824348106    99     1643  SH         OTHER     001      1538     0    105
D   SIGMA-ALDRICH CORP                 COMMON          826552101   216     4000  SH         DEFINED   002         0  4000      0
D   SIGMA-ALDRICH CORP                 COMMON          826552101   860    15924  SH         SOLE      002         0     0  15924
D   SOUTHERN CO                        COMMON          842587107  2365    74665  SH         SOLE      001     72480   400   1785
D   SOUTHERN CO                        COMMON          842587107   744    23498  SH         OTHER     001     23498     0      0
D   SPDR GOLD TRUST                    OTHER           78463V107  2290    23165  SH         DEFINED   002      N.A.  N.A.   N.A.
D   SPDR METALS & MINING ETF           OTHER           78464A755   694    15200  SH         DEFINED   002      N.A.  N.A.   N.A.
D   SPDR SER TRST MS TECHNOLOGY        OTHER           78464A102   440     8280  SH         DEFINED   002      N.A.  N.A.   N.A.
D   SPDR SERIES TRUST                  OTHER           78464A748   253     9145  SH         SOLE      001      N.A.  N.A.   N.A.
D   SPDR SERIES TRUST                  OTHER           78464A748    20      720  SH         OTHER     001      N.A.  N.A.   N.A.
D   SPDR SERIES TRUST                  OTHER           78464A870   285     5305  SH         SOLE      001      N.A.  N.A.   N.A.
D   SPDR SERIES TRUST                  OTHER           78464A870    27      511  SH         OTHER     001      N.A.  N.A.   N.A.
D   SPECTRA ENERGY CORP                COMMON          847560109   209    11029  SH         SOLE      001     11029     0      0
D   SPECTRA ENERGY CORP                COMMON          847560109     9      500  SH         OTHER     001       500     0      0
D   ST JUDE MED INC                    COMMON          790849103   339     8680  SH         SOLE      001       310     0   8370
D   ST JUDE MED INC                    COMMON          790849103     9      235  SH         OTHER     001         0     0    235






                                                                    FORM 13F INFORMATION TABLE
                                                                 --------------------------------
                                                                         SHARES/                               VOTING AUTHORITY
                                                                  VALUE    PRN   SH/ PUT/   INVSTMT  OTHER   --------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL   DSCRETN MANAGERS  SOLE  SHARED  NONE
    ---------------------------------  --------------  --------- ------- ------- --- ----   ------- -------- ------ ------- -----
                                                                                        
D   STANLEY WORKS INC                  COMMON          854616109   351      8227 SH         DEFINED   002         0    8227     0
D   STAPLES INC                        COMMON          855030102   440     18933 SH         DEFINED   002         0   18933     0
D   STAPLES INC                        COMMON          855030102  5983    257647 SH         SOLE      001    245946    8131  3570
D   STAPLES INC                        COMMON          855030102   806     34726 SH         OTHER     001     32914    1597   215
D   STATE STR CORP                     COMMON          857477103  9846    187179 SH         SOLE      001    179186    4330  3663
D   STATE STR CORP                     COMMON          857477103   813     15458 SH         OTHER     001     14749     709     0
D   STEAK N SHAKE CO                   COMMON          857873103  1047     88963 SH         SOLE      001     88963       0     0
D   STRYKER CORP                       COMMON          863667101  9169    201826 SH         SOLE      001    197797    1809  2220
D   STRYKER CORP                       COMMON          863667101   841     18518 SH         OTHER     001     17610     908     0
D   SUNCOR ENERGY INC NEW              COMMON          867224107  1548     44778 SH         SOLE      001     36895       0  7883
D   SUNCOR ENERGY INC NEW              COMMON          867224107   155      4490 SH         OTHER     001      4290       0   200
D   SYSCO CORP                         COMMON          871829107   642     25850 SH         DEFINED   002         0   25850     0
D   SYSCO CORP                         COMMON          871829107  2913    117235 SH         SOLE      001    110605    4971  1659
D   SYSCO CORP                         COMMON          871829107   303     12185 SH         OTHER     001     11315     820    50
D   T ROWE PRICE GROUP                 COMMON          74144T108   206      4500 SH         DEFINED   002         0    4500     0
D   T ROWE PRICE TAX FREE INC          COMMON          779576107   182     18212 SH         DEFINED   002      N.A.    N.A.  N.A.
D   T ROWE PRICE TAX FREE SHT          COMMON          779902105   221     39668 SH         DEFINED   002      N.A.    N.A.  N.A.
D   TARGET CORP                        COMMON          87612E106  4180     89544 SH         SOLE      001     89544       0     0
D   TARGET CORP                        COMMON          87612E106   591     12653 SH         OTHER     001     12653       0     0
D   TELEPHONE & DATA SYS INC           COMMON          879433860   917     30894 SH         SOLE      001     30894       0     0
D   TENARIS S A                        SPONSORED ADR   88031M109   199      5590 SH         SOLE      001      1000       0  4590
D   TENARIS S A                        SPONSORED ADR   88031M109     8       220 SH         OTHER     001         0       0   220
D   TEVA PHARMACEUTICAL INDS LT        SPONSORED ADR   881624209  8345    165057 SH         SOLE      001    156463    2432  6162
D   TEVA PHARMACEUTICAL INDS LT        SPONSORED ADR   881624209   791     15642 SH         OTHER     001     14613     804   225
D   TEXAS INSTRS INC                   COMMON          882508104  1594     67286 SH         SOLE      001     67286       0     0
D   TEXAS INSTRS INC                   COMMON          882508104   212      8952 SH         OTHER     001      7552    1400     0
D   TEXAS INSTRUMENTS INC              COMMON          882508104   779     32894 SH         DEFINED   002         0   32894     0
D   THERMO ELECTRON CORP               COMMON          883556102   279      6400 SH         SOLE      002         0       0  6400
D   TIDEWATER INC                      COMMON          886423102  3543     75239 SH         SOLE      001     74887       0   352
D   TIDEWATER INC                      COMMON          886423102    44       929 SH         OTHER     001       900       0    29
D   TRANSOCEAN INC                     COMMON          893830AU3  5657   5685000 PRN        DEFINED   002         0 5685000     0
D   TRANSOCEAN LTD                     SPONSORED ADR   H8817H100  1421     16615 SH         DEFINED   002         0   16615     0
D   TRANSOCEAN LTD                     SPONSORED ADR   H8817H100  1926     22515 SH         SOLE      001     15455     146  6914
D   TRANSOCEAN LTD                     SPONSORED ADR   H8817H100   171      1995 SH         OTHER     001      1740       0   255
D   TRAVELERS COMPANIES INC            COMMON          89417E109   327      6650 SH         SOLE      001       350       0  6300
D   TRAVELERS COMPANIES INC            COMMON          89417E109    13       270 SH         OTHER     001         0       0   270
D   TYCO INTERNATIONAL LTD             SPONSORED ADR   H89128104   207      6016 SH         SOLE      001       192       0  5824
D   TYCO INTERNATIONAL LTD             SPONSORED ADR   H89128104    21       603 SH         OTHER     001       511       0    92
D   UNIGENE LABS INC                   COMMON          904753100    22     17500 SH         DEFINED   002         0   17500     0
D   UNILEVER N V                       SPONSORED ADR   904784709   893     30946 SH         SOLE      001      3366       0 27580
D   UNILEVER N V                       SPONSORED ADR   904784709    35      1220 SH         OTHER     001         0       0  1220
D   UNION PAC CORP                     COMMON          907818108   249      4273 SH         SOLE      001      4273       0     0






                                                                    FORM 13F INFORMATION TABLE
                                                                 --------------------------------
                                                                         SHARES/                              VOTING AUTHORITY
                                                                  VALUE    PRN   SH/ PUT/   INVSTMT  OTHER   -------------------
             NAME OF ISSUER            TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL   DSCRETN MANAGERS  SOLE  SHARED NONE
    ---------------------------------  --------------  --------- ------- ------- --- ----   ------- -------- ------ ------ -----
                                                                                       
D   UNION PAC CORP                     COMMON          907818108    327    5600  SH         OTHER     001      2200    600  2800
D   UNITED NAT FOODS INC               COMMON          911163103   3118  130390  SH         SOLE      001    130390      0     0
D   UNITED NAT FOODS INC               COMMON          911163103    252   10550  SH         OTHER     001     10550      0     0
D   UNITED PARCEL SERVICE INC          COMMON          911312106    293    5182  SH         DEFINED   002         0   5182     0
D   UNITED PARCEL SERVICE INC          COMMON          911312106   2670   47284  SH         SOLE      001     46220    138   926
D   UNITED PARCEL SERVICE INC          COMMON          911312106    359    6359  SH         OTHER     001      6165    144    50
D   UNITED STATES NATL GAS FU          COMMON          912318102   1335  113675  SH         DEFINED   002         0 113675     0
D   UNITED TECHNOLOGIES CORP           COMMON          913017109   1643   26959  SH         DEFINED   002         0  26959     0
D   UNITED TECHNOLOGIES CORP           COMMON          913017109    611   10024  SH         SOLE      002         0   1000  9024
D   UNITED TECHNOLOGIES CORP           COMMON          913017109  12513  205363  SH         SOLE      001    193902   3868  7593
D   UNITED TECHNOLOGIES CORP           COMMON          913017109   2072   34007  SH         OTHER     001     32659   1108   240
D   US BANCORP                         COMMON          902973304    293   13404  SH         DEFINED   002         0  13404     0
D   US BANCORP                         COMMON          902973304    899   41115  SH         SOLE      001     41115      0     0
D   US BANCORP                         COMMON          902973304     54    2480  SH         OTHER     001      2480      0     0
D   USA VIDEO INTERACTIVE CORP         COMMON          902924208      0   15400  SH         DEFINED   002         0  15400     0
D   VALE S A                           SPONSORED ADR   91912E105    553   23905  SH         SOLE      001     10000      0 13905
D   VALE S A                           SPONSORED ADR   91912E105     21     915  SH         OTHER     001         0      0   915
D   VALERO ENERGY CORP NEW             COMMON          91913Y100    474   24455  SH         SOLE      001     24455      0     0
D   VALERO ENERGY CORP NEW             COMMON          91913Y100     11     580  SH         OTHER     001       580      0     0
D   VANGUARD SHORT TERM BD INDE        OTHER           921937827   2004   25038  SH         DEFINED   002      N.A.   N.A.  N.A.
D   VANGUARD SHORT TERM BD INDE        OTHER           921937827    530    6620  SH         SOLE      002      N.A.   N.A.  N.A.
D   VANGUARD WORLD FDS                 OTHER           92204A702    290    5810  SH         SOLE      001      N.A.   N.A.  N.A.
D   VERIZON COMMUNICATIONS             COMMON          92343V104   1013   33480  SH         DEFINED   002         0  33480     0
D   VERIZON COMMUNICATIONS             COMMON          92343V104   8165  269735  SH         SOLE      001    235980   5252 28503
D   VERIZON COMMUNICATIONS             COMMON          92343V104   1562   51596  SH         OTHER     001     48746   1614  1236
D   VERMONT PURE HOLDINGS LTD          SPONSORED ADR   924237100     13   20000  SH         DEFINED   002         0  20000     0
D   VISA INC                           COMMON          92826C839    271    3915  SH         SOLE      001         0      0  3915
D   VISA INC                           COMMON          92826C839     15     215  SH         OTHER     001       100      0   115
D   VODAFONE GROUP PLC NEW             SPONSORED ADR   92857W209    753   33454  SH         SOLE      001      3557      0 29897
D   VODAFONE GROUP PLC NEW             SPONSORED ADR   92857W209    170    7557  SH         OTHER     001      6257      0  1300
D   VULCAN MATERIALS CO                COMMON          929160109    429    7925  SH         DEFINED   002         0   7925     0
D   WAL MART STORES INC                COMMON          931142103   1108   22580  SH         DEFINED   002         0  22580     0
D   WAL MART STORES INC                COMMON          931142103   8349  170069  SH         SOLE      001    165790   1890  2389
D   WAL MART STORES INC                COMMON          931142103    659   13418  SH         OTHER     001     12536    882     0
D   WALGREEN CO                        COMMON          931422109    347    9250  SH         DEFINED   002         0   9250     0
D   WALGREEN CO                        COMMON          931422109   1090   29100  SH         SOLE      002         0      0 29100
D   WALGREEN CO                        COMMON          931422109   6608  176366  SH         SOLE      001    171217   2808  2341
D   WALGREEN CO                        COMMON          931422109   1044   27855  SH         OTHER     001     20615   1240  6000
D   WASHINGTON POST CO                 COMMON          939640108    234     500  SH         SOLE      001       500      0     0
D   WEATHERFORD INTERNATIONAL L        COMMON          H27013103    194    9345  SH         SOLE      001        45      0  9300
D   WEATHERFORD INTERNATIONAL L        COMMON          H27013103     11     520  SH         OTHER     001       100      0   420
D   WEBSTER FINANCIAL CORP             COMMON          947890109    240   19283  SH         DEFINED   002         0  19283     0






                                                                      FORM 13F INFORMATION TABLE
                                                                   --------------------------------
                                                                           SHARES/                            VOTING AUTHORITY
                                                                    VALUE    PRN   SH/ PUT/ INVSTMT  OTHER   -------------------
              NAME OF ISSUER             TITLE OF CLASS    CUSIP   (X1000)   AMT   PRN CALL DSCRETN MANAGERS  SOLE  SHARED NONE
    -----------------------------------  --------------  --------- ------- ------- --- ---- ------- -------- ------ ------ -----
                                                                                       
D   WELLPOINT INC                           COMMON       94973V107   1767   37312  SH       SOLE      001     37312     0      0
D   WELLPOINT INC                           COMMON       94973V107    232    4900  SH       OTHER     001      4900     0      0
D   WELLS FARGO CO                          COMMON       949746101    403   14288  SH       DEFINED   002         0 14288      0
D   WELLS FARGO CO                          COMMON       949746101   1064   37744  SH       SOLE      002         0     0  37744
D   WELLS FARGO CO                          COMMON       949746101  10912  387212  SH       SOLE      001    368632  7951  10629
D   WELLS FARGO CO                          COMMON       949746101    969   34395  SH       OTHER     001     30015  1691   2689
D   WELLS FARGO CPA TR IV D                 COMMON       94976Y207    218    8600  SH       DEFINED   002         0  8600      0
D   WESTERN UNION CO                        COMMON       959802109    280   14800  SH       DEFINED   002         0 14800      0
D   WESTERN UNION CO                        COMMON       959802109    231   12200  SH       SOLE      002         0     0  12200
D   WILLIAMS COS INC                        COMMON       969457100    731   40902  SH       DEFINED   002         0 40902      0
D   WYETH                                   COMMON       983024100    352    7251  SH       DEFINED   002         0  7251      0
D   WYETH                                   COMMON       983024100   1662   34215  SH       SOLE      001     31465   750   2000
D   WYETH                                   COMMON       983024100   1019   20973  SH       OTHER     001     19773  1200      0
D   XTO ENERGY INC                          COMMON       98385X106   1594   38585  SH       DEFINED   002         0 38585      0
D   XTO ENERGY INC                          COMMON       98385X106    292    7066  SH       SOLE      001         0     0   7066
D   XTO ENERGY INC                          COMMON       98385X106      8     200  SH       OTHER     001         0     0    200
D   YUM! BRANDS INC                         COMMON       988498101    211    6260  SH       DEFINED   002         0  6260      0
D   ZIMMER HOLDINGS INC                     COMMON       98956P102    215    4014  SH       DEFINED   002         0  4014      0
D   ZIMMER HOLDINGS INC                     COMMON       98956P102    178    3335  SH       SOLE      001      3320     0     15
D   ZIMMER HOLDINGS INC                     COMMON       98956P102     28     520  SH       OTHER     001       120     0    400