================================================================================

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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 03/31/2013

CHECK HERE IF AMENDMENT           [X]; AMENDMENT NUMBER: 1
THIS AMENDMENT (CHECK ONLY ONE.): [_] IS A RESTATEMENT.
                                  [_] ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:    Peapack Gladstone Financial Corp
ADDRESS: 500 Hills Drive Suite 300
         P O Box 700
         Bedminster, NJ 07921

13F FILE NUMBER: 028-06431

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:  Daniel J. Leary, III
TITLE: First VP & Chief Fiduciary Officer
PHONE: (908)719-4331

SIGNATURE,PLACE,AND DATE OF SIGNING:

/s/ Daniel J. Leary, III         Bedminster, NJ             5/14/2013
----------------------          ----------------           ----------

REPORT TYPE (CHECK ONLY ONE.):

[X] 13F HOLDINGS REPORT

[_] 13F NOTICE

[_] 13F COMBINATION REPORT

LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:

  NONE

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.

================================================================================



SJOB: JJ233EQ0   RUN DATE:   04/06/13     TIME:   8:38:39   BANK: 212 ID: 212
               BATCH DATE:   03/29/13                         FUNCTION: EQUITS

              THIS REPORT IS FOR:
                                   PEAPACK-GLADSTONE TRUST & INV
                                   500 HILLS DRIVE SUITE 300
                                   PO BOX 7037
                                   BEDMINSTER, NJ 07921



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 1



                                                                               SEC USE ONLY
           ITEM 1                  ITEM 2        ITEM 3     ITEM 4   ITEM 5       ITEM 6       ITEM 7     ITEM 8
       NAME OF ISSUER          TITLE OF CLASS CUSIP/TICKER  MARKET   SH/PV      INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                                   SHRD-
                                                                                   INSTR SHRD-
-                                                                            SOLE    V   OTHER         SOLE      SHARED    NONE
                                                                                          

A. COMMON STOCK
                  DOMESTIC COMMON STOCKS
                  ----------------------
ABBOTT LABS                                    002824100     6141654  173886         X                 172736        0      1150
ABBOTT LABS                                    002824100     1703307   48225               X            47270      180       775
ABBVIE INC                                     00287Y109     5179386  127008         X                 126808        0       200
ABBVIE INC                                     00287Y109     1547193   37940               X            37165        0       775
ADOBE SYS INC                                  00724F101     1032524   23728         X                  23728        0         0
ADOBE SYS INC                                  00724F101      902936   20750               X            18950        0      1800
AIR PRODUCTS & CHEMICALS INC                   009158106     6574162   75461         X                  74736        0       725
AIR PRODUCTS & CHEMICALS INC                   009158106     2752469   31594               X            30499      580       515
ALEXION PHARMACEUTICALS INC                    015351109      311710    3383         X                   3383        0         0
ALLEGHANY CORP                                 017175100    64306118  162422         X                 162422        0         0
ALLSTATE CORP                                  020002101       29638     604         X                    604        0         0
ALLSTATE CORP                                  020002101      186466    3800               X             3800        0         0
ALTERA CORP                                    021441100      114359    3225         X                   2525        0       700
ALTERA CORP                                    021441100      165066    4655               X             3655        0      1000
ALTRIA GROUP INC                               02209S103      251838    7323         X                   7323        0         0
ALTRIA GROUP INC                               02209S103       86663    2520               X             2520        0         0
AMAZON.COM INC                                 023135106      326983    1227         X                   1227        0         0
AMERICAN ELEC PWR INC                          025537101      281908    5797         X                   5797        0         0
AMERICAN ELEC PWR INC                          025537101      231868    4768               X             4768        0         0
AMERICAN EXPRESS CO                            025816109      535632    7940         X                   7940        0         0
AMERICAN EXPRESS CO                            025816109      297836    4415               X             4415        0         0
AMERICAN WATER WORKS CO INC                    030420103       41440    1000         X                   1000        0         0
AMERICAN WATER WORKS CO INC                    030420103      165760    4000               X             4000        0         0
AMGEN INC                                      031162100     1887312   18411         X                  17361        0      1050
AMGEN INC                                      031162100      606039    5912               X             5412      500         0
ANADARKO PETROLEUM CORPORATION                 032511107      342891    3921         X                   3921        0         0
ANADARKO PETROLEUM CORPORATION                 032511107      784427    8970               X             8970        0         0
APACHE CORP                                    037411105      145910    1891         X                    791        0      1100
APACHE CORP                                    037411105      195215    2530               X             2530        0         0
APPLE INC                                      037833100     9053725   20453         X                  19983        0       470
APPLE INC                                      037833100     1925571    4350               X             4250      100         0
ASHLAND INC                                    044209104      418309    5630         X                   5630        0         0
ASHLAND INC                                    044209104      137975    1857               X             1857        0         0
ASTEX PHARMACEUTICALS INC                      04624B103      223250   50000               X            50000        0         0
AT&T INC                                       00206R102    10361623  282410         X                 279036        0      3374
AT&T INC                                       00206R102     3030667   82602               X            78669     2252      1681
AUTOMATIC DATA PROCESSING INC                  053015103     9454256  145383         X                 143910        0      1473
AUTOMATIC DATA PROCESSING INC                  053015103     3039502   46740               X            44145     1795       800
BANK OF AMERICA CORP                           060505104      452134   37121         X                  34771        0      2350
BANK OF AMERICA CORP                           060505104      291431   23927               X            21277        0      2650
BARD CR INC                                    067383109      287223    2850         X                   2850        0         0
BAXTER INTL INC                                071813109      545526    7510         X                   7510        0         0
BAXTER INTL INC                                071813109      126394    1740               X             1740        0         0
                                     -                     --------- ------- -----                     -------    ----     -----
SUBTOTALS FOR THIS PAGE                                    136476296 1509879                          1481884     5407     22588




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV          ON 4/6/13    AS OF
3/29/13    DEPT ID# 233
     PAGE 2



                                                                            SEC USE ONLY
          ITEM 1                ITEM 2        ITEM 3     ITEM 4   ITEM 5       ITEM 6          ITEM 7     ITEM 8
      NAME OF ISSUER        TITLE OF CLASS CUSIP/TICKER  MARKET   SH/PV      INVEST AUTH        MNGR  VOTING AUTH (SHARES)
                                                                                   SHRD- SHRD-
                                                                                   INSTR OTHER
-                                                                         SOLE       V                 SOLE      SHARED    NONE
                                                                                          

A. COMMON STOCK
                 DOMESTIC COMMON STOCKS
                ----------------------
BEAM INC-W/I                                073730103      158850    2500            X                   2500        0         0
BEAM INC-W/I                                073730103       92133    1450                  X             1450        0         0
BECTON DICKINSON                            075887109      855231    8945            X                   8695        0       250
BECTON DICKINSON                            075887109     1142540   11950                  X            11450        0       500
BERKSHIRE HATHAWAY INC
  CLASS A                                   084670108      312560       2            X                      2        0         0
BERKSHIRE HATHAWAY INC-CL B                 084670702     6294097   60404            X                  59883        0       521
BERKSHIRE HATHAWAY INC-CL B                 084670702      312600    3000                  X             3000        0         0
BIOGEN IDEC INC                             09062X103      587292    3049            X                   3049        0         0
BLACKROCK INC CL A                          09247X101    11861691   46176            X                  46001        0       175
BLACKROCK INC CL A                          09247X101     2106416    8200                  X             7750      450         0
BOEING CO                                   097023105      369241    4301            X                   3501        0       800
BOEING CO                                   097023105      103020    1200                  X             1200        0         0
BRISTOL MYERS SQUIBB CO                     110122108     2944014   71474            X                  68374     2900       200
BRISTOL MYERS SQUIBB CO                     110122108     1653614   40146                  X            39906      240         0
BUCKEYE PARTNERS LP                         118230101     1100880   18000            X                  17000        0      1000
BUCKEYE PARTNERS LP                         118230101      527444    8624                  X             6599     1625       400
CAMERON INTERNATIONAL CORP                  13342B105      326326    5005            X                   5005        0         0
CATERPILLAR INC                             149123101     6396383   73547            X                  73075        0       472
CATERPILLAR INC                             149123101     1818456   20909                  X            20909        0         0
CBS CORPORATION CLASS B                     124857202     6660562  142655            X                 142405        0       250
CBS CORPORATION CLASS B                     124857202      436085    9340                  X             9340        0         0
CELGENE CORP                                151020104      509540    4396            X                   4396        0         0
CENTER BANCORP INC                          151408101      120757    9715            X                   9715        0         0
CENTER BANCORP INC                          151408101       37290    3000                  X             3000        0         0
CERNER CORP                                 156782104     2666457   28145            X                  28145        0         0
CHEVRON CORPORATION                         166764100    23875216  200936            X                 199728        0      1208
CHEVRON CORPORATION                         166764100     7352463   61879                  X            59994      690      1195
CHUBB CORP                                  171232101     3969398   45349            X                  44209        0      1140
CHUBB CORP                                  171232101     2835534   32395                  X            30090      455      1850
CHURCH & DWIGHT INC                         171340102      275001    4255            X                   3655        0       600
CHURCH & DWIGHT INC                         171340102       56551     875                  X                0      175       700
CISCO SYSTEMS INC                           17275R102     1626383   77836            X                  76886        0       950
CISCO SYSTEMS INC                           17275R102     1493261   71465                  X            69815        0      1650
CITRIX SYSTEMS INC                          177376100     2125900   29465            X                  29365        0       100
CITRIX SYSTEMS INC                          177376100      470418    6520                  X             6420        0       100
CLOROX COMPANY                              189054109     2849250   32184            X                  32184        0         0
CLOROX COMPANY                              189054109       30986     350                  X              350        0         0
COCA COLA CO                                191216100     2225332   55028            X                  55028        0         0
COCA COLA CO                                191216100      532595   13170                  X            13170        0         0
COLFAX CORP                                 194014106      232700    5000            X                   5000        0         0
COLGATE PALMOLIVE CO                        194162103     5642070   47802            X                  47354        0       448
COLGATE PALMOLIVE CO                        194162103     1007622    8537                  X             8187        0       350
COMCAST CORP-CL A                           20030N101      832295   19826            X                  19676        0       150
COMCAST CORP-CL A                           20030N101      170565    4063                  X             4063        0         0
                                                        --------- ------- -----                        -------    ----     -----
SUBTOTALS FOR THIS PAGE                                 106997019 1303068                             1281524     6535     15009




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 3



                                                                              SEC USE ONLY
           ITEM 1                  ITEM 2        ITEM 3     ITEM 4  ITEM 5       ITEM 6       ITEM 7     ITEM 8           NONE
       NAME OF ISSUER          TITLE OF CLASS CUSIP/TICKER  MARKET  SH/PV      INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                                  SHRD-
                                                                                  INSTR SHRD-
-                                                                           SOLE    V   OTHER         SOLE      SHARED
                                                                                         

A. COMMON STOCK
                  DOMESTIC COMMON STOCKS
                  ----------------------
COMCAST CORP-SPECIAL CL A                      20030N200     938995   23706         X                  23706        0         0
CONAGRA FOODS INC                              205887102     336614    9400         X                   9400        0         0
CONAGRA FOODS INC                              205887102      71620    2000               X             2000        0         0
CONOCOPHILLIPS                                 20825C104     968091   16108         X                  14495        0      1613
CONOCOPHILLIPS                                 20825C104     851737   14172               X            14172        0         0
CONSOLIDATED EDISON INC                        209115104     914535   14985         X                  13935        0      1050
CONSOLIDATED EDISON INC                        209115104      25938     425               X              425        0         0
CORNING INC                                    219350105      59985    4500         X                   4500        0         0
CORNING INC                                    219350105     156041   11706               X            11706        0         0
COSTCO WHOLESALE CORP NEW                      22160K105    7208371   67933         X                  67233        0       700
COSTCO WHOLESALE CORP NEW                      22160K105    3875668   36525               X            35325      300       900
CSX CORP                                       126408103     251078   10194         X                  10194        0         0
CSX CORP                                       126408103     172410    7000               X             7000        0         0
CUMMINS INC                                    231021106     864058    7461         X                   7461        0         0
CUMMINS INC                                    231021106     393754    3400               X             3400        0         0
CVS CAREMARK CORP                              126650100    6517140  118515         X                 118166        0       349
CVS CAREMARK CORP                              126650100    1487589   27052               X            25772        0      1280
DANAHER CORP                                   235851102    6574600  105786         X                 105786        0         0
DANAHER CORP                                   235851102    1926153   30992               X            30592        0       400
DARDEN RESTAURANTS INC                         237194105     151939    2940         X                   2940        0         0
DARDEN RESTAURANTS INC                         237194105      91732    1775               X             1775        0         0
DEERE & CO                                     244199105    6027198   70100         X                  70100        0         0
DEERE & CO                                     244199105     824892    9594               X             9594        0         0
DEVON ENERGY CORPORATION                       25179M103    2109036   37381         X                  36941        0       440
DEVON ENERGY CORPORATION                       25179M103     355446    6300               X             6300        0         0
DISCOVER FINL SVCS                             254709108     258682    5769         X                   4769        0      1000
DISCOVER FINL SVCS                             254709108      28698     640               X              640        0         0
DISNEY WALT CO NEW                             254687106   11744934  206777         X                 204127        0      2650
DISNEY WALT CO NEW                             254687106    4162986   73292               X            70142     1075      2075
DOMINION RESOURCES INC                         25746U109    4413593   75861         X                  75561        0       300
DOMINION RESOURCES INC                         25746U109    2133344   36668               X            35666        0      1002
DOVER CORP                                     260003108     526558    7225         X                   6775        0       450
DOVER CORP                                     260003108     145760    2000               X             2000        0         0
DOW CHEMICAL COMPANY                           260543103     134811    4234         X                   4234        0         0
DOW CHEMICAL COMPANY                           260543103     299774    9415               X             9415        0         0
DU PONT E I DE NEMOURS & CO                    263534109   12948646  263398         X                 259598     1000      2800
DU PONT E I DE NEMOURS & CO                    263534109    3193188   64955               X            63005     1525       425
DUKE ENERGY CORP                               26441C204    1289344   17762         X                  16791        0       971
DUKE ENERGY CORP                               26441C204     790795   10894               X            10250        0       644
ECOLAB INC                                     278865100    3240876   40420         X                  40120        0       300
ECOLAB INC                                     278865100     440429    5493               X             5493        0         0
EMC CORP MASS                                  268648102    4326813  181114         X                 181114        0         0
EMC CORP MASS                                  268648102     396574   16600               X            16600        0         0
                                                           -------- ------- -----             -       -------    ----     -----
SUBTOTALS FOR THIS PAGE                                    93630425 1662467                          1639218     3900     19349




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 4



                                                                               SEC USE ONLY
           ITEM 1                  ITEM 2        ITEM 3     ITEM 4   ITEM 5       ITEM 6      ITEM 7     ITEM 8
       NAME OF ISSUER          TITLE OF CLASS CUSIP/TICKER  MARKET   SH/PV     INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                             SOLE SHRD- SHRD-         SOLE      SHARED    NONE
                                                                                  INSTR OTHER
-                                                                                   V
                                                                                         

A. COMMON STOCK
                  DOMESTIC COMMON STOCKS
                  ----------------------
EMERSON ELEC CO                                291011104     2361178   42262        X                  40262     1450       550
EMERSON ELEC CO                                291011104     1450720   25966              X            24846     1120         0
ENBRIDGE ENERGY PARTNERS LP                    29250R106      579442   19225        X                  17425        0      1800
ENBRIDGE ENERGY PARTNERS LP                    29250R106      213241    7075              X             7075        0         0
ENTERGY CORP                                   29364G103      136915    2165        X                   2165        0         0
ENTERGY CORP                                   29364G103      189720    3000              X             3000        0         0
ENTERPRISE PRODS PARTNERS LP                   293792107      418593    6943        X                   6943        0         0
ENTERPRISE PRODS PARTNERS LP                   293792107       60290    1000              X              700        0       300
EOG RES INC                                    26875P101      299812    2341        X                   2341        0         0
EOG RES INC                                    26875P101      255372    1994              X             1714        0       280
ERIE INDEMNITY CO                              29530P102      226590    3000        X                   3000        0         0
EXELON CORP                                    30161N101      695151   20161        X                  19501        0       660
EXELON CORP                                    30161N101      213086    6180              X             6180        0         0
EXPRESS SCRIPTS HLDG                           30219G108     8165215  141708        X                 141308        0       400
EXPRESS SCRIPTS HLDG                           30219G108     1225116   21262              X            20762        0       500
EXXONMOBIL CORP                                30231G102    46823409  519625        X                 517103        0      2522
EXXONMOBIL CORP                                30231G102    15094957  167517              X           161588     3550      2379
FIDELITY NATIONAL FINANCIAL
  INC                                          31620R105    28947994 1147364        X                1147364        0         0
FIDELITY NATL INFORMATION SVCS                 31620M106    17829000  450000        X                 450000        0         0
FIDELITY NATL INFORMATION SVCS                 31620M106       18225     460              X              460        0         0
FIRST REPUBLIC BANK                            33616C100      234848    6081        X                   5081     1000         0
FIRST REPUBLIC BANK                            33616C100       38620    1000              X             1000        0         0
FLOWERS FOODS INC                              343498101       24639     748        X                    748        0         0
FLOWERS FOODS INC                              343498101      380292   11545              X            11545        0         0
FLOWSERVE CORP                                 34354P105      557636    3325        X                   3325        0         0
FLOWSERVE CORP                                 34354P105      167710    1000              X              775      225         0
FORD MOTOR CO DEL                              345370860      143269   10895        X                  10895        0         0
FORD MOTOR CO DEL                              345370860      213688   16250              X            15750        0       500
FRANKLIN RESOURCES INC                         354613101     1342963    8905        X                   8905        0         0
GENERAL DYNAMICS CORP                          369550108       35255     500        X                    500        0         0
GENERAL DYNAMICS CORP                          369550108     5697208   80800              X            80800        0         0
GENERAL ELECTRIC CORP                          369604103    23158148 1001650        X                 994333        0      7317
GENERAL ELECTRIC CORP                          369604103     7303492  315895              X           308195     4500      3200
GENERAL MLS INC                                370334104     2337836   47411        X                  46411        0      1000
GENERAL MLS INC                                370334104      799562   16215              X            14635     1340       240
GENUINE PARTS CO                               372460105      770250    9875        X                   9875        0         0
GENUINE PARTS CO                               372460105      235950    3025              X             2125      750       150
GLOWPOINT INC                                  379887201       15288   10400        X                  10400        0         0
GOLDMAN SACHS GROUP INC                        38141G104     1680453   11420        X                  11220        0       200
GOLDMAN SACHS GROUP INC                        38141G104      615823    4185              X             4085      100         0
GOOGLE INC CL A                                38259P508     2019620    2543        X                   2508        0        35
GOOGLE INC CL A                                38259P508      246992     311              X              311        0         0
HALLIBURTON CO                                 406216101       32126     795        X                    795        0         0
HALLIBURTON CO                                 406216101      202050    5000              X             5000        0         0
                                                           --------- -------                          -------   -----     -----
SUBTOTALS FOR THIS PAGE                                    173457744 4159022                         4122954    14035     22033




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 5



                                                                            SEC USE ONLY
ITEM 1                          ITEM 2        ITEM 3     ITEM 4   ITEM 5       ITEM 6          ITEM 7     ITEM 8           NONE
NAME OF ISSUER              TITLE OF CLASS CUSIP/TICKER  MARKET   SH/PV      INVEST AUTH        MNGR  VOTING AUTH (SHARES)
                                                                                   SHRD-
                                                                                   INSTR SHRD-
                                                                          SOLE       V   OTHER         SOLE      SHARED
                                                                                          

A. COMMON STOCK
                 DOMESTIC COMMON STOCKS
                ----------------------
HEINZ H J CO                                423074103      652237    9025            X                   9025        0         0
HEINZ H J CO                                423074103      274626    3800                  X             3400      400         0
HEWLETT PACKARD CO                          428236103      104014    4363            X                   4363        0         0
HEWLETT PACKARD CO                          428236103       98864    4147                  X             4147        0         0
HOLLYFRONTIER CORPORATION                   436106108      529060   10283            X                  10283        0         0
HOME DEPOT INC                              437076102     7051688  101056            X                  98631        0      2425
HOME DEPOT INC                              437076102     3005215   43067                  X            40327     1740      1000
HONEYWELL INTERNATIONAL INC                 438516106      909324   12068            X                  11915        0       153
HONEYWELL INTERNATIONAL INC                 438516106      199979    2654                  X             2654        0         0
ILLINOIS TOOL WKS INC                       452308109     3469924   56940            X                  56355        0       585
ILLINOIS TOOL WKS INC                       452308109     1228368   20157                  X            19512      145       500
INGREDION INC                               457187102      267584    3700                  X             3700        0         0
INTEL CORP                                  458140100     8037769  368114            X                 356914      900     10300
INTEL CORP                                  458140100     2336454  107005                  X           100030     4085      2890
INTERNATIONAL PAPER CO                      460146103    10009576  214890            X                 213910        0       980
INTERNATIONAL PAPER CO                      460146103      769269   16515                  X            13315     2650       550
INTL. BUSINESS MACHINES
  CORP                                      459200101    23723226  111220            X                 108345        0      2875
INTL. BUSINESS MACHINES
  CORP                                      459200101     8630118   40460                  X            38890      905       665
JM SMUCKER CO                               832696405      474976    4790            X                   4790        0         0
JM SMUCKER CO                               832696405       98962     998                  X              998        0         0
JOHNSON & JOHNSON                           478160104    21316752  261459            X                 256131     1400      3928
JOHNSON & JOHNSON                           478160104     8277496  101527                  X            98907      120      2500
JOHNSON CONTROLS INC                        478366107      170090    4850            X                   4850        0         0
JOHNSON CONTROLS INC                        478366107      105210    3000                  X             3000        0         0
JP MORGAN CHASE & CO                        46625H100    13121646  276478            X                 270953        0      5525
JP MORGAN CHASE & CO                        46625H100     3976199   83780                  X            80280     2075      1425
KANSAS CITY SOUTHERN                        485170302     1671263   15070            X                  15070        0         0
KANSAS CITY SOUTHERN                        485170302      238435    2150                  X             1750        0       400
KELLOGG CO                                  487836108      265452    4120            X                   3720        0       400
KELLOGG CO                                  487836108      135303    2100                  X             2100        0         0
KIMBERLY CLARK CORP                         494368103      670183    6840            X                   6840        0         0
KIMBERLY CLARK CORP                         494368103      253082    2583                  X             1933      300       350
KINDER MORGAN ENERGY
  PARTNERS LP                               494550106      502712    5600            X                   5500        0       100
KINDER MORGAN ENERGY
  PARTNERS LP                               494550106      662054    7375                  X             7075      300         0
KINDER MORGAN INC                           49456B101      133175    3443            X                   3443        0         0
KINDER MORGAN INC                           49456B101      302246    7814                  X             7814        0         0
KOHLS CORP                                  500255104      270322    5860            X                   5860        0         0
KOHLS CORP                                  500255104        6920     150                  X              150        0         0
KRAFT FOODS GROUP INC                       50076Q106      769188   14927            X                  14886        0        41
KRAFT FOODS GROUP INC                       50076Q106      204986    3978                  X             3978        0         0
LENDER PROCESSING                           52602E102     6859179  269410            X                 269410        0         0
LENDER PROCESSING                           52602E102        4125     162                  X              162        0         0
LILLY ELI & CO                              532457108     2614328   46035            X                  41935     2000      2100
LILLY ELI & CO                              532457108     1275787   22465                  X            22285      180         0
                                                        --------- -------                              -------   -----     -----
SUBTOTALS FOR THIS PAGE                                 135677366 2286428                             2229536    17200     39692




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 6



                                                                           SEC USE ONLY
          ITEM 1                ITEM 2        ITEM 3     ITEM 4  ITEM 5       ITEM 6          ITEM 7     ITEM 8
      NAME OF ISSUER        TITLE OF CLASS CUSIP/TICKER  MARKET  SH/PV      INVEST AUTH        MNGR  VOTING AUTH (SHARES)
                                                                                  SHRD-
                                                                                  INSTR SHRD-
-                                                                        SOLE       V   OTHER         SOLE      SHARED    NONE
                                                                                         

A. COMMON STOCK
                 DOMESTIC COMMON STOCKS
                ----------------------
LOWES COS INC                               548661107    3759389   99140            X                  99140        0         0
LOWES COS INC                               548661107     908374   23955                  X            23955        0         0
L3 COMMUNICATIONS HOLDINGS
  INC                                       502424104      72828     900            X                    900        0         0
L3 COMMUNICATIONS HOLDINGS
  INC                                       502424104     137969    1705                  X             1705        0         0
MARATHON OIL CORP                           565849106      53412    1584            X                   1584        0         0
MARATHON OIL CORP                           565849106     220866    6550                  X             6550        0         0
MARATHON PETROLEUM
  CORPORATION                               56585A102      67379     752            X                    752        0         0
MARATHON PETROLEUM
  CORPORATION                               56585A102     268800    3000                  X             3000        0         0
MARRIOTT INTERNATIONAL INC                  571903202      14907     353            X                      0        0       353
MARRIOTT INTERNATIONAL INC                  571903202     411743    9750                  X             9749        0         1
MATTEL INC                                  577081102     504887   11535            X                  11535        0         0
MCCORMICK & CO INC                          579780206    1182905   16083            X                  15983        0       100
MCCORMICK & CO INC                          579780206    1183787   16095                  X            15985      110         0
MCDONALDS CORP                              580135101   11874973  119119            X                 116954      450      1715
MCDONALDS CORP                              580135101    4038342   40509                  X            39504      455       550
MCKESSON CORP                               58155Q103     801171    7421            X                   7421        0         0
MCKESSON CORP                               58155Q103      24291     225                  X              225        0         0
MEAD JOHNSON NUTRITION CO                   582839106       7745     100            X                    100        0         0
MEAD JOHNSON NUTRITION CO                   582839106     401966    5190                  X             5190        0         0
MEDTRONIC INC                               585055106     241046    5133            X                   5133        0         0
MEDTRONIC INC                               585055106      37568     800                  X              800        0         0
MERCK & CO INC                              58933Y105   10459267  236635            X                 233275     2200      1160
MERCK & CO INC                              58933Y105    3624533   82003                  X            79427        0      2576
MERRIMACK PHARMACEUTICALS
  INC                                       590328100     236936   38842            X                  38842        0         0
MERRIMACK PHARMACEUTICALS
  INC                                       590328100      61012   10002                  X            10002        0         0
METLIFE INC                                 59156R108    2501564   65796            X                  65796        0         0
METLIFE INC                                 59156R108     903165   23755                  X            23355        0       400
MICROSOFT CORP                              594918104    5294986  185107            X                 179929     1500      3678
MICROSOFT CORP                              594918104    1867592   65289                  X            57889     2900      4500
MONDELEZ INTERNATIONAL INC                  609207105    1192546   38953            X                  38828        0       125
MONDELEZ INTERNATIONAL INC                  609207105     144472    4719                  X             4719        0         0
MONSANTO CO                                 61166W101    5649937   53488            X                  53318        0       170
MONSANTO CO                                 61166W101     429386    4065                  X             4065        0         0
NATIONAL FUEL GAS CO                        636180101     304910    4970            X                   4970        0         0
NATIONAL-OILWELL INC                        637071101    1352599   19118            X                  17743        0      1375
NATIONAL-OILWELL INC                        637071101     672125    9500                  X             9500        0         0
NEW JERSEY RES CORP                         646025106     220662    4920            X                   4320        0       600
NEWMONT MNG CORP                            651639106     923381   22043            X                  22043        0         0
NEXTERA ENERGY INC                          65339F101    4257718   54811            X                  54661        0       150
NEXTERA ENERGY INC                          65339F101    1095288   14100                  X            13725        0       375
NIKE INC-CLASS B                            654106103     460160    7798            X                   7798        0         0
NIKE INC-CLASS B                            654106103     247842    4200                  X             4200        0         0
NORFOLK SOUTHERN CORP                       655844108     398195    5166            X                   5166        0         0
NORFOLK SOUTHERN CORP                       655844108     328900    4267                  X             4267        0         0
                                                        -------- ------- -----                        -------    ----     -----
SUBTOTALS FOR THIS PAGE                                 68841524 1329446                             1304003     7615     17828




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 7



                                                                             SEC USE ONLY
          ITEM 1                 ITEM 2        ITEM 3     ITEM 4   ITEM 5       ITEM 6          ITEM 7     ITEM 8
      NAME OF ISSUER         TITLE OF CLASS CUSIP/TICKER  MARKET   SH/PV      INVEST AUTH        MNGR  VOTING AUTH (SHARES)
                                                                                    SHRD-
                                                                                    INSTR SHRD-
-                                                                          SOLE       V   OTHER         SOLE      SHARED    NONE
                                                                                           

A. COMMON STOCK
                 DOMESTIC COMMON STOCKS
                 ----------------------
NORTHERN TR CORP                             665859104      529222    9700            X                   9700        0         0
NORTHERN TR CORP                             665859104      268703    4925                  X             4625      300         0
NUCOR CORP                                   670346105     1488107   32245            X                  31825      220       200
NUCOR CORP                                   670346105      506496   10975                  X             8475     2110       390
OCCIDENTAL PETE CORP                         674599105      618418    7891            X                   7891        0         0
OCCIDENTAL PETE CORP                         674599105       90909    1160                  X             1160        0         0
ORACLE CORPORATION                           68389X105     5894761  182331            X                 180231     1000      1100
ORACLE CORPORATION                           68389X105     1220813   37761                  X            37761        0         0
PEABODY ENERGY CORP                          704549104       19564     925            X                    925        0         0
PEABODY ENERGY CORP                          704549104      246609   11660                  X            11660        0         0
PEAPACK-GLADSTONE FINL CORP                  704699107     7267969  487456            X                 483192        0      4264
PEAPACK-GLADSTONE FINL CORP                  704699107     6041860  405222                  X           405222        0         0
PEPSICO INC                                  713448108    20810518  263058            X                 257530        0      5528
PEPSICO INC                                  713448108     5481769   69293                  X            66723     1520      1050
PFIZER INC                                   717081103     2915957  101038            X                  93969     3000      4069
PFIZER INC                                   717081103     1132034   39225                  X            39025      200         0
PHILIP MORRIS INTERNATIONAL                  718172109     5386544   58101            X                  57701        0       400
PHILIP MORRIS INTERNATIONAL                  718172109      345345    3725                  X             3725        0         0
PHILLIPS 66                                  718546104      175345    2506            X                   1800        0       706
PHILLIPS 66                                  718546104      358316    5121                  X             5121        0         0
PITNEY BOWES INC                             724479100      542464   36505            X                  36005        0       500
PITNEY BOWES INC                             724479100      203582   13700                  X             8950     3500      1250
PNC FINANCIAL SERVICES GROUP                 693475105     1944926   29247            X                  29247        0         0
PNC FINANCIAL SERVICES GROUP                 693475105      722855   10870                  X             9945        0       925
PPG INDUSTRIES INC                           693506107      476157    3555            X                   3555        0         0
PPG INDUSTRIES INC                           693506107      488881    3650                  X             3650        0         0
PPL CORPORATION                              69351T106     1400653   44735            X                  43110        0      1625
PPL CORPORATION                              69351T106      622756   19890                  X            19890        0         0
PRAXAIR INC                                  74005P104      424744    3808            X                   3808        0         0
PRAXAIR INC                                  74005P104      122694    1100                  X             1100        0         0
PROCTER & GAMBLE CO                          742718109    18159112  235649            X                 231779        0      3870
PROCTER & GAMBLE CO                          742718109     6029945   78250                  X            75940     1120      1190
PROVIDENT FINL SVCS INC                      74386T105      244320   16000                  X            16000        0         0
PUBLIC SVC ENTERPRISE GROUP
  INC                                        744573106     2270870   66129            X                  64379        0      1750
PUBLIC SVC ENTERPRISE GROUP
  INC                                        744573106      940058   27375                  X            25700      175      1500
PVR PARTNERS LP                              693665101      764890   31725            X                  31125        0       600
PVR PARTNERS LP                              693665101      499077   20700                  X            18150     2550         0
QUALCOMM INC                                 747525103    12522533  187071            X                 184996        0      2075
QUALCOMM INC                                 747525103     3043695   45469                  X            43074     1695       700
QUEST DIAGNOSTICS INC                        74834L100      363609    6440            X                   5840        0       600
QUEST DIAGNOSTICS INC                        74834L100      430515    7625                  X             7425        0       200
ROCKWELL AUTOMATION INC                      773903109      475616    5508            X                   5508        0         0
ROCKWELL AUTOMATION INC                      773903109      113809    1318                  X              518      550       250
                                                         --------- ------- -----                        -------   -----     -----
SUBTOTALS FOR THIS PAGE                                  113607020 2630637                             2577955    17940     34742




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 8



                                                                              SEC USE ONLY
           ITEM 1                  ITEM 2        ITEM 3     ITEM 4  ITEM 5       ITEM 6      ITEM 7     ITEM 8           NONE
       NAME OF ISSUER          TITLE OF CLASS CUSIP/TICKER  MARKET  SH/PV     INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                                 SHRD-
                                                                                 INSTR SHRD-
-                                                                           SOLE   V   OTHER         SOLE      SHARED
                                                                                        

A. COMMON STOCK
                  DOMESTIC COMMON STOCKS
                  ----------------------
RUTH'S HOSPITALITY GROUP INC                   783332109      96793   10146        X                  10146        0         0
SCANA CORP                                     80589M102      30696     600        X                    600        0         0
SCANA CORP                                     80589M102     184176    3600              X             3600        0         0
SELECTIVE INS GROUP INC                        816300107     348145   14500        X                  14500        0         0
SEMPRA ENERGY                                  816851109       4796      60        X                     60        0         0
SEMPRA ENERGY                                  816851109     287784    3600              X             3600        0         0
SOUTHERN COMPANY                               842587107    3393724   72330        X                  70337        0      1993
SOUTHERN COMPANY                               842587107    1436221   30610              X            29310        0      1300
SPECTRA ENERGY CORP                            847560109     638770   20773        X                  20023        0       750
SPECTRA ENERGY CORP                            847560109      93911    3054              X             2454        0       600
STARBUCKS CORP                                 855244109      33031     580        X                    580        0         0
STARBUCKS CORP                                 855244109     435668    7650              X             7650        0         0
STRYKER CORPORATION                            863667101    3133151   48025        X                  48025        0         0
SUBURBAN PROPANE PARTNERS LP                   864482104     107156    2408        X                   2408        0         0
SUBURBAN PROPANE PARTNERS LP                   864482104     178000    4000              X             4000        0         0
SYSCO CORP                                     871829107    4081654  116055        X                 113325        0      2730
SYSCO CORP                                     871829107    1633119   46435              X            44060     1360      1015
TARGET CORP                                    87612E106    7034333  102766        X                 102276        0       490
TARGET CORP                                    87612E106    2418749   35336              X            35336        0         0
TEXAS INSTRUMENTS INC                          882508104     774351   21825        X                  21825        0         0
TEXAS INSTRUMENTS INC                          882508104     245699    6925              X             6925        0         0
THE HERSHEY COMPANY                            427866108     326574    3731        X                   3331        0       400
THERMO FISHER SCIENTIFIC INC                   883556102    2274048   29730        X                  29310        0       420
THERMO FISHER SCIENTIFIC INC                   883556102     114353    1495              X             1405       90         0
TIME WARNER INC                                887317303     255372    4432        X                   4432        0         0
TIME WARNER INC                                887317303      11524     200              X              200        0         0
TJX COS INC                                    872540109      83729    1791        X                   1791        0         0
TJX COS INC                                    872540109     344174    7362              X             7362        0         0
TRAVELERS COMPANIES INC                        89417E109    3819111   45363        X                  45363        0         0
TRAVELERS COMPANIES INC                        89417E109     513391    6098              X             5690        0       408
UGI CORP                                       902681105     878171   22875        X                  20075        0      2800
UGI CORP                                       902681105     217671    5670              X             4350      820       500
UNION PAC CORP                                 907818108   18243718  128107        X                 126907        0      1200
UNION PAC CORP                                 907818108    2453012   17225              X            16400      125       700
UNITED PARCEL SERVICE CL B                     911312106    3648001   42468        X                  42468        0         0
UNITED PARCEL SERVICE CL B                     911312106     178243    2075              X             2075        0         0
UNITED TECHNOLOGIES CORP                       913017109   11536456  123477        X                 121982        0      1495
UNITED TECHNOLOGIES CORP                       913017109    5904683   63199              X            60271      200      2728
US BANCORP NEW                                 902973304    4538341  133756        X                 130478        0      3278
US BANCORP NEW                                 902973304    2012354   59309              X            58509        0       800
V.F. CORP                                      918204108    2646592   15777        X                  15607        0       170
V.F. CORP                                      918204108    2290794   13656              X            13456        0       200
VALLEY NATL BANCORP                            919794107     222597   21738        X                  21417        0       321
VALLEY NATL BANCORP                            919794107      26767    2614              X             2614        0         0
                                                           -------- -------  -                       -------    ----     -----
SUBTOTALS FOR THIS PAGE
                                                           89129603 1303426                         1276533     2595     24298




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV          ON 4/6/13     AS OF
3/29/13    DEPT ID# 233
    PAGE 9



                                                                            SEC USE ONLY
         ITEM 1                ITEM 2        ITEM 3     ITEM 4   ITEM 5        ITEM 6        ITEM 7     ITEM 8
     NAME OF ISSUER        TITLE OF CLASS CUSIP/TICKER  MARKET   SH/PV      INVEST AUTH       MNGR  VOTING AUTH (SHARES)
                                                                          SOLE   SHRD- SHRD-          SOLE      SHARED    NONE
                                                                                 INSTR OTHER
-                                                                                  V
                                                                                        

A. COMMON STOCK
                DOMESTIC COMMON STOCKS
                ----------------------

VECTREN CORP                               92240G101     2483473           70115   X                   70115        0         0
VECTREN CORP                               92240G101     1186393           33495         X             31955      540      1000
VERIZON COMMUNICATIONS                     92343V104     6143947          125004   X                  118574      874      5556
VERIZON COMMUNICATIONS                     92343V104     2489595           50653         X             49013     1140       500
VISA INC CL A                              92826C839     1732368           10200   X                   10200        0         0
VISA INC CL A                              92826C839      547734            3225         X              2925      300         0
WAL MART STORES INC                        931142103     2405635           32148   X                   32148        0         0
WAL MART STORES INC                        931142103      389116            5200         X              5200        0         0
WASTE MANAGEMENT INC                       94106L109     7190212          183377   X                  180782        0      2595
WASTE MANAGEMENT INC                       94106L109     1592906           40625         X             39320      705       600
WELLS FARGO & CO                           949746101     3662750           99020   X                   95633     1100      2287
WELLS FARGO & CO                           949746101     2045843           55308         X             55308        0         0
WHIRLPOOL CORPORATION                      963320106      272458            2300         X              2300        0         0
WILLIAMS- SONOMA INC                       969904101      247296            4800         X              4800        0         0
WISCONSIN ENERGY CORP                      976657106      349468            8148         X              7348        0       800
YUM! BRANDS INC                            988498101     1022124           14208   X                   14208        0         0
YUM! BRANDS INC                            988498101       18345             255         X               255        0         0
ZIMMER HLDGS INC                           98956P102      148334            1972   X                    1752      220         0
ZIMMER HLDGS INC                           98956P102       66194             880         X               880        0         0
3M CO                                      88579Y101    11389628          107136   X                  107136        0         0
3M CO                                      88579Y101      905974            8522         X              8522        0         0
                                                       ---------        --------                     --------   -----    ------
SUBTOTALS FOR DOMESTIC COMMON STOCKS                   964106790        17040964                    16751981    80106    208877




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 10



                                                                             SEC USE ONLY
           ITEM 1                  ITEM 2        ITEM 3     ITEM 4  ITEM 5      ITEM 6      ITEM 7    ITEM 8
       NAME OF ISSUER          TITLE OF CLASS CUSIP/TICKER  MARKET  SH/PV    INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                           SOLE SHRD- SHRD-         SOLE      SHARED    NONE
                                                                                INSTR OTHER
-                                                                                 V
                                                                                       
A. COMMON STOCK
                      ADR SECURITIES
                      --------------
ANHEUSER-BUSCH INBEV SPONS ADR                 03524A108    1304105  13100        X                 12000        0      1100
BHP BILLITON LTD SPONS ADR                     088606108     998188  14587        X                 14312        0       275
BHP BILLITON LTD SPONS ADR                     088606108     169022   2470              X            2470        0         0
BP PLC SPONS ADR                               055622104     375814   8874        X                  8274        0       600
BP PLC SPONS ADR                               055622104     199596   4713              X            3913        0       800
GLAXO SMITHKLINE SPONS ADR                     37733W105     187171   3990        X                  3365        0       625
GLAXO SMITHKLINE SPONS ADR                     37733W105     369604   7879              X            7879        0         0
NOVARTIS AG SPONS ADR                          66987V109    1031199  14475        X                 14475        0         0
NOVARTIS AG SPONS ADR                          66987V109     768038  10781              X           10456        0       325
ROYAL DUTCH SHELL PLC SPONS
  ADR                                          780259107     427514   6398        X                  6398        0         0
ROYAL DUTCH SHELL SPONS ADR                    780259206     799253  12266        X                 12266        0         0
ROYAL DUTCH SHELL SPONS ADR                    780259206     384574   5902              X            5902        0         0
TEVA PHARMACEUTICAL INDS
  SPONS ADR                                    881624209     370611   9340        X                  9340        0         0
TEVA PHARMACEUTICAL INDS
  SPONS ADR                                    881624209     355334   8955              X            8455        0       500
TOTAL S.A. SPONS ADR                           89151E109    1618365  33730        X                 33205        0       525
TOTAL S.A. SPONS ADR                           89151E109     116112   2420              X            2300      120         0
UNILEVER NV NY SHARES ADR                      904784709     134275   3275        X                  1275        0      2000
UNILEVER NV NY SHARES ADR                      904784709      73800   1800              X            1800        0         0
UNILEVER PLC SPONS ADR                         904767704     157428   3727        X                  3727        0         0
UNILEVER PLC SPONS ADR                         904767704     124608   2950              X            2950        0         0
VODAFONE GROUP SPONS ADR                       92857W209     494501  17412        X                 17412        0         0
VODAFONE GROUP SPONS ADR                       92857W209     158358   5576              X            5576        0         0
                                               ---------   -------- ------                           ------    ---      ----
SUBTOTALS FOR ADR SECURITIES                               10617470 194620                         187750      120      6750




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 11

*SUMMARY PAGE FOR A. COMMON STOCK *



MINOR ASSET TYPE            MARKET    SH/PV   INVEST AUTH MNGR  VOTING  AUTH(SHARES)
----------------           --------- -------- ------ ---- ---- -------- ------------
                                                             
43 DOMESTIC COMMON STOCKS  964106790 17040964                  16751981    80106     208877
44 ADR SECURITIES           10617470   194620                    187750      120       6750
                           --------- --------                  --------    -----     ------
*SUBTOTALS*                974724260 17235584                  16939731    80226     215627




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 12

*SUMMARY PAGE FOR B. PREFERRED STOCK *



MINOR ASSET TYPE        MARKET SH/PV INVEST AUTH MNGR VOTING AUTH(SHARES)
----------------        ------ ----- ------ ---- ---- ------ ------------
                                        
       **NONE**




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
 3/29/13     DEPT ID# 233     PAGE 13



                                                                           SEC USE ONLY
           ITEM 1                  ITEM 2        ITEM 3    ITEM 4 ITEM 5      ITEM 6      ITEM 7        ITEM 8
       NAME OF ISSUER          TITLE OF CLASS CUSIP/TICKER MARKET SH/PV    INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                         SOLE SHRD- SHRD-         SOLE     SHARED     NONE
                                                                              INSTR OTHER
-                                                                               V
                                                                                     

C. OTHER
               REAL ESTATE INVESTMENT TRUSTS
              -----------------------------
ANNALY CAPITAL MANAGEMENT REIT                * 035710409   15890  1000         X          N.A.   N.A.      N.A.
ANNALY CAPITAL MANAGEMENT REIT                * 035710409  150955  9500               X    N.A.   N.A.      N.A.
SIMON PROPERTY GROUP INC REIT                 * 828806109   91331   576         X          N.A.   N.A.      N.A.
SIMON PROPERTY GROUP INC REIT                 * 828806109  356760  2250               X    N.A.   N.A.      N.A.
                                                           ------ -----                    ----   ----      ----
SUBTOTALS FOR REAL ESTATE
  INVESTMENT TRUSTS                                        614936 13326                    N.A.   N.A.      N.A.




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 14



                                                              SEC USE ONLY
   ITEM 1           ITEM 2        ITEM 3     ITEM 4  ITEM 5      ITEM 6          ITEM 7    ITEM 8
NAME OF ISSUER  TITLE OF CLASS CUSIP/TICKER  MARKET  SH/PV     INVEST AUTH        MNGR  VOTING AUTH (SHARES)
                                                                     SHRD-
                                                                     INSTR SHRD-
-                                                           SOLE       V   OTHER         SOLE      SHARED    NONE
                                                                            

C. OTHER
             FOREIGN SECURITIES
           --------------------
AON PLC                        * G0408V102   1408043  22895            X                 22895         0        0
BCE INC                        * 05534B760   1049825  22485            X                 22485         0        0
BCE INC                        * 05534B760    109301   2341                  X            1221       900      220
COVIDIEN PLC                   * G2554F113    847389  12491            X                 12091         0      400
COVIDIEN PLC                   * G2554F113    495910   7310                  X            7310         0        0
INGERSOLL-
  RAND PLC                     * G47791101    181533   3300            X                  3300         0        0
INGERSOLL-
  RAND PLC                     * G47791101    450147   8183                  X            8183         0        0
INVESCO
  LIMITED                      * G491BT108   1589904  54900            X                 52900      1000     1000
INVESCO
  LIMITED                      * G491BT108    758897  26205                  X           26205         0        0
NOBLE CORP                     * H5833N103    351552   9215            X                  9215         0        0
NOBLE CORP                     * H5833N103    167860   4400                  X            4400         0        0
SCHLUMBERGER
  LTD                          * 806857108  11324267 151212            X                149087         0     2125
SCHLUMBERGER
  LTD                          * 806857108   3525297  47073                  X           45448       750      875
TE
  CONNECTIVITY
  LIMITED                      * H84989104    252461   6021            X                  6021         0        0
TRANSOCEAN
  LTD                          * H8817H100     37515    722            X                   722         0        0
TRANSOCEAN
  LTD                          * H8817H100    181756   3498                  X            3398         0      100
WEATHERFORD
  INTNTL LTD                   * H27013103    710129  58495            X                 56495         0     2000
WEATHERFORD
  INTNTL LTD                   * H27013103    147805  12175                  X            8775      2000     1400
                                            -------- ------                               ------    ----     ----
SUBTOTALS FOR
  FOREIGN
  SECURITIES                                23589591 452921                             440151      4650     8120




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 15



                                                              SEC USE ONLY
   ITEM 1           ITEM 2        ITEM 3     ITEM 4  ITEM 5      ITEM 6       ITEM 7   ITEM 8
NAME OF ISSUER  TITLE OF CLASS CUSIP/TICKER  MARKET  SH/PV     INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                  SHRD-
                                                                  INSTR SHRD-
-                                                           SOLE    V   OTHER        SOLE      SHARED     NONE
                                                                         

C. OTHER
      CLOSED END EQUITY MUTUAL FUND
      -------------------------------
ALERIAN MLP
  ETF                          * 00162Q866    961399  54255         X                N.A.       N.A.      N.A.
ALERIAN MLP
  ETF                          * 00162Q866    302126  17050               X          N.A.       N.A.      N.A.
FINANCIAL
  SELECT
  SECTOR
  SPDR                         * 81369Y605    136568   7500         X                N.A.       N.A.      N.A.
FINANCIAL
  SELECT
  SECTOR
  SPDR                         * 81369Y605     49711   2730               X          N.A.       N.A.      N.A.
FIRST TR
  SMALL CAP
  CORE
  ALPHADEX-
  A                            * 33734Y109    341550   9000               X          N.A.       N.A.      N.A.
FIRST TRUST
  LARGE CAP
  CORE A                       * 33734K109    273920   8000         X                N.A.       N.A.      N.A.
GUGGENHEIM
  S&P 500
  EQUAL
  WEIGHT
  ETF                          * 78355W106   2689108  45089               X          N.A.       N.A.      N.A.
GUGGENHEIM
  S&P 500
  EQUAL
  WEIGHT
  ETF                          * 78355W106    341439   5725         X                N.A.       N.A.      N.A.
HEALTH
  CARE
  SELECT
  SECTOR
  SPDR                         * 81369Y209    317232   6895               X          N.A.       N.A.      N.A.
HEALTH
  CARE
  SELECT
  SECTOR
  SPDR                         * 81369Y209     43709    950         X                N.A.       N.A.      N.A.
ISHARES
  CORE S&P
  MID-CAP
  ETF                          * 464287507    154539   1343               X          N.A.       N.A.      N.A.
ISHARES
  CORE S&P
  MID-CAP
  ETF                          * 464287507     78823    685         X                N.A.       N.A.      N.A.
ISHARES
  CORE S&P
  SMALL-CAP
  ETF                          * 464287804   1060826  12185               X          N.A.       N.A.      N.A.
ISHARES
  CORE S&P
  SMALL-CAP
  ETF                          * 464287804     50321    578         X                N.A.       N.A.      N.A.
ISHARES
  CORE S&P
  500 ETF                      * 464287200    201421   1280               X          N.A.       N.A.      N.A.
ISHARES
  CORE S&P
  500 ETF                      * 464287200     20457    130         X                N.A.       N.A.      N.A.
ISHARES DJ
  SELECT
  DIVIDEND
  INDEX FD                     * 464287168   1334697  21052               X          N.A.       N.A.      N.A.
ISHARES DJ
  SELECT
  DIVIDEND
  INDEX FD                     * 464287168    130224   2054         X                N.A.       N.A.      N.A.
ISHARES
  DOW JONES
  U.S. REAL
  ESTATE                       * 464287739    167864   2416               X          N.A.       N.A.      N.A.
ISHARES
  DOW JONES
  U.S. REAL
  ESTATE                       * 464287739     45857    660         X                N.A.       N.A.      N.A.
ISHARES
  MSCI
  AUSTRALIA
  INDEX
  FUND                         * 464286103    162916   6025               X          N.A.       N.A.      N.A.
ISHARES
  MSCI
  AUSTRALIA
  INDEX
  FUND                         * 464286103    119382   4415         X                N.A.       N.A.      N.A.
ISHARES
  MSCI
  CANADA
  INDEX
  FUND                         * 464286509    352099  12350               X          N.A.       N.A.      N.A.
ISHARES
  MSCI
  CANADA
  INDEX
  FUND                         * 464286509    140982   4945         X                N.A.       N.A.      N.A.
ISHARES
  MSCI EAFE
  INDEX
  FUND                         * 464287465   2610691  44264               X          N.A.       N.A.      N.A.
ISHARES
  MSCI EAFE
  INDEX
  FUND                         * 464287465    638694  10829         X                N.A.       N.A.      N.A.
ISHARES
  MSCI
  EMERGING
  MKT IN                       * 464287234   4542174 106200               X          N.A.       N.A.      N.A.
ISHARES
  MSCI
  EMERGING
  MKT IN                       * 464287234    671917  15710         X                N.A.       N.A.      N.A.
ISHARES
  MSCI
  UNITED
  KINGDOM                      * 464286699    228375  12500               X          N.A.       N.A.      N.A.
ISHARES
  MSCI
  UNITED
  KINGDOM                      * 464286699     36540   2000         X                N.A.       N.A.      N.A.
ISHARES
  NASDAQ
  BIOTECH
  INDX                         * 464287556   3999849  25010               X          N.A.       N.A.      N.A.
ISHARES
  NASDAQ
  BIOTECH
  INDX                         * 464287556   1266486   7919         X                N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  MIDCAP
  GRWTH                        * 464287481   2361885  33804               X          N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  MIDCAP
  GRWTH                        * 464287481   1442466  20645         X                N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  MIDCAP
  INDEX
  FUND                         * 464287499   2335899  18351               X          N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  MIDCAP
  INDEX
  FUND                         * 464287499    435968   3425         X                N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  MIDCAP
  VALUE                        * 464287473   2669481  46833               X          N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  MIDCAP
  VALUE                        * 464287473   1507365  26445         X                N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  1000
  GROWTH
  INDEX                        * 464287614    625344   8762               X          N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  1000
  GROWTH
  INDEX                        * 464287614      4996     70         X                N.A.       N.A.      N.A.
ISHARES
  RUSSELL
  1000 VALUE                   * 464287598    302521   3727         X                N.A.       N.A.      N.A.
ISHARES S&P
  SMALLCAP
  600/VAL                      * 464287879    493446   5487         X                N.A.       N.A.      N.A.
ISHARES S&P
  500
  GROWTH
  INDEX FD                     * 464287309   2988252  36274         X                N.A.       N.A.      N.A.
ISHARES S&P
  500
  GROWTH
  INDEX FD                     * 464287309    658628   7995               X          N.A.       N.A.      N.A.
                      -                     -------- ------                            ----     ----      ----
SUBTOTALS
  FOR THIS
  PAGE                                      39298147 663562                          N.A.       N.A.      N.A.


                                      16



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 16



                                                                               SEC USE ONLY
ITEM 1                             ITEM 2        ITEM 3     ITEM 4   ITEM 5       ITEM 6      ITEM 7   ITEM 8
NAME OF ISSUER                 TITLE OF CLASS CUSIP/TICKER  MARKET   SH/PV     INVEST   AUTH   MNGR  VOTING AUTH (SHARES)
                                                                                  SHRD- SHRD-
                                                                                  INSTR OTHER
-                                                                            SOLE   V                SOLE      SHARED     NONE
                                                                                         

C. OTHER
               CLOSED END EQUITY MUTUAL FUND
              -----------------------------
ISHARES S&P 500 VALUE INDEX
  FUND                                        * 464287408    2910820   39442        X                N.A.       N.A.      N.A.
ISHARES S&P 500 VALUE INDEX
  FUND                                        * 464287408     728406    9870              X          N.A.       N.A.      N.A.
ISHARES TR S&P SMALLCAP/ 600
  GROWTH                                      * 464287887     448325    4775        X                N.A.       N.A.      N.A.
POWERSHARES QQQ TRUST                         * 73935A104   12950566  187771        X                N.A.       N.A.      N.A.
POWERSHARES QQQ TRUST                         * 73935A104     962821   13960              X          N.A.       N.A.      N.A.
SPDR GOLD TRUST                               * 78463V107     286542    1855        X                N.A.       N.A.      N.A.
SPDR GOLD TRUST                               * 78463V107     123576     800              X          N.A.       N.A.      N.A.
SPDR S&P DIVIDEND ETF                         * 78464A763    9489692  143805        X                N.A.       N.A.      N.A.
SPDR S&P DIVIDEND ETF                         * 78464A763    2113000   32020              X          N.A.       N.A.      N.A.
SPDR S&P MIDCAP 400 ETF TRUST                 * 78467Y107   14460194   68950        X                N.A.       N.A.      N.A.
SPDR S&P MIDCAP 400 ETF TRUST                 * 78467Y107    1944314    9271              X          N.A.       N.A.      N.A.
SPDR S&P 500 ETF TRUST                        * 78462F103   14227516   90812        X                N.A.       N.A.      N.A.
SPDR S&P 500 ETF TRUST                        * 78462F103    1699870   10850              X          N.A.       N.A.      N.A.
TECHNOLOGY SELECT SECT SPDR                   * 81369Y803     312235   10315        X                N.A.       N.A.      N.A.
TECHNOLOGY SELECT SECT SPDR                   * 81369Y803      86421    2855              X          N.A.       N.A.      N.A.
UTILITIES SELECT SECTOR SPDR                  * 81369Y886    1082875   27695        X                N.A.       N.A.      N.A.
UTILITIES SELECT SECTOR SPDR                  * 81369Y886     104984    2685              X          N.A.       N.A.      N.A.
VANGUARD FTSE EMERGING
  MARKETS ETF                                 * 922042858   11213182  261410        X                N.A.       N.A.      N.A.
VANGUARD FTSE EMERGING
  MARKETS ETF                                 * 922042858    3572081   83275              X          N.A.       N.A.      N.A.
VANGUARD HEALTH CARE ETF                      * 92204A504    3792346   45735        X                N.A.       N.A.      N.A.
VANGUARD HEALTH CARE ETF                      * 92204A504      37314     450              X          N.A.       N.A.      N.A.
VANGUARD IND FD MID- CAP                      * 922908629    4342979   46754        X                N.A.       N.A.      N.A.
VANGUARD IND FD MID- CAP                      * 922908629     429430    4623              X          N.A.       N.A.      N.A.
VANGUARD INDUSTRIALS ETF                      * 92204A603     211656    2650        X                N.A.       N.A.      N.A.
VANGUARD INFO TECH ETF                        * 92204A702     218700    3000        X                N.A.       N.A.      N.A.
VANGUARD INFO TECH ETF                        * 92204A702       7290     100              X          N.A.       N.A.      N.A.
VANGUARD LARGE-CAP ETF                        * 922908637     859087   11975        X                N.A.       N.A.      N.A.
VANGUARD LARGE-CAP ETF                        * 922908637      64566     900              X          N.A.       N.A.      N.A.
VANGUARD MSCI EAFE ETF                        * 921943858     448198   12303        X                N.A.       N.A.      N.A.
VANGUARD MSCI EAFE ETF                        * 921943858     522771   14350              X          N.A.       N.A.      N.A.
VANGUARD S&P 500 ETF                          * 922908413     376826    5260        X                N.A.       N.A.      N.A.
VANGUARD S&P 500 ETF                          * 922908413     250740    3500              X          N.A.       N.A.      N.A.
VANGUARD SMALL CAP GROWTH ETF                 * 922908595    4473718   44773        X                N.A.       N.A.      N.A.
VANGUARD SMALL CAP GROWTH ETF                 * 922908595    1937549   19391              X          N.A.       N.A.      N.A.
VANGUARD SMALL CAP VALUE ETF                  * 922908611    3841498   46762        X                N.A.       N.A.      N.A.
VANGUARD SMALL CAP VALUE ETF                  * 922908611    1852072   22545              X          N.A.       N.A.      N.A.
VANGUARD SMALL-CAP ETF                        * 922908751    7887574   86534        X                N.A.       N.A.      N.A.
VANGUARD SMALL-CAP ETF                        * 922908751    2069925   22709              X          N.A.       N.A.      N.A.
WISDOM TREE INTL DIVIDEND
  EX-FIN FD                                   * 97717W786     676126   16060        X                N.A.       N.A.      N.A.
WISDOM TREE INTL DIVIDEND
  EX-FIN FD                                   * 97717W786      25260     600              X          N.A.       N.A.      N.A.
                                              -----------  --------- -------  -     -     -            ----     ----      ----
SUBTOTALS FOR CLOSED END
  EQUITY MUTUAL FUND                                       152341192 2076952                         N.A.       N.A.      N.A.




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 17


                                                                             SEC USE ONLY
ITEM 1                             ITEM 2        ITEM 3     ITEM 4  ITEM 5      ITEM 6      ITEM 7   ITEM 8
NAME OF ISSUER                 TITLE OF CLASS CUSIP/TICKER  MARKET  SH/PV    INVEST AUTH     MNGR  VOTING AUTH (SHARES)
                                                                           SOLE SHRD- SHRD-        SOLE      SHARED     NONE
                                                                                INSTR OTHER
-                                                                                 V
                                                                                       

C. OTHER
               CLOSED-END FIXED INCOME (TAX)
              -----------------------------
ISHARES BARCLAYS TIPS BOND
  FUND                                        * 464287176    106716    880        X                N.A.       N.A.      N.A.
ISHARES BARCLAYS TIPS BOND
  FUND                                        * 464287176    121268   1000              X          N.A.       N.A.      N.A.
ISHARES BARCLAYS 1-3 YEAR CR                  * 464288646    906061   8585        X                N.A.       N.A.      N.A.
ISHARES BARCLAYS 1-3 YEAR CR                  * 464288646     42216    400              X          N.A.       N.A.      N.A.
ISHARES BARCLAYS 1-3 YEAR
  TREASURY                                    * 464287457   1460909  17295        X                N.A.       N.A.      N.A.
ISHARES BARCLAYS 1-3 YEAR
  TREASURY                                    * 464287457    269459   3190              X          N.A.       N.A.      N.A.
ISHARES IBOXX INV GRD CORP
  BOND FD                                     * 464287242    352506   2940        X                N.A.       N.A.      N.A.
ISHARES IBOXX INV GRD CORP
  BOND FD                                     * 464287242     31174    260              X          N.A.       N.A.      N.A.
ISHARES S&P PREF STK                          * 464288687    443694  10950        X                N.A.       N.A.      N.A.
ISHARES S&P PREF STK                          * 464288687    189026   4665              X          N.A.       N.A.      N.A.
VANGUARD INTERMEDIATE- TERM
  BOND ETF                                    * 921937819   1786569  20295        X                N.A.       N.A.      N.A.
VANGUARD INTERMEDIATE- TERM
  BOND ETF                                    * 921937819    731089   8305              X          N.A.       N.A.      N.A.
VANGUARD SHORT TERM BOND ETF                  * 921937827   6144063  75862        X                N.A.       N.A.      N.A.
VANGUARD SHORT TERM BOND ETF                  * 921937827   3351771  41385              X          N.A.       N.A.      N.A.
VANGUARD TOTAL BOND MARKET ETF                * 921937835    409669   4898        X                N.A.       N.A.      N.A.
VANGUARD TOTAL BOND MARKET ETF                * 921937835     20910    250              X          N.A.       N.A.      N.A.
                                                           -------- ------        -     -            ----     ----      ----
SUBTOTALS FOR CLOSED-END FIXED INCOME (TAX)                16367100 201160                         N.A.       N.A.      N.A.




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV       ON 4/6/13 AS OF
 3/29/13 DEPT ID# 233 PAGE 18



                                                                         SEC USE ONLY
                                                                             
ITEM 1                             ITEM 2 ITEM 3    ITEM 4  ITEM 5       ITEM 6       ITEM 7 ITEM 8
                                                                         INVEST
                                   TITLE                                 SHRD-  AUTH
                                    OF     CUSIP/                        INSTR  SHRD-        VOTING AUTH(SHARES)
NAME OF ISSUER                     CLASS   TICKER   MARKET  SH/PV  SOLE    V    OTHER  MNGR   SOLE     SHARED    NONE
--------------                     ------ --------- ------- ------ ----- ------ ----- ------ ------ ------------ ----

C. OTHER

            CLOSED END FIXED INC-NON-TAX
           ------------------------------

BLACKROCK MUNIYIELD NEW
  JERSEY FUND                   *         09254Y109   50350   3046         X                  N.A.      N.A.     N.A.
BLACKROCK MUNIYIELD NEW
  JERSEY FUND                   *         09254Y109  125347   7583                X           N.A.      N.A.     N.A.
EATON VANCE NJ MUNICIPAL INC    *         27826V106  157696  11020         X                  N.A.      N.A.     N.A.
ISHARES S&P S/T NATION MUNI     *         464288158  700589   6590         X                  N.A.      N.A.     N.A.
ISHARES TR S&P NAT MUNI BOND
  FUND                          *         464288414  540604   4907         X                  N.A.      N.A.     N.A.
NUVEEN N J INVT QUALITY MUN
  FD INC                        *         670971100  214116  14227         X                  N.A.      N.A.     N.A.
NUVEEN NJ DVD ADV MUNI FD       *         67069Y102   47840   3200         X                  N.A.      N.A.     N.A.
NUVEEN NJ DVD ADV MUNI FD       *         67069Y102  158470  10600                X           N.A.      N.A.     N.A.
                                          --------- ------- ------ -----                      ----      ----     ----
SUBTOTALS FOR CLOSED END
  FIXED INC-NON-TAX                                 1995012  61173                            N.A.      N.A.     N.A.




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV      ON 4/6/13 AS OF
 3/29/13 DEPT ID# 233 PAGE 19

* SUMMARY PAGE FOR C. OTHER *


MINOR ASSET TYPE                   MARKET    SH/PV  INVEST     AUTH MNGR VOTING AUTH(SHARES)
----------------                  --------- ------- ------     ---- ---- ------ ------------
                                                                  
97 CLOSED END FIXED INC-NON-TAX     1995012   61173                        N.A.     N.A.      N.A.
63 CLOSED END EQUITY MUTUAL
  FUND                            152341192 2076952                        N.A.     N.A.      N.A.
68 CLOSED-END FIXED INCOME (TAX)   16367100  201160                        N.A.     N.A.      N.A.
54 FOREIGN SECURITIES              23589591  452921                      440151     4650      8120
47 REAL ESTATE INVESTMENT TRUSTS     614936   13326                        N.A.     N.A.      N.A.
                                  --------- -------                      ------     ----      ----
*SUBTOTALS*                       194907831 2805532                                 440151 4650 8120
*SUBTOTALS*                       194907831 2805532                        N.A.     N.A.      N.A.


* THESE ASSETS ARE CODED 13(F) ELIGIBLE, HOWEVER, THE MINOR ASSET TYPE IS NOT
  INCLUDED IN THE MAPPING



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV           ON 4/6/13     AS OF
3/29/13     DEPT ID# 233     PAGE 20

**SUMMARY PAGE FOR: PEAPACK-GLADSTONE TRUST & INV **



CATEGORY            MARKET    SH/PV   INVEST     AUTH     MNGR  VOTING  AUTH(SHARES)
--------          ---------- -------- -------    -----    ---- -------- ------------ ------
                                                             
A. COMMON STOCK    974724260 17235584                          16939731    80226     215627
C. OTHER           194907831  2805532                            440151     4650       8120
                  ---------- --------                          --------    -----     ------
**GRAND TOTALS**  1169632091 20041116                          17379882    84876     223747




JOB: JJ233EQ0       DATE: 4/ 6/13       TIME: 8:39:07       BANK: 212   ID: 213




                                                      
SJOB: JJ233EQ0  RUN DATE:04/06/13    TIME: 8:38:39 BANK: 212 ID: 212
                BATCH DATE: 03/29/13                                 FUNCTION: EQUITS



                                
              THIS REPORT IS FOR:
                                   PEAPACK-GLADSTONE TRUST & INV
                                   500 HILLS DRIVE SUITE 300
                                   PO BOX 7037
                                   BEDMINSTER, NJ 07921




13F EXCEPTION REPORT   *** INTERNAL USE ONLY   ***
PREPARED FOR:  PEAPACK-GLADSTONE TRUST & INV       ON 4/6/13     AS OF
 3/29/13     DEPT ID# 233     PAGE 1



ITEM 1                        ITEM 2        ITEM 3    ITEM 4 ITEM 5      ITEM 6      ITEM 7   ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER MARKET SH/PV    INVEST AUTH     MNGR  VOTING AUTH(SHARES)
                                                                         SHRD-
                                                                         INSTR SHRD-
                                                                    SOLE   V   OTHER        SOLE     SHARED     NONE
                                                                               
A. COMMON STOCK
                   DOMESTIC COMMON STOCKS
                   ----------------------




13F EXCEPTION REPORT   *** INTERNAL USE ONLY   ***
PREPARED FOR:  PEAPACK-GLADSTONE TRUST & INV       ON 4/6/13       AS OF
3/29/13     DEPT ID# 233     PAGE 2



ITEM 1                        ITEM 2        ITEM 3    ITEM 4 ITEM 5      ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER MARKET SH/PV     INVEST AUTH     MNGR  VOTING AUTH(SHARES)
                                                                         SHRD-
                                                                         INSTR  SHRD-
                                                                    SOLE   V    OTHER        SOLE     SHARED     NONE
                                                                                
B. PREFERRED STOCK
                 FOREIGN PREFERRED STOCKS
                  ------------------------




13F EXCEPTION REPORT   *** INTERNAL USE ONLY   ***
PREPARED FOR:  PEAPACK-GLADSTONE TRUST & INV       ON 4/6/13       AS OF
3/29/13     DEPT ID# 233     PAGE 3



ITEM 1                        ITEM 2        ITEM 3    ITEM 4 ITEM 5      ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER MARKET SH/PV     INVEST AUTH     MNGR  VOTING AUTH(SHARES)
                                                                         SHRD-
                                                                         INSTR  SHRD-
                                                                    SOLE   V    OTHER        SOLE     SHARED     NONE
                                                                                
C. OTHER
                    RIGHTS AND WARRANTS
                    -------------------




JOB:  JJ233EQ0       DATE: 4/ 6/13       TIME: 8:39:07       BANK: 212
      ID: 213