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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2012

Check here if Amendment [ ]; Amendment Number:

This Amendment (Check only one): [ ] is a restatement
                                 [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    BancorpSouth Inc.

Address: One Mississippi Plaza
         201 South Spring Street
         Tupelo MS 38804

Form 13F File Number: 28-10453

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: Cathy S. Freeman

Title: Executive Vice President and Corporate Secretary

Phone: (662) 680-2084

Signature Place and Date of Signing:

/s/ Cathy S. Freeman  Tupelo Mississippi     October 10, 2012
--------------------  ---------------------- ------------------
[Signature]           [City State]           [Date]

Report Type (Check only one.):

[X]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
     are reported in this report.)

[ ]  13F NOTICE. (Check here if no holdings reported are in this report and all
     holdings are reported by other reporting manager(s).)

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

List of Other Managers Reporting for this Manager: None.




                              FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:           1

Form 13F Information Table Entry Total:      279

Form 13F Information Table Value Total:      805,547
                                             -----------
                                             (thousands)

LIST OF OTHER INCLUDED MANAGERS:

     Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed
other than the manager filing this report.

         No.     Form 13F File Number               Name
        ----     --------------------        -----------------
         1           28-10939                BancorpSouth Bank

                                        2






                                                                                       INVESTMENT
                                                                                       DISCRETION       ** VOTING AUTHORITY **
                                                                                    ---------------- -----------------------------
                                 TITLE OF                MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER                    CLASS          CUSIP   x 1000   PRN Amt  PRN CALL  (A) (B) (C) MGR     (A)      (B)      (C)
----------------------------- ---------------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- ----------
                                                                                 
COOPER INDUSTRIES PLC         SHS              G24140108     326     4,344  SH       X                   4,344
INGERSOLL-RAND PLC            SHS              G47791101     260     5,798  SH       X                   5,798
WILLIS GROUP HOLDINGS PUBLIC  SHS              G96666105     207     5,611  SH       X                   5,542                  69
ACE LTD                       SHS              H0023R105     306     4,044  SH       X                   4,006                  38
CHECK POINT SOFTWARE TECH LT  ORD              M22465104     335     6,946  SH       X                   6,946
AERCAP HOLDINGS NV            SHS              N00985106     168    13,422  SH       X                  13,422
ASML HOLDING N V              NY REG SHS       N07059186     210     3,919  SH       X                   3,919
FLEXTRONICS INTL LTD          ORD              Y2573F102     705   117,565  SH       X                 116,943                 622
AT&T INC                      COM              00206R102   1,540    40,846  SH       X                  34,329               6,517
AT&T INC                      COM              00206R102     235     6,228  SH       X                     324    5,904
ABBOTT LABS                   COM              2824100     1,152    16,802  SH       X                  16,038                 764
ABBOTT LABS                   COM              2824100       283     4,130  SH       X                      38    4,092
AETNA INC NEW                 COM              00817Y108     421    10,635  SH       X                  10,528                 107
AFFILIATED MANAGERS GROUP     COM              8252108       355     2,884  SH       X                   2,869                  15
AIR PRODS & CHEMS INC         COM              9158106       580     7,019  SH       X                   7,019
ALLERGAN INC                  COM              18490102      420     4,591  SH       X                   4,591
ALTRIA GROUP INC              COM              02209S103     884    26,462  SH       X                  20,460               6,002
ALTRIA GROUP INC              COM              02209S103      33       996  SH       X                     295      701
AMERICAN ELEC PWR INC         COM              25537101      212     4,822  SH       X                   3,639               1,183
AMERICAN ELEC PWR INC         COM              25537101        9       213  SH       X                      62      151
AMERICAN EXPRESS CO           COM              25816109      750    13,194  SH       X                  13,194
AMETEK INC NEW                COM              31100100      316     8,913  SH       X                   8,860                  52
AMGEN INC                     COM              31162100      593     7,038  SH       X                   7,038
ANCESTRY COM INC              COM              32803108      213     7,076  SH       X                   7,001                  75
APACHE CORP                   COM              37411105      261     3,022  SH       X                   3,022
APPLE INC                     COM              37833100    1,558     2,335  SH       X                   2,335
APPLIED MATLS INC             COM              38222105      305    27,305  SH       X                  27,305
ARCHER DANIELS MIDLAND CO     COM              39483102      450    16,551  SH       X                  16,410                 141
ASTRAZENECA PLC               SPONSORED ADR    46353108      772    16,128  SH       X                  11,123               5,005
ASTRAZENECA PLC               SPONSORED ADR    46353108       36       759  SH       X                     224      535
ATMEL CORP                    COM              49513104       80    15,189  SH       X                  15,189
AUTODESK INC                  COM              52769106      242     7,250  SH       X                   7,250
BCE INC                       COM NEW          05534B760     490    11,157  SH       X                   7,438               3,719
BCE INC                       COM NEW          05534B760      33       753  SH       X                     222      531
BP PLC                        SPONSORED ADR    55622104      214     5,050  SH       X                   4,900                 150
BP PLC                        SPONSORED ADR    55622104      119     2,800  SH       X                   2,800
BANCORPSOUTH INC              COM              59692103   13,108   889,309  SH       X                 767,375             121,934
BANCORPSOUTH INC              COM              59692103      127     8,600  SH       X                   8,600
BANK OF THE OZARKS INC        COM              63904106    4,140   120,102  SH       X                 120,102
BAXTER INTL INC               COM              71813109      757    12,557  SH       X                  12,491                  66
BAYER A G                     SPONSORED ADR    72730302      209     2,436  SH       X                   2,436
BED BATH & BEYOND INC         COM              75896100      214     3,401  SH       X                   3,401
BERKSHIRE HATHAWAY INC DEL    CL B NEW         84670702      915    10,371  SH       X                  10,371
BRISTOL MYERS SQUIBB CO       COM              110122108     610    18,074  SH       X                  13,742               4,332
BRISTOL MYERS SQUIBB CO       COM              110122108      30       878  SH       X                     260      618
CVS CAREMARK CORPORATION      COM              126650100     433     8,938  SH       X                   8,883                  55
CATERPILLAR INC DEL           COM              149123101     431     5,004  SH       X                   5,004
CELGENE CORP                  COM              151020104     598     7,829  SH       X                   7,829
CENTURYLINK INC               COM              156700106     523    12,943  SH       X                   8,905               4,038
CENTURYLINK INC               COM              156700106      33       817  SH       X                     241      576
CHEVRON CORP NEW              COM              166764100   2,247    19,278  SH       X                  18,563                 715
CHEVRON CORP NEW              COM              166764100     849     7,280  SH       X                   7,228       52
CITIZENS HLDG CO MISS         COM              174715102   3,060   158,987  SH       X                 158,987
1CITRIX SYS INC               COM              177376100     353     4,608  SH       X                   4,583                  25
COACH INC                     COM              189754104     239     4,271  SH       X                   4,271


                                       3






                                                                                       INVESTMENT
                                                                                       DISCRETION       ** VOTING AUTHORITY **
                                                                                    ---------------- -----------------------------
                                 TITLE OF                MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER                    CLASS          CUSIP   x 1000   PRN Amt  PRN CALL  (A) (B) (C) MGR     (A)      (B)      (C)
----------------------------- ---------------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- ----------
                                                                                 
COCA COLA CO                  COM              191216100     707    18,637  SH       X                  17,497               1,140
COCA COLA CO                  COM              191216100     373     9,830  SH       X                   9,668      162
COLGATE PALMOLIVE CO          COM              194162103     296     2,762  SH       X                   2,762
COLUMBIA ACORN TR             INTL SELECT Z    197199763     414    13,676  SH       X                   8,946               4,730
COLUMBIA FDS SER TR           LARGECAP VAL Z   19765H149     543    46,016  SH       X                  46,016
COLUMBIA FDS SER TR           MARS GRWTH Z     19765H180     753    32,394  SH       X                  32,394
COLUMBIA FDS SER TR           INTL VAL CL Z    19765H586     135    10,605  SH       X                  10,605
COLUMBIA FDS SER TR           SMALL COS Z      19765J723     163    12,512  SH       X                  12,512
COLUMBIA FDS SER TR           SMLCP VAL II Z   19765J764     174    11,757  SH       X                  11,757
COLUMBIA FDS SER TR I         MIDCP GWTH Z     19765P232     218     7,879  SH       X                   7,879
COMPANHIA ENERGETICA DE MINA  SP ADRN-V PFD    204409601     131    10,805  SH       X                  10,805
CONCHO RES INC                COM              20605P101     341     3,604  SH       X                   3,604
CONCUR TECHNOLOGIES INC       COM              206708109     246     3,337  SH       X                   3,297                  40
CONOCOPHILLIPS                COM              20825C104     770    13,460  SH       X                  10,111               3,349
CONOCOPHILLIPS                COM              20825C104      32       555  SH       X                     164      391
CORNING INC                   COM              219350105     312    23,764  SH       X                  23,533                 231
CUMMINS INC                   COM              231021106     274     2,971  SH       X                   2,971
DWS VALUE SER INC             SMCP VALF INST   23338F754  15,088   412,473  SH       X                 407,440       43      4,989
DWS VALUE SER INC             SMCP VALF INST   23338F754     133     3,627  SH       X                   3,294      333
DANAHER CORP DEL              COM              235851102     429     7,771  SH       X                   7,771
DEERE & CO                    COM              244199105     894    10,840  SH       X                  10,840
DELTIC TIMBER CORP            COM              247850100     413     6,324  SH       X                  6,324
DELTIC TIMBER CORP            COM              247850100  21,047   322,504  SH       X                          322,504
DENBURY RES INC               COM NEW          247916208     193    11,948  SH       X                  11,948
DEVON ENERGY CORP NEW         COM              25179M103     341     5,632  SH       X                   5,565                  67
DIAGEO P L C                  SPON ADR NEW     25243Q205     261     2,319  SH       X                   2,009                 310
DODGE & COX STK FD            COM              256219106  30,324   254,953  SH       X                 251,766       26      3,159
DODGE & COX STK FD            COM              256219106     279     2,342  SH       X                   2,102      240
DOLLAR TREE INC               COM              256746108     645    13,352  SH       X                  13,352
DOMINION RES INC VA NEW       COM              25746U109     292     5,523  SH       X                   4,362               1,161
DOMINION RES INC VA NEW       COM              25746U109       9       170  SH       X                      50      120
DUKE ENERGY CORP NEW          COM NEW          26441C204     670    10,334  SH       X                   8,087               2,247
DUKE ENERGY CORP NEW          COM NEW          26441C204      26       403  SH       X                     118      285
E M C CORP MASS               COM              268648102     572    20,972  SH       X                  20,972
ERHC ENERGY INC               COM              26884J104       1    10,000  SH       X                  10,000
EATON CORP                    COM              278058102     286     6,040  SH       X                   5,954                  86
EMERSON ELEC CO               COM              291011104     325     6,737  SH       X                   6,737
EXELON CORP                   COM              30161N101     318     8,940  SH       X                   5,210               3,730
EXELON CORP                   COM              30161N101      24       669  SH       X                     198      471
EXPRESS SCRIPTS HLDG CO       COM              30219G108   1,242    19,833  SH       X                  19,833
EXXON MOBIL CORP              COM              30231G102   5,057    55,298  SH       X                  49,285    5,716        297
EXXON MOBIL CORP              COM              30231G102   1,265    13,830  SH       X                   5,230    8,600
F M C CORP                    COM NEW          302491303     218     3,932  SH       X                   3,892                  40
FEDERATED EQUITY FDS          INTRCON TL INST  314172461  17,569   374,280  SH       X                 369,878       34      4,367
FEDERATED EQUITY FDS          INTRCON TL INST  314172461     146     3,119  SH       X                   2,601      517
FEDERATED EQUITY FDS          STRG VAL DV INST 314172560     238    46,469  SH       X                  46,469
FIDELITY CONTRAFUND INC       NEW INSIGHTS I   316071604  45,596 1,936,945  SH       X               1,913,850      203     22,892
FIDELITY CONTRAFUND INC       NEW INSIGHTS I   316071604     405    17,193  SH       X                  15,854    1,338
FIRSTENERGY CORP              COM              337932107     201     4,557  SH       X                   4,557
GAZPROM O A O                 SPON ADR         368287207     149    14,686  SH       X                  14,686
GENERAL ELECTRIC CO           COM              369604103     645    28,416  SH       X                  26,916               1,500
GENERAL MLS INC               COM              370334104     253     6,360  SH       X                   6,360
GILEAD SCIENCES INC           COM              375558103     476     7,181  SH       X                   7,181
GLAXOSMITHKLINE PLC           SPONSORED ADR    37733W105     544    11,773  SH       X                   7,686               4,087
GLAXOSMITHKLINE PLC           SPONSORED ADR    37733W105      36       779  SH       X                     230      549


                                       4






                                                                                       INVESTMENT
                                                                                       DISCRETION       ** VOTING AUTHORITY **
                                                                                    ---------------- -----------------------------
                                 TITLE OF                MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER                    CLASS          CUSIP   x 1000   PRN Amt  PRN CALL  (A) (B) (C) MGR     (A)      (B)      (C)
----------------------------- ---------------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- ----------
                                                                                 
GOOGLE INC                    CL A             38259P508     375       497  SH       X                     497
GROUPE CGI INC                CL A SU B VTG    39945C109     233     8,659  SH       X                   8,659
RESTER ENTERPRISES LP 5% INT                   404005993     216         1  SH       X                       1
1RESTER ENTERPRISES LP 8% INT                  405002999     346         1  SH       X                       1
HALLIBURTON CO                COM              406216101     501    14,865  SH       X                  14,711                 154
RESTER ENTERPRISES LP 8% INT                   407000991     346         1  SH       X                       1
DAVIS FAMILY HOLDINGS LP                       419002993     617         0  SH       X
HEINZ H J CO                  COM              423074103     600    10,725  SH       X                   7,336               3,389
HEINZ H J CO                  COM              423074103      32       577  SH       X                     168      409
HESS CORP                     COM              42809H107     239     4,442  SH       X                   4,442
KEY COLONY                                     430004994     792         1  SH       X                                1
JOHNSTON ENTERPRISES, L.P.                     432004992   1,380        54  SH       X                      54
GURDON TIMBER LTD 36.494%                      434002994     342         1  SH       X                       1
WOODLAND HILLS LIMITED PARTN                   435001995     205        25  SH       X                      25
SUNNYDALE LIMITED PARTNER SHI                  436001994   1,462        82  SH       X                      82
WEH PROPERTIES LIMITED PARTN                   436002992     381        80  SH       X                      80
CRICKET LIMITED PARTNERSHIP                    436003990     848        28  SH       X                      28
MCM TIMBER 3.021% INTEREST                     438002990     233         1  SH       X                       1
MCM TIMBER 3.020% INTEREST                     438003998     233         1  SH       X                       1
HONEYWELL INTL INC            COM              438516106     467     7,819  SH       X                   7,750                  69
OAK GROVE LAND CO, L.P. 1 2.5                  440000990     219         2  SH       X                       2
REED HOLDINGS PARTNERSHIP, L                   441002995   1,239        68  SH       X                      68
HOSPIRA INC                   COM              441060100     239     7,286  SH       X                   7,211                  75
HOSPIRA INC                   COM              441060100      13       400  SH       X                              400
CABEARK, LP 35.4444% INTERES                   443003991   1,414         1  SH       X                       1
DCT OPERATING PARTNERSHIP                      443004999     526    75,518  SH       X                  75,518
CABEARK, LP 63.5556% INTERES                   444003990   2,496         1  SH       X                       1
CABE-LONG PROPERTIES, LTD                      444005995     266         4  SH       X                       4
MCMILLON PROPERTIES L/P                        445000995   2,141        96  SH       X                      96
CABE-LONG PROPERTIES, LTD                      445001993   1,472         4  SH       X                       4
CABE-LONG PROPERTIES, LTD                      445003999   1,749         1  SH       X                       1
INTEREST IN                                    448005991   4,177        15  SH       X                      15
TALL PINES, LLC                                449001999     971        50  SH       X                      50
DONOVAN INVESTMENTS, LLC                       449003995   4,811        99  SH       X                      99
TPH ENERGY EQUITY FUND LP                      450005996     818         1  SH       X                                1
LONGENECKER EQUITY II, LLC                     451000996   3,949        99  SH       X                      99
DTL, SR., L.P                                  452002991   7,905        53  SH       X                      53
10.0% INTEREST IN MCM TIMBER                   452005994   1,531         2  SH       X                       2
ILLINOIS TOOL WKS INC         COM              452308109     311     5,233  SH       X                   5,233
TRISTON & COMPANY, LLC                         453001992     243        90  SH       X                      90
INTEL CORP                    COM              458140100     624    27,537  SH       X                  26,542                 995
INTEL CORP                    COM              458140100      72     3,200  SH       X                   3,200
INTERCONTINENTALEXCHANGE INC  COM              45865V100     428     3,205  SH       X                   3,190                  15
INTERNATIONAL BUSINESS MACHS  COM              459200101   1,350     6,506  SH       X                   6,506
INTUITIVE SURGICAL INC        COM NEW          46120E602     264       532  SH       X                     529                   3
INVESTMENT CO AMER            CL A             461308108   1,018    33,202  SH       X                  33,202
ISHARES TR                    MSCI EM ERG MKT  464287234     268     6,483  SH       X                   6,483
ISHARES TR                    MSCI AC WI EX    464288240   2,538    64,439  SH       X                  64,439
JPMORGAN CHASE & CO           COM              46625H100     359     8,868  SH       X                   8,428                 440
JPMORGAN CHASE & CO           COM              46625H100      79     1,956  SH       X                            1,956
JANUS INVT FD                 GLOBAL SEL FDT   471023648     108    11,525  SH       X                                      11,525
JOHN HANCOCK FDS III          DISC VAL MCP I   47803W406  30,787 2,401,482  SH       X               2,379,166      252     22,063
JOHN HANCOCK FDS III          DISC VAL MCP I   47803W406     325    25,356  SH       X                  23,247    2,109
JOHNSON & JOHNSON             COM              478160104   1,514    21,977  SH       X                  19,787               2,190
JOHNSON & JOHNSON             COM              478160104     409     5,934  SH       X                   4,499    1,435


                                       5






                                                                                       INVESTMENT
                                                                                       DISCRETION       ** VOTING AUTHORITY **
                                                                                    ---------------- -----------------------------
                                 TITLE OF                MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER                    CLASS          CUSIP   x 1000   PRN Amt  PRN CALL  (A) (B) (C) MGR     (A)      (B)      (C)
----------------------------- ---------------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- ----------
                                                                                 
JOHNSON CTLS INC              COM              478366107     240     8,752  SH       X                   8,752
KBR INC                       COM              48242W106     454    15,210  SH       X                  15,063                 147
KIMBERLY CLARK CORP           COM              494368103     481     5,604  SH       X                   4,073               1,531
KIMBERLY CLARK CORP           COM              494368103      19       227  SH       X                      67      160
KINGFISHER PLC                SPON ADR PAR     495724403     164    19,236  SH       X                  19,236
KRAFT FOODS INC               CL A             50075N104     258     6,228  SH       X                   5,298                 930
LKQ CORP                      COM              501889208     195    10,578  SH       X                  10,458                 120
LILLY ELI & CO                COM              532457108     655    13,814  SH       X                   9,200               4,614
1LILLY ELI & CO               COM              532457108      74     1,559  SH       X                   1,024      535
LONGLEAF PARTNERS FDS TR      SH BEN INT       543069108     267     8,853  SH       X                   8,853
MANULIFE FINL CORP            COM              56501R106     144    11,945  SH       X                  11,945
MCDONALDS CORP                COM              580135101     584     6,364  SH       X                   5,918                 446
MCDONALDS CORP                COM              580135101       8        91  SH       X                      26       65
MEDNAX INC                    COM              58502B106     247     3,316  SH       X                   3,281                  35
MEDTRONIC INC                 COM              585055106     477    11,065  SH       X                  11,000                  65
MERCK & CO INC NEW            COM              58933Y105     713    15,801  SH       X                  10,983               4,818
MERCK & CO INC NEW            COM              58933Y105      31       698  SH       X                     206      492
METLIFE INC                   COM              59156R108     320     9,283  SH       X                   9,199                  84
MICROSOFT CORP                COM              594918104   1,128    37,899  SH       X                  36,874               1,025
MONTGOMERY EXPLORATION                         601A5Z991     211         1  SH       X                       1
MOSAIC CO NEW                 COM              61945C103     549     9,523  SH       X                   9,457                  66
MURPHY OIL CORP               COM              626717102   4,320    80,464  SH       X                  80,464
MURPHY OIL CORP               COM              626717102 292,233 5,442,967  SH       X                       5 ,442,967
MUTUAL SER FD INC             SHS FD CL Z      628380107     356    15,836  SH       X                  15,836
MUTUAL SER FD INC             BEACON FD Z      628380305     176    13,366  SH       X                  13,366
MUTUAL SER FD INC             GBL DIS CVR FDZ  628380404  47,728 1,590,388  SH       X               1,572,887      163     17,337
MUTUAL SER FD INC             GBL DIS CVR FDZ  628380404     392    13,068  SH       X                  12,191      876
NYSE EURONEXT                 COM              629491101     323    13,097  SH       X                  12,991                 106
NATIONAL GRID PLC             SPON ADR NEW     636274300     552     9,966  SH       X                   6,301               3,665
NATIONAL GRID PLC             SPON ADR NEW     636274300      36       655  SH       X                     192      463
NATIONAL OILWELL VARCO INC    COM              637071101     296     3,692  SH       X                   3,692
NETAPP INC                    COM              64110D104     435    13,216  SH       X                  13,216
NEW PERSPECTIVE FD INC        COM              648018109     567    18,697  SH       X                  18,697
NORDSTROM INC                 COM              655664100     361     6,540  SH       X                   6,540
NORFOLK SOUTHERN CORP         COM              655844108     441     6,938  SH       X                   6,881                  57
OGX PETROLEO E GAS PART SA    SPONS ADR        670849108      76    24,916  SH       X                  24,661                 255
O REILLY AUTOMOTIVE INC NEW   COM              67103H107     774     9,254  SH       X                   9,239                  15
OCCIDENTAL PETE CORP DEL      COM              674599105     476     5,530  SH       X                   5,500                  30
ON SEMICONDUCTOR CORP         COM              682189105     232    37,515  SH       X                  37,103                 412
ORACLE CORP                   COM              68389X105     462    14,676  SH       X                  14,676
PDL BIOPHARMA INC             COM              69329Y104     168    21,800  SH       X                           21,800
PPL CORP                      COM              69351T106     274     9,439  SH       X                   6,007               3,432
PPL CORP                      COM              69351T106      18       616  SH       X                     181      435
PALL CORP                     COM              696429307     205     3,232  SH       X                   3,187                  45
PEPSICO INC                   COM              713448108     810    11,447  SH       X                  10,756                 691
PEPSICO INC                   COM              713448108      87     1,223  SH       X                      36    1,187
PFIZER INC                    COM              717081103     312    12,575  SH       X                  12,575
PFIZER INC                    COM              717081103      35     1,420  SH       X                     720      700
PHILIP MORRIS INTL INC        COM              718172109     924    10,268  SH       X                   9,131               1,137
PHILIP MORRIS INTL INC        COM              718172109      14       159  SH       X                      46      113
POTASH CORP SASK INC          COM              73755L107     580    13,352  SH       X                  13,352
PRAXAIR INC                   COM              74005P104     265     2,555  SH       X                   2,555
PRECISION CASTPARTS CORP      COM              740189105     561     3,432  SH       X                   3,412                  20
PRICE T ROWE GROUP INC        COM              74144T108     765    12,082  SH       X                  12,082
PRICE T ROWE GROWTH STK F D I COM              741479109  30,571   799,242  SH       X                 789,249       81      9,910


                                       6






                                                                                       INVESTMENT
                                                                                       DISCRETION       ** VOTING AUTHORITY **
                                                                                    ---------------- -----------------------------
                                 TITLE OF                MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER                    CLASS          CUSIP   x 1000   PRN Amt  PRN CALL  (A) (B) (C) MGR     (A)      (B)      (C)
----------------------------- ---------------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- ----------
                                                                                 
PRICE T ROWE GROWTH STK F D I COM              741479109     333     8,696  SH       X                   7,832      863
PRICELINE COM INC             COM NEW          741503403     326       527  SH       X                     527
PROCTER & GAMBLE CO           COM              742718109   2,428    35,001  SH       X                  34,246                 755
PROCTER & GAMBLE CO           COM              742718109     426     6,139  SH       X                   6,042       97
PRUDENTIAL FINL INC           COM              744320102     339     6,220  SH       X                   6,146                  74
QUALCOMM INC                  COM              747525103     493     7,884  SH       X                   7,884
RED HAT INC                   COM              756577102     220     3,869  SH       X                   3,824                  45
REGIONS FINANCIAL CORP NEW    COM              7591EP100     238    33,071  SH       X                  27,171               5,900
RENASANT CORP                 COM              7.60E+111   1,006    51,333  SH       X                  51,333
REYNOLDS AMERICAN INC         COM              761713106     395     9,103  SH       X                   6,215               2,888
REYNOLDS AMERICAN INC         COM              761713106      25       587  SH       X                     174      413
ROWE T PRICE EQUITY INCOME F  SH BEN INT       779547108  44,617 1,708,801  SH       X               1,688,266      181     20,353
ROWE T PRICE EQUITY INCOME F  SH BEN INT       779547108     399    15,271  SH       X                  14,166    1,104
1ROWE T PRICE MID-CAP GROWTH  COM              779556109  30,183   510,805  SH       X                 504,218       54      6,532
ROWE T PRICE MID-CAP GROWTH   COM              779556109     278     4,704  SH       X                   4,074      629
ROYAL DUTCH SHELL PLC         SPON ADR B       780259107     601     8,428  SH       X                   5,759               2,669
ROYAL DUTCH SHELL PLC         SPON ADR B       780259107     143     2,007  SH       X                   1,686      321
ROYAL DUTCH SHELL PLC         SPONS ADR A      780259206     524     7,554  SH       X                   7,500                  54
ROYAL DUTCH SHELL PLC         SPONS ADR A      780259206     225     3,237  SH       X                   3,237
ROYCE FD                      PENN MUT INV     780905840  17,428 1,479,457  SH       X               1,461,676      133     16,647
ROYCE FD                      PENN MUT INV     780905840     144    12,202  SH       X                  10,156    2,045
SPDR GOLD TRUST               GOLD SHS         78463V107     252     1,464  SH       X                   1,464
SCHLUMBERGER LTD              COM              806857108     269     3,713  SH       X                   3,713
SHERWIN WILLIAMS CO           COM              824348106     482     3,235  SH       X                   3,235
SIMMONS 1ST NATL CORP         CL A $1 PAR      828730200     287    11,766  SH       X                  11,766
SOUTHERN CO                   COM              842587107   3,317    71,968  SH       X                  68,322               3,646
SOUTHERN CO                   COM              842587107     250     5,414  SH       X                   4,893      521
STRYKER CORP                  COM              863667101     450     8,092  SH       X                   8,092
TJX COS INC NEW               COM              872540109     548    12,234  SH       X                  12,234
TARGET CORP                   COM              8.76E+110     785    12,370  SH       X                  12,306                  64
TEVA PHARMACEUTICAL INDS LTD  ADR              881624209     240     5,805  SH       X                   5,440                 365
TIFFANY & CO                  NEW COM          886547108     291     4,697  SH       X                   4,697
TOTAL S A                     SPONSORED ADR    8.92E+113     554    11,054  SH       X                   8,005               3,049
TOTAL S A                     SPONSORED ADR    8.92E+113      31       617  SH       X                     182      435
TRIMBLE NAVIGATION LTD        COM              896239100     330     6,928  SH       X                   6,858                  70
TRUSTMARK CORP                COM              898402102   1,384    56,856  SH       X                  56,856
UNILEVER PLC                  SPON ADR NEW     904767704     292     7,984  SH       X                   5,400               2,584
UNILEVER PLC                  SPON ADR NEW     904767704      19       522  SH       X                     152      370
UNILEVER N V                  N Y SHS NEW      904784709     311     8,752  SH       X                   7,771                 981
UNION PAC CORP                COM              907818108     294     2,476  SH       X                   2,455                  21
UNION PAC CORP                COM              907818108     380     3,200  SH       X                            3,200
UNITED TECHNOLOGIES CORP      COM              913017109     274     3,497  SH       X                   3,497
V F CORP                      COM              918204108     699     4,388  SH       X                   4,388
VANGUARD WORLD FD             MEGA CAP INDEX   921910873   5,564   112,285  SH       X                 112,285
VANGUARD INDEX FDS            500 PORTFOLIO    922908108     113       851  SH       X                                         851
VANGUARD INDEX FDS            500 PORTFOLIO    922908108     106       795  SH       X                     795
VANGUARD INDEX FDS            MID CAP ETF      922908629   3,029    37,327  SH       X                  37,327
VANGUARD INDEX FDS            SMALL CAP ETF    922908751   1,920    23,963  SH       X                  23,963
VERIZON COMMUNICATIONS INC    COM              92343V104     928    20,370  SH       X                  15,828               4,542
VERIZON COMMUNICATIONS INC    COM              92343V104      73     1,595  SH       X                     235    1,360
VISA INC                      COM CL A         92826C839     424     3,161  SH       X                   3,161
VODAFONE GROUP PLC NEW        SPONS ADR NEW    92857W209     915    32,106  SH       X                  25,470               6,636
VODAFONE GROUP PLC NEW        SPONS ADR NEW    92857W209      46     1,618  SH       X                     332    1,286
WAL-MART STORES INC           COM              931142103   1,500    20,320  SH       X                  20,320
WASHINGTON MUT INVS FD INC    COM              939330106     940    30,030  SH       X                  30,030


                                       7






                                                                                       INVESTMENT
                                                                                       DISCRETION       ** VOTING AUTHORITY **
                                                                                    ---------------- -----------------------------
                                 TITLE OF                MKT VAL  Shares/  SH/ PUT/ SOLE SHR OTH OTH    SOLE    SHARED    NONE
NAME OF ISSUER                    CLASS          CUSIP   x 1000   PRN Amt  PRN CALL  (A) (B) (C) MGR     (A)      (B)      (C)
----------------------------- ---------------- --------- ------- --------- --- ---- ---- --- --- --- --------- -------- ----------
                                                                                 
WESTERN UN CO                 COM              959802109     493    27,068  SH       X                  26,836                 232
WINDSTREAM CORP               COM              97381W104     100     9,878  SH       X                   6,672               3,206
WINDSTREAM CORP               COM              97381W104       7       649  SH       X                     191      458
YUM BRANDS INC                COM              988498101     913    13,761  SH       X                  13,761
FINAL TOTALS                                             805,547
FORM 13F INFORMATION TABLE ENTRY TOTAL                       279


                                       8