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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 03/31/11

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

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

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

13F FILE NUMBER: 001-16197

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:  Michael Pylypyshyn
TITLE: First VP & Senior Trust OPS Of
PHONE: (908)719-3306

SIGNATURE,PLACE,AND DATE OF SIGNING:


        Michael Pylypyshyn              Gladstone, NJ              4/4/11
----------------------------------   -------------------        -------------

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.


INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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)
                                                                       SOLE  SHRD-  SHRD-               SOLE      SHARED     NONE
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
     DOMESTIC COMMON STOCKS
-------------------------------
ABBOTT LABS                         002824100     6444974      131396          X                        127481       1490       2425
ABBOTT LABS                         002824100     2613237       53277                 X                  37022      15980        275
ADOBE SYS INC                       00724F101     3703839      111696          X                        109301       1275       1120
ADOBE SYS INC                       00724F101     1900632       57317                 X                  42715      14202        400
AIR PRODUCTS & CHEMICALS INC        009158106     6245867       69260          X                         66635       1975        650
AIR PRODUCTS & CHEMICALS INC        009158106     3629204       40244                 X                  19200      21044          0
ALLSTATE CORP                       020002101      114408        3600          X                          2400          0       1200
ALLSTATE CORP                       020002101      190680        6000                 X                   6000          0          0
ALTERA CORP                         021441100      485100       11020          X                         11020          0          0
ALTERA CORP                         021441100      303738        6900                 X                   4800       2100          0
ALTRIA GROUP INC                    02209S103      132102        5075          X                          4300          0        775
ALTRIA GROUP INC                    02209S103       98914        3800                 X                   3800          0          0
AMAZON.COM INC                      023135106      223001        1238          X                          1238          0          0
AMERICAN ELEC PWR INC               025537101       83914        2388          X                          2388          0          0
AMERICAN ELEC PWR INC               025537101      195203        5555                 X                   1937       3618          0
AMERICAN EXPRESS CO                 025816109      376109        8321          X                          6771          0       1550
AMERICAN EXPRESS CO                 025816109      208598        4615                 X                   4320        295          0
AMGEN INC                           031162100      992780       18574          X                         17649        100        825
AMGEN INC                           031162100      444170        8310                 X                   4175       4135          0
ANADARKO PETROLEUM CORPORATION      032511107      277709        3390          X                          3390          0          0
ANADARKO PETROLEUM CORPORATION      032511107      779878        9520                 X                   7720          0       1800
AON CORP                            037389103      222432        4200          X                          4200          0          0
APACHE CORP                         037411105      170851        1305          X                          1305          0          0
APACHE CORP                         037411105      122410         935                 X                    635          0        300
APPLE INC                           037833100     1215943        3489          X                          3364          0        125
APPLE INC                           037833100      640208        1837                 X                   1360        156        321
APPLIED MATERIALS INC               038222105      215947       13825          X                         13825          0          0
APPLIED MATERIALS INC               038222105       58497        3745                 X                   3685         60          0
ARCHER DANIELS MIDLAND CO           039483102      199747        5547          X                          5547          0          0
ARCHER DANIELS MIDLAND CO           039483102       75981        2110                 X                   2110          0          0
ASHLAND INC                         044209104      553052        9575          X                          9575          0          0
ASHLAND INC                         044209104      733956       12707                 X                    157      12550          0
AT&T INC                            00206R102     4274625      139648          X                        132722          0       6926
AT&T INC                            00206R102     3719574      121515                 X                  63359      52701       5455
AUTOMATIC DATA PROCESSING INC       053015103     4940383       96285          X                         92735       2550       1000
AUTOMATIC DATA PROCESSING INC       053015103     2492896       48585                 X                  35350      12835        400
AVI BIOPHARMA INC                   002346104       27900       15000                 X                  15000          0          0
BANK OF AMERICA CORP                060505104      877980       65865          X                         62665       2200       1000
BANK OF AMERICA CORP                060505104      573017       42987                 X                  31642      10045       1300
BECTON DICKINSON                    075887109     1280688       16085          X                         15135        650        300
BECTON DICKINSON                    075887109     1395341       17525                 X                  15875       1150        500
BERKSHIRE HATHAWAY INC CLASS A      084670108      250600           2          X                             2          0          0
BERKSHIRE HATHAWAY INC-CL B         084670702      711440        8507          X                          8507          0          0
BERKSHIRE HATHAWAY INC-CL B         084670702      250890        3000                 X                    650       2350          0
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                          54448415     1195775                                  1003667     163461      28647



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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)
                                                                       SOLE  SHRD-  SHRD-               SOLE      SHARED     NONE
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
    DOMESTIC COMMON STOCKS
-------------------------------
BLACKROCK INC CL A                  09247X101     1689489        8405          X                          7835        100        470
BLACKROCK INC CL A                  09247X101     1236212        6150                 X                   2080       4070          0
BOEING CO                           097023105      212918        2880          X                          2880          0          0
BOEING CO                           097023105       96109        1300                 X                   1300          0          0
BRISTOL MYERS SQUIBB CO             110122108      879088       33261          X                         29611          0       3650
BRISTOL MYERS SQUIBB CO             110122108      912364       34520                 X                  34520          0          0
BUCKEYE PARTNERS LP                 118230101      713237       11225          X                         10775          0        450
BUCKEYE PARTNERS LP                 118230101      703388       11070                 X                   9195       1875          0
CATERPILLAR INC                     149123101     1657111       14882          X                         13882          0       1000
CATERPILLAR INC                     149123101     2521075       22641                 X                  16421       6020        200
CENTER BANCORP INC                  151408101      187302       19531          X                         19531          0          0
CENTER BANCORP INC                  151408101       28770        3000                 X                      0       3000          0
CHESAPEAKE ENERGY CORP              165167107      240338        7170          X                          6670          0        500
CHESAPEAKE ENERGY CORP              165167107       43576        1300                 X                    800          0        500
CHEVRON CORPORATION                 166764100    13157851      122410          X                        117435       2425       2550
CHEVRON CORPORATION                 166764100     8305537       77268                 X                  48640      24428       4200
CHUBB CORP                          171232101     3641630       59397          X                         56217       1600       1580
CHUBB CORP                          171232101     2591574       42270                 X                  34930       7340          0
CISCO SYSTEMS INC                   17275R102     2344628      136713          X                        133038       1075       2600
CISCO SYSTEMS INC                   17275R102     1695826       98882                 X                  75065      23817          0
CITIGROUP INC                       172967101       42308        9572          X                          9572          0          0
CITIGROUP INC                       172967101       86650       19604                 X                  15356       1325       2923
CITRIX SYSTEMS INC                  177376100     1161770       15815          X                         15815          0          0
CITRIX SYSTEMS INC                  177376100      159041        2165                 X                   1000       1165          0
COCA COLA CO                        191216100     1717476       25889          X                         25189        700          0
COCA COLA CO                        191216100      230532        3475                 X                   1200        200       2075
COLGATE PALMOLIVE CO                194162103     2210320       27369          X                         27069          0        300
COLGATE PALMOLIVE CO                194162103      751230        9302                 X                   8022        880        400
COMCAST CORP-CL A                   20030N101      211084        8539          X                          8539          0          0
COMCAST CORP-CL A                   20030N101       94257        3813                 X                   3266        547          0
COMCAST CORP-SPECIAL CL A           20030N200      550453       23706          X                         23706          0          0
CONOCOPHILLIPS                      20825C104     1274406       15958          X                         15850        108          0
CONOCOPHILLIPS                      20825C104     1026840       12858                 X                  11413       1445          0
CONSOLIDATED EDISON INC             209115104     1063396       20966          X                         20966          0          0
CONSOLIDATED EDISON INC             209115104       30178         595                 X                    595          0          0
COSTCO WHOLESALE CORP NEW           22160K105     3830750       52247          X                         49597       1300       1350
COSTCO WHOLESALE CORP NEW           22160K105     3296834       44965                 X                  35185       9530        250
CSX CORP                            126408103       78600        1000          X                          1000          0          0
CSX CORP                            126408103      219451        2792                 X                   2792          0          0
CUMMINS INC                         231021106      328860        3000                 X                   3000          0          0
CVS CAREMARK CORP                   126650100       97812        2850          X                          2850          0          0
CVS CAREMARK CORP                   126650100      157254        4582                 X                   2580       2002          0
DANAHER CORP                        235851102     4025001       77553          X                         75453       1500        600
DANAHER CORP                        235851102     1688930       32542                 X                  20410      12132          0
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                          67191456     1135432                                  1001250     108584      25598



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 DEPT ID# 233                                      PAGE 3

                                         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
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
    DOMESTIC COMMON STOCKS
-------------------------------
DATARAM CORP                        238108203       29088       12647          X                         12647          0          0
DEERE & CO                          244199105      614283        6340          X                          4640          0       1700
DEERE & CO                          244199105     1012501       10450                 X                   7200       2250       1000
DEVON ENERGY CORPORATION            25179M103      280816        3060          X                          2745          0        315
DEVON ENERGY CORPORATION            25179M103      117007        1275                 X                   1275          0          0
DISNEY WALT CO NEW                  254687106     5843047      135601          X                        129491       3085       3025
DISNEY WALT CO NEW                  254687106     3175259       73689                 X                  56596      17093          0
DOMINION RESOURCES INC              25746U109     2038544       45605          X                         40777       1300       3528
DOMINION RESOURCES INC              25746U109     1735969       38836                 X                  24908      12926       1002
DOVER CORP                          260003108      151202        2300          X                          1800          0        500
DOVER CORP                          260003108      143313        2180                 X                   2000        180          0
DOW CHEMICAL COMPANY                260543103      238316        6313          X                          3513          0       2800
DOW CHEMICAL COMPANY                260543103      404001       10702                 X                   8865         37       1800
DU PONT E I DE NEMOURS & CO         263534109     4596207       83613          X                         78743        620       4250
DU PONT E I DE NEMOURS & CO         263534109     3036543       55240                 X                  23005      32235          0
DUKE ENERGY CORP                    26441C105      703893       38782          X                         35007        625       3150
DUKE ENERGY CORP                    26441C105      707741       38994                 X                  23758      13300       1936
EL PASO CORPORATION                 28336L109      939600       52200          X                         52200          0          0
EL PASO CORPORATION                 28336L109      208620       11590                 X                  10590       1000          0
EMC CORP MASS                       268648102      757066       28504          X                         28304          0        200
EMC CORP MASS                       268648102      259890        9785                 X                   6935       2850          0
EMERSON ELEC CO                     291011104     1791347       30658          X                         29428          0       1230
EMERSON ELEC CO                     291011104     2016770       34516                 X                  21341      13175          0
ENBRIDGE ENERGY PARTNERS LP         29250R106      568656        8800          X                          6200          0       2600
ENBRIDGE ENERGY PARTNERS LP         29250R106      336347        5205                 X                   5205          0          0
ENTERGY CORP                        29364G103      239604        3565          X                          3565          0          0
ENTERGY CORP                        29364G103      201630        3000                 X                   3000          0          0
ENTERPRISE PRODS PARTNERS LP        293792107      311152        7226          X                          6276          0        950
ENTERPRISE PRODS PARTNERS LP        293792107       30142         700                 X                    700          0          0
EOG RES INC                         26875P101       23702         200          X                           200          0          0
EOG RES INC                         26875P101      203126        1714                 X                   1714          0          0
ERIE INDEMNITY CO                   29530P102      213330        3000          X                          3000          0          0
EXELON CORP                         30161N101      348519        8451          X                          7941        510          0
EXELON CORP                         30161N101      103100        2500                 X                    150       2350          0
EXPRESS SCRIPTS INC CL A            302182100     2335453       41997          X                         41407        390        200
EXPRESS SCRIPTS INC CL A            302182100      987912       17765                 X                  11650       5515        600
EXXONMOBIL CORP                     30231G102    25700621      305487          X                        297892       1795       5800
EXXONMOBIL CORP                     30231G102    20526795      243989                 X                 152212      39280      52497
FIDELITY NATL INFORMATION SVCS      31620M106    21395474      654496          X                        654496          0          0
FIDELITY NATL INFORMATION SVCS      31620M106       26185         801                 X                    801          0          0
FIRST SOLAR INC                     336433107      143952         895          X                           895          0          0
FIRST SOLAR INC                     336433107      209092        1300                 X                    625        575        100
FLOWERS FOODS INC                   343498101       13588         499          X                           499          0          0
FLOWERS FOODS INC                   343498101      191427        7030                 X                   7030          0          0
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                         104910830     2051500                                  1811226     151091      89183



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
     DOMESTIC COMMON STOCKS
-------------------------------
FORD MOTOR CO DEL                   345370860      174000       11670          X                         11670          0          0
FORD MOTOR CO DEL                   345370860      245270       16450                 X                  16450          0          0
FORTUNE BRANDS INC                  349631101       27851         450          X                           450          0          0
FORTUNE BRANDS INC                  349631101      222804        3600                 X                   2600       1000          0
FRANKLIN RESOURCES INC              354613101     1579135       12625          X                         12625          0          0
FREEPORT-MCMORAN COPPER
  AND GOLD INC                      35671D857       33441         602          X                           602          0          0
FREEPORT-MCMORAN COPPER
  AND GOLD INC                      35671D857      291304        5244                 X                   1000       3644        600
FRONTIER COMMUNICATIONS CORP        35906A108      102528       12473          X                         12209        264          0
FRONTIER COMMUNICATIONS CORP        35906A108       38272        4656                 X                   3369       1047        240
GENERAL ELECTRIC CORP               369604103     8950942      446431          X                        430606       5625      10200
GENERAL ELECTRIC CORP               369604103     7360455      367105                 X                 212965     131940      22200
GENERAL MLS INC                     370334104      741307       20282          X                         20282          0          0
GENERAL MLS INC                     370334104      287283        7860                 X                   2510       5350          0
GENZYME CORPORATION                 372917104       91386        1200          X                          1200          0          0
GENZYME CORPORATION                 372917104      114233        1500                 X                    900        600          0
GOLDMAN SACHS GROUP INC             38141G104     2195817       13845          X                         13315        295        235
GOLDMAN SACHS GROUP INC             38141G104     1366339        8615                 X                   6150       2465          0
GOOGLE INC CL A                     38259P508      562703         959          X                           959          0          0
GOOGLE INC CL A                     38259P508       18190          31                 X                     10         21          0
HALLIBURTON CO                      406216101       24920         500          X                           500          0          0
HALLIBURTON CO                      406216101      299040        6000                 X                   5000          0       1000
HEINZ H J CO                        423074103      564115       11555          X                         11080        100        375
HEINZ H J CO                        423074103      141578        2900                 X                    400       2500          0
HESS CORPORATION                    42809H107      297383        3490          X                          3490          0          0
HEWLETT PACKARD CO                  428236103     1331115       32490          X                         32365        125          0
HEWLETT PACKARD CO                  428236103     1192309       29102                 X                  10802      17925        375
HOME DEPOT INC                      437076102     2935597       79212          X                         76440       2047        725
HOME DEPOT INC                      437076102     2500698       67477                 X                  35200      32277          0
HONEYWELL INTERNATIONAL INC         438516106      278428        4663          X                          4663          0          0
HONEYWELL INTERNATIONAL INC         438516106      125630        2104                 X                   1904        200          0
HORMEL FOODS CORPORATION            440452100      200448        7200          X                          5200          0       2000
ILLINOIS TOOL WKS INC               452308109     2770340       51570          X                         50985        460        125
ILLINOIS TOOL WKS INC               452308109     1720222       32022                 X                  15487      16535          0
INTEL CORP                          458140100     3972938      196875          X                        192400       1700       2775
INTEL CORP                          458140100     2348246      116365                 X                  55380      58585       2400
INTL. BUSINESS MACHINES CORP        459200101    11459418       70273          X                         66903       1185       2185
INTL. BUSINESS MACHINES CORP        459200101     6727616       41256                 X                  30604       8392       2260
ITT CORPORATION                     450911102      369608        6155          X                          6155          0          0
ITT CORPORATION                     450911102      480220        7997                 X                   6997       1000          0
JOHNSON & JOHNSON                   478160104     6936575      117073          X                        114038       1650       1385
JOHNSON & JOHNSON                   478160104     7831902      132184                 X                  96900      31365       3919
JOHNSON CONTROLS INC                478366107     1820309       43789          X                         40439        520       2830
JOHNSON CONTROLS INC                478366107     1287631       30975                 X                   9415      21560          0
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                          82019546     2028825                                  1622619     350377      55829



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 DEPT ID# 233                                      PAGE 5

                                         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
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
     DOMESTIC COMMON STOCKS
-------------------------------
JP MORGAN CHASE & CO                46625H100     7367379      159813          X                        153998       1525       4290
JP MORGAN CHASE & CO                46625H100     3842666       83355                 X                  63586      18746       1023
KANSAS CITY SOUTHERN                485170302      272250        5000          X                          5000          0          0
KANSAS CITY SOUTHERN                485170302      130680        2400                 X                   1000       1000        400
KELLOGG CO                          487836108      251007        4650          X                          4650          0          0
KELLOGG CO                          487836108       16194         300                 X                      0        300          0
KIMBERLY CLARK CORP                 494368103      493115        7555          X                          7555          0          0
KIMBERLY CLARK CORP                 494368103      194178        2975                 X                   2675        300          0
KINDER MORGAN ENERGY PARTNERS LP    494550106      277838        3750          X                          3225          0        525
KINDER MORGAN ENERGY PARTNERS LP    494550106      385268        5200                 X                   4200       1000          0
LILLY ELI & CO                      532457108      622509       17700          X                         17700          0          0
LILLY ELI & CO                      532457108      533001       15155                 X                   8455       6700          0
LOWES COS INC                       548661107     1074247       40645          X                         39195          0       1450
LOWES COS INC                       548661107      802996       30382                 X                  14130      16252          0
L3 COMMUNICATIONS HOLDINGS INC      502424104      340649        4350          X                          4350          0          0
L3 COMMUNICATIONS HOLDINGS INC      502424104      399773        5105                 X                   4530          0        575
MARATHON OIL CORP                   565849106       81564        1530          X                          1530          0          0
MARATHON OIL CORP                   565849106      335853        6300                 X                   5000       1300          0
MARRIOTT INTERNATIONAL INC          571903202       99731        2803          X                          2803          0          0
MARRIOTT INTERNATIONAL INC          571903202      569707       16012                 X                  13792       2220          0
MCCORMICK & CO INC                  579780206     1080193       22584          X                         22584          0          0
MCCORMICK & CO INC                  579780206     1013135       21182                 X                  17895       2987        300
MCDONALDS CORP                      580135101     6350624       83462          X                         81217        845       1400
MCDONALDS CORP                      580135101     3034774       39884                 X                  26910      11574       1400
MEAD JOHNSON NUTRITION CO           582839106        5793         100          X                           100          0          0
MEAD JOHNSON NUTRITION CO           582839106      316066        5456                 X                   5456          0          0
MEDCO HEALTH SOLUTIONS INC          58405U102      166795        2970          X                          2970          0          0
MEDCO HEALTH SOLUTIONS INC          58405U102      332804        5926                 X                   5926          0          0
MEDTRONIC INC                       585055106      243577        6190          X                          6190          0          0
MEDTRONIC INC                       585055106      127494        3240                 X                   3240          0          0
MERCK & CO INC                      58933Y105     3549367      107524          X                        105014        290       2220
MERCK & CO INC                      58933Y105     3394055      102819                 X                  52921      47322       2576
METLIFE INC                         59156R108     1520149       33985          X                         32585          0       1400
METLIFE INC                         59156R108     1488614       33280                 X                  15560      17720          0
MICROSOFT CORP                      594918104     2495913       98303          X                         94983       2800        520
MICROSOFT CORP                      594918104     1644358       64764                 X                  37900      22464       4400
MONSANTO CO                         61166W101      396924        5493          X                          5323          0        170
MONSANTO CO                         61166W101      405017        5605                 X                   4730        775        100
MORGAN STANLEY                      617446448      219243        8025          X                          8025          0          0
MORGAN STANLEY                      617446448      127038        4650                 X                   4450        200          0
NATIONAL FUEL GAS CO                636180101      236800        3200          X                          3200          0          0
NATIONAL-OILWELL INC                637071101      477998        6030          X                          6030          0          0
NATIONAL-OILWELL INC                637071101      554890        7000                 X                   6400        400        200
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                          47272226     1086652                                   906983     156720      22949



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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)
                                                                       SOLE  SHRD-  SHRD-               SOLE      SHARED     NONE
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
     DOMESTIC COMMON STOCKS
-------------------------------
NEWMONT MNG CORP                    651639106      166578        3052          X                          3052          0          0
NEWMONT MNG CORP                    651639106       65496        1200                 X                    700          0        500
NEXTERA ENERGY INC                  65339F101      726592       13182          X                         12752        430          0
NEXTERA ENERGY INC                  65339F101      780775       14165                 X                   7225       6640        300
NIKE INC-CLASS B                    654106103      809082       10688          X                         10523         25        140
NIKE INC-CLASS B                    654106103      227100        3000                 X                   2200        800          0
NORFOLK SOUTHERN CORP               655844108      324530        4685          X                          3885        800          0
NORFOLK SOUTHERN CORP               655844108      567460        8192                 X                   7625        567          0
NORTHERN TR CORP                    665859104     2104856       41475          X                         37650        375       3450
NORTHERN TR CORP                    665859104      426300        8400                 X                   6405       1995          0
OCCIDENTAL PETE CORP                674599105      601235        5754          X                          5679         75          0
OCCIDENTAL PETE CORP                674599105      121208        1160                 X                      0       1160          0
ORACLE CORPORATION                  68389X105      268296        8025          X                          7275          0        750
ORACLE CORPORATION                  68389X105      145966        4366                 X                   4366          0          0
PEABODY ENERGY CORP                 704549104      772491       10735          X                          9535       1200          0
PEABODY ENERGY CORP                 704549104     1153879       16035                 X                  13075       2960          0
PEAPACK-GLADSTONE FINL CORP         704699107     7481504      564216          X                        561216          0       3000
PEAPACK-GLADSTONE FINL CORP         704699107     6900557      520404                 X                 494846       6458      19100
PENN VIRGINIA RESOURCE PARTNERS LP  707884102      806070       29100          X                         29100          0          0
PENN VIRGINIA RESOURCE PARTNERS LP  707884102     1144010       41300                 X                   8300      33000          0
PEPSICO INC                         713448108     9622854      149400          X                        141495       2525       5380
PEPSICO INC                         713448108     5156214       80053                 X                  49326      30477        250
PFIZER INC                          717081103     1320495       65017          X                         63467          0       1550
PFIZER INC                          717081103     1607212       79134                 X                  56323      22811          0
PHILIP MORRIS INTERNATIONAL         718172109      510339        7776          X                          7201          0        575
PHILIP MORRIS INTERNATIONAL         718172109      315549        4808                 X                   4500        308          0
PITNEY BOWES INC                    724479100      331144       12890          X                         12290          0        600
PITNEY BOWES INC                    724479100      290297       11300                 X                   5400       5900          0
PNC FINANCIAL SERVICES GROUP        693475105      612641        9726          X                          9726          0          0
PNC FINANCIAL SERVICES GROUP        693475105      225504        3580                 X                   3580          0          0
PPG INDUSTRIES INC                  693506107      613152        6440          X                          6440          0          0
PPG INDUSTRIES INC                  693506107      368939        3875                 X                   3875          0          0
PRAXAIR INC                         74005P104      174244        1715          X                          1715          0          0
PRAXAIR INC                         74005P104       48768         480                 X                    480          0          0
PROCTER & GAMBLE CO                 742718109     9107560      147850          X                        141495       3080       3275
PROCTER & GAMBLE CO                 742718109     7004782      113714                 X                  65012      47552       1150
PROVIDENT FINL SVCS INC             74386T105        7400         500          X                           500          0          0
PROVIDENT FINL SVCS INC             74386T105      236800       16000                 X                  16000          0          0
PUBLIC SVC ENTERPRISE GROUP INC     744573106     1313841       41696          X                         40496        300        900
PUBLIC SVC ENTERPRISE GROUP INC     744573106      918201       29140                 X                  24520       4620          0
QUALCOMM INC                        747525103     5320923       97044          X                         90994       3400       2650
QUALCOMM INC                        747525103     2674827       48784                 X                  30330      18454          0
QUEST DIAGNOSTICS INC               74834L100      953823       16525          X                         15905        250        370
QUEST DIAGNOSTICS INC               74834L100      913419       15825                 X                  12850       2375        600
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                          75242913     2272406                                  2029329     198537      44540



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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)
                                                                       SOLE  SHRD-  SHRD-               SOLE      SHARED     NONE
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
     DOMESTIC COMMON STOCKS
-------------------------------
ROCKWELL AUTOMATION INC             773903109       37860         400         X                            400          0          0
ROCKWELL AUTOMATION INC             773903109      200469        2118                 X                   1568        550          0
RUTH'S HOSPITALITY GROUP INC        783332109       52353       10146         X                          10146          0          0
SEMPRA ENERGY                       816851109       18725         350         X                            350          0          0
SEMPRA ENERGY                       816851109      192600        3600                 X                   3600          0          0
SOUTHERN COMPANY                    842587107     1483279       38921         X                          37621          0       1300
SOUTHERN COMPANY                    842587107     1772687       46515                 X                  26090      19125       1300
SPECTRA ENERGY CORP                 847560109      211950        7798         X                           7798          0          0
SPECTRA ENERGY CORP                 847560109       96598        3554                 X                   3554          0          0
STARBUCKS CORP                      855244109      312228        8450                 X                   6200       2250          0
SUBURBAN PROPANE PARTNERS LP        864482104      220077        3900         X                           3900          0          0
SUBURBAN PROPANE PARTNERS LP        864482104      237006        4200                 X                    200       4000          0
SUPERGEN INC (DELAWARE)             868059106      155000       50000                 X                  50000          0          0
SYSCO CORP                          871829107     3238269      116905         X                         109150        900       6855
SYSCO CORP                          871829107     1493584       53920                 X                  29615      24305          0
TARGET CORP                         87612E106     3248200       64951         X                          62691       1360        900
TARGET CORP                         87612E106     2198440       43960                 X                  25545      18065        350
TEXAS INSTRUMENTS INC               882508104      721509       20877         X                          20877          0          0
TEXAS INSTRUMENTS INC               882508104      513907       14870                 X                  12045       2325        500
TRAVELERS COMPANIES INC             89417E109      808987       13601         X                          12141          0       1460
TRAVELERS COMPANIES INC             89417E109      170589        2868                 X                   2868          0          0
UGI CORP                            902681105      315018        9575         X                           9575          0          0
UGI CORP                            902681105      939295       28550                 X                   5550      23000          0
UNION PAC CORP                      907818108     3129942       31831         X                          28656        175       3000
UNION PAC CORP                      907818108     2237401       22754                 X                   8424      11110       3220
UNITED PARCEL SERVICE CL B          911312106     2044172       27505         X                          27505          0          0
UNITED PARCEL SERVICE CL B          911312106       50166         675                 X                    575        100          0
UNITED TECHNOLOGIES CORP            913017109     8446970       99787         X                          95907       1450       2430
UNITED TECHNOLOGIES CORP            913017109     6439833       76076                 X                  48476      27400        200
UNIVERSAL AMERN FINL CORP           913377107      206190        9000         X                           9000          0          0
US BANCORP NEW                      902973304     2771741      104871         X                         100551       1350       2970
US BANCORP NEW                      902973304     1740257       65844                 X                  48042      16502       1300
V.F. CORP                           918204108     2616464       26555         X                          26055          0        500
V.F. CORP                           918204108     2615577       26546                 X                  12825      13521        200
VECTREN CORP                        92240G101     1459280       53650         X                          48990          0       4660
VECTREN CORP                        92240G101     1588480       58400                 X                  22840      35560          0
VERIZON COMMUNICATIONS              92343V104     3185793       82662         X                          76742       1100       4820
VERIZON COMMUNICATIONS              92343V104     2196125       56983                 X                  47346       6392       3245
VISA INC CL A                       92826C839      883440       12000         X                          11500        500          0
VISA INC CL A                       92826C839      325769        4425                 X                   3900        525          0
WAL MART STORES INC                 931142103     1071814       20592         X                          18462        130       2000
WAL MART STORES INC                 931142103      274304        5270                 X                   4650        620          0
WALGREEN CO                         931422109      330352        8230         X                           8230          0          0
WALGREEN CO                         931422109      100350        2500                 X                      0       2500          0
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR THIS PAGE                          62353050     1346185                                  1090160     214815      41210



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 DEPT ID# 233                                      PAGE 8

                                         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
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
     DOMESTIC COMMON STOCKS
-------------------------------
WASTE MANAGEMENT INC                94106L109     3496555       93641          X                         90016       1175       2450
WASTE MANAGEMENT INC                94106L109     1885483       50495                 X                  15310      35185          0
WELLS FARGO & CO                    949746101     2616804       82523          X                         77273       4090       1160
WELLS FARGO & CO                    949746101     2347999       74046                 X                  46696      27350          0
WESTERN UNION CO                    959802109      227432       10950          X                         10950          0          0
WESTERN UNION CO                    959802109        4154         200                 X                    200          0          0
WILLIAMS-SONOMA INC                 969904101      234900        5800                 X                   4800       1000          0
WISCONSIN ENERGY CORP               976657106      205204        6728                 X                   4994       1734          0
YUM! BRANDS INC                     988498101      316860        6167          X                          6167          0          0
YUM! BRANDS INC                     988498101       33654         655                 X                    255          0        400
ZIMMER HLDGS INC                    98956P102      103506        1710          X                          1710          0          0
ZIMMER HLDGS INC                    98956P102      117428        1940                 X                    790       1150          0
3M CO                               88579Y101     1556121       16643          X                         16643          0          0
3M CO                               88579Y101      939395       10047                 X                   9732        315          0
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR DOMESTIC
  COMMON STOCKS                                 507523931    11478320                                  9750770    1415584     311966



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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
A. COMMON STOCK                                                              INSTR  OTHER
                                                                               V
                                                                                          
         ADR SECURITIES
-------------------------------
BHP BILLITON LTD SPONS ADR          088606108     3536342       36883          X                         36283        500        100
BHP BILLITON LTD SPONS ADR          088606108     1666874       17385                 X                   6005      11380          0
BP PLC SPONS ADR                    055622104      244800        5546          X                          4647        399        500
BP PLC SPONS ADR                    055622104      287087        6504                 X                   4904       1600          0
GLAXO SMITHKLINE SPONS ADR          37733W105       70098        1825          X                          1825          0          0
GLAXO SMITHKLINE SPONS ADR          37733W105      343923        8954                 X                   8954          0          0
NOVARTIS AG SPONS ADR               66987V109      279087        5135          X                          4835          0        300
NOVARTIS AG SPONS ADR               66987V109       52176         960                 X                    800        160          0
PETROLEO BRASILEIRO SA SPONS ADR    71654V408      718522       17772          X                         16492          0       1280
PETROLEO BRASILEIRO SA SPONS ADR    71654V408      398438        9855                 X                   8415        940        500
ROYAL DUTCH SHELL SPONS ADR         780259206      442989        6080          X                          6080          0          0
ROYAL DUTCH SHELL SPONS ADR         780259206      451878        6202                 X                   6102        100          0
TEVA PHARMACEUTICAL INDS SPONS ADR  881624209     4359221       86889          X                         84224       1505       1160
TEVA PHARMACEUTICAL INDS SPONS ADR  881624209     2782830       55468                 X                  28030      27438          0
TOTAL S.A. SPONS ADR                89151E109      952961       15630          X                         15630          0          0
TOTAL S.A. SPONS ADR                89151E109      954181       15650                 X                    450      15200          0
UNILEVER NV NY SHARES ADR           904784709      164640        5250          X                          4050          0       1200
UNILEVER NV NY SHARES ADR           904784709       59584        1900                 X                   1900          0          0
VODAFONE GROUP SPONS ADR            92857W209      382605       13308          X                         12258          0       1050
VODAFONE GROUP SPONS ADR            92857W209      199813        6950                 X                   5132        943        875
                                               ----------  ----------  ----  -----  -----            ---------  ---------  ---------
SUBTOTALS FOR ADR SECURITIES                     18348049      324146                                   257016      60165       6965



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11   AS OF 3/31/11    DEPT ID# 233                                PAGE 10

*SUMMARY PAGE FOR A. COMMON STOCK *



MINOR ASSET TYPE                              MARKET     SH/PV   INVEST     AUTH    MNGR      VOTING AUTH(SHARES)
------------------------------------------  ---------  --------  ------  ----  ---        --------  -------  ------
                                                                                  
43 DOMESTIC COMMON STOCKS                   507523931  11478320                            9750770  1415584  311966
44 ADR SECURITIES                            18348049    324146                             257016    60165    6965
                                            ---------  --------  ------  ----  ---        --------  -------  ------
*SUBTOTALS*                                 525871980  11802466                           10007786  1475749  318931



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11   AS OF 3/31/11   DEPT ID# 233                                 PAGE 11

                                         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
B. PREFERRED STOCK                                                            INSTR  OTHER
                                                                               V
                                                                                       
        FOREIGN PREFERRED STOCKS
----------------------------------------
BARCLAYS BANK PLC 7.100% PFD SER 3           06739H776   25220    1000          X                     N.A.      N.A.     N.A.
BARCLAYS BANK PLC 7.100% PFD SER 3           06739H776  517010   20500                 X              N.A.      N.A.     N.A.
                                                        ------   -----  ----  -----  -----          ------     ------   -----
SUBTOTALS FOR FOREIGN PREFERRED STOCKS                  542230   21500                                N.A.      N.A.     N.A.



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 DEPT ID# 233                                    PAGE 12

*SUMMARY PAGE FOR B. PREFERRED STOCK *



MINOR ASSET TYPE                 MARKET     SH/PV        INVEST    AUTH     MNGR         VOTING  AUTH(SHARES)
-----------------------------   --------   -------     ----  ----  ----             ------- --------------- --------
                                                                                 
50 FOREIGN PREFERRED STOCKS      542230     21500                                     N.A.        N.A.         N.A.
                                --------   -------     ----  ----  ----             ------- --------------- --------
*SUBTOTALS*                      542230     21500                                     N.A.        N.A.         N.A.






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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
C. OTHER                                                                 INSTR  OTHER
                                                                          V
                                                                                      
 REAL ESTATE INVESTMENT TRUSTS
-------------------------------
SIMON PROPERTY GROUP INC REIT    * 828806109     13502      126            X                        N.A.         N.A.    N.A.
SIMON PROPERTY GROUP INC REIT    * 828806109    382025     3565                   X                 N.A.         N.A.    N.A.
                                               --------  --------  ----- ------ -----            ---------     ------- -------
SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS     395527     3691                                     N.A.         N.A.    N.A.



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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)
                                                                         SOLE SHRD-  SHRD-             SOLE     SHARED   NONE
C. OTHER                                                                      INSTR  OTHER
                                                                                V
                                                                                      
         FOREIGN SECURITIES
-----------------------------------
ALCON INC                             * H01301102     116685       705           X                       705        0           0
ALCON INC                             * H01301102     417085      2520                 X                2520        0           0
INGERSOLL-RAND PLC                    * G47791101     124157      2570           X                      2570        0           0
INGERSOLL-RAND PLC                    * G47791101     491941     10183                 X               10183        0           0
NABORS INDUSTRIES LTD                 * G6359F103     244468      8047           X                      4047        0        4000
NABORS INDUSTRIES LTD                 * G6359F103      61428      2022                 X                1722      300           0
RESEARCH IN MOTION LIMITED            * 760975102     267434      4730           X                      4730        0           0
RESEARCH IN MOTION LIMITED            * 760975102      42405       750                 X                   0      750           0
ROGERS COMMUNICATIONS-CL B            * 775109200     473200     13000                 X               12000     1000           0
SCHLUMBERGER LTD                      * 806857108    7333500     78635           X                     75420      425        2790
SCHLUMBERGER LTD                      * 806857108    4494013     48188                 X               35743    12445           0
TRANSOCEAN LTD                        * H8817H100     406275      5212           X                      5212        0           0
TRANSOCEAN LTD                        * H8817H100     472611      6063                 X                5364      699           0
WEATHERFORD INTNTL LTD                * H27013103    1307523     57855           X                     57105      750           0
WEATHERFORD INTNTL LTD                * H27013103     202835      8975                 X                5875     3100           0
                                                    --------  --------  ------ -----  ----         ---------  -------  ----------
SUBTOTALS FOR FOREIGN SECURITIES                    16455560    249455                                223196    19469        6790


INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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)
                                                                         SOLE SHRD-  SHRD-           SOLE     SHARED   NONE
C. OTHER                                                                      INSTR  OTHER
                                                                                V
                                                                                      
   CLOSED END EQUITY MUTUAL FUND
----------------------------------
CENTRAL FUND CANADA CL A              * 153501101     111850     5000           X                    N.A.       N.A.     N.A.
CENTRAL FUND CANADA CL A              * 153501101     100665     4500                  X             N.A.       N.A.     N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD   * 464287168     932189    17882           X                    N.A.       N.A.     N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD   * 464287168      96649     1854                  X             N.A.       N.A.     N.A.
ISHARES MSCI EAFE INDEX FUND          * 464287465    4049933    67409           X                    N.A.       N.A.     N.A.
ISHARES MSCI EAFE INDEX FUND          * 464287465     830726    13827                  X             N.A.       N.A.     N.A.
ISHARES MSCI EMERGING MKT IN          * 464287234    4149604    85260           X                    N.A.       N.A.     N.A.
ISHARES MSCI EMERGING MKT IN          * 464287234    1012823    20810                  X             N.A.       N.A.     N.A.
ISHARES NASDAQ BIOTECH INDX           * 464287556    1347352    13452           X                    N.A.       N.A.     N.A.
ISHARES NASDAQ BIOTECH INDX           * 464287556     747093     7459                  X             N.A.       N.A.     N.A.
ISHARES RUSSELL MIDCAP GRWTH          * 464287481    2985321    49012           X                    N.A.       N.A.     N.A.
ISHARES RUSSELL MIDCAP GRWTH          * 464287481    1333685    21896                  X             N.A.       N.A.     N.A.
ISHARES RUSSELL MIDCAP INDEX FUND     * 464287499    1248480    11455           X                    N.A.       N.A.     N.A.
ISHARES RUSSELL MIDCAP INDEX FUND     * 464287499      38147      350                  X             N.A.       N.A.     N.A.
ISHARES RUSSELL MIDCAP VALUE          * 464287473    2897787    60170           X                    N.A.       N.A.     N.A.
ISHARES RUSSELL MIDCAP VALUE          * 464287473    1329649    27609                  X             N.A.       N.A.     N.A.
ISHARES RUSSELL 1000 GROWTH INDEX     * 464287614     341353     5645           X                    N.A.       N.A.     N.A.
ISHARES RUSSELL 1000 GROWTH INDEX     * 464287614       4233       70                  X             N.A.       N.A.     N.A.
ISHARES S&P PREF STK                  * 464288687     163556     4125           X                    N.A.       N.A.     N.A.
ISHARES S&P PREF STK                  * 464288687     229574     5790                  X             N.A.       N.A.     N.A.
ISHARES S&P SMALLCAP 600              * 464287804    1062427    14443           X                    N.A.       N.A.     N.A.
ISHARES S&P SMALLCAP 600              * 464287804      42518      578                  X             N.A.       N.A.     N.A.
ISHARES S&P SMALLCAP 600/VAL          * 464287879     347258     4556           X                    N.A.       N.A.     N.A.
ISHARES S&P SMALLCAP 600/VAL          * 464287879      15244      200                  X             N.A.       N.A.     N.A.
ISHARES S&P 500 GROWTH INDEX FD       * 464287309    2339919    34055           X                    N.A.       N.A.     N.A.
ISHARES S&P 500 GROWTH INDEX FD       * 464287309     432598     6296                  X             N.A.       N.A.     N.A.
ISHARES S&P 500 VALUE INDEX FUND      * 464287408    2308093    36457           X                    N.A.       N.A.     N.A.
ISHARES S&P 500 VALUE INDEX FUND      * 464287408     443107     6999                  X             N.A.       N.A.     N.A.
ISHARES TR S&P SMALLCAP/600 GROWTH    * 464287887     327222     4141           X                    N.A.       N.A.     N.A.
POWERSHARES QQQ TRUST                 * 73935A104    2951500    51393           X                    N.A.       N.A.     N.A.
POWERSHARES QQQ TRUST                 * 73935A104     892864    15547                  X             N.A.       N.A.     N.A.
SPDR GOLD TRUST                       * 78463V107     160839     1150           X                    N.A.       N.A.     N.A.
SPDR GOLD TRUST                       * 78463V107     120280      860                  X             N.A.       N.A.     N.A.
SPDR S&P DIVIDEND ETF                 * 78464A763     965495    17830           X                    N.A.       N.A.     N.A.
SPDR S&P DIVIDEND ETF                 * 78464A763    1808069    33390                  X             N.A.       N.A.     N.A.
SPDR S&P MIDCAP 400 ETF TRUST         * 78467Y107    8387499    46714           X                    N.A.       N.A.     N.A.
SPDR S&P MIDCAP 400 ETF TRUST         * 78467Y107    1487033     8282                  X             N.A.       N.A.     N.A.
SPDR S&P 500 ETF TRUST                * 78462F103    6853577    51690           X                    N.A.       N.A.     N.A.
SPDR S&P 500 ETF TRUST                * 78462F103     969896     7315                  X             N.A.       N.A.     N.A.
UTILITIES SELECT SECTOR SPDR          * 81369Y886     223090     7000           X                    N.A.       N.A.     N.A.
VANGUARD IND FD MID-CAP               * 922908629     131699     1635           X                    N.A.       N.A.     N.A.
VANGUARD IND FD MID-CAP               * 922908629      81194     1008                  X             N.A.       N.A.     N.A.
VANGUARD MSCI EAFE ETF                * 921943858    2922157    78321           X                    N.A.       N.A.     N.A.
VANGUARD MSCI EAFE ETF                * 921943858    1654325    44340                  X             N.A.       N.A.     N.A.
                                                    --------  --------  -----  ----- -----        --------   --------  -------
SUBTOTALS FOR THIS PAGE                             60878572   897775                                N.A.       N.A.     N.A.



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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)
                                                                         SOLE SHRD-  SHRD-           SOLE     SHARED    NONE
C. OTHER                                                                      INSTR  OTHER
                                                                                V
                                                                                       
  CLOSED END EQUITY MUTUAL FUND
----------------------------------
VANGUARD MSCI EMERGING MARKETS ETF    * 922042858    6464875    132071          X                    N.A.        N.A.     N.A.
VANGUARD MSCI EMERGING MARKETS ETF    * 922042858    2164667     44222                X              N.A.        N.A.     N.A.
VANGUARD SMALL CAP GROWTH ETF         * 922908595    4033489     46738          X                    N.A.        N.A.     N.A.
VANGUARD SMALL CAP GROWTH ETF         * 922908595    1618384     18753                X              N.A.        N.A.     N.A.
VANGUARD SMALL CAP VALUE ETF          * 922908611    3587647     50212          X                    N.A.        N.A.     N.A.
VANGUARD SMALL CAP VALUE ETF          * 922908611    1541105     21569                X              N.A.        N.A.     N.A.
VANGUARD SMALL-CAP ETF                * 922908751    4363724     55244          X                    N.A.        N.A.     N.A.
VANGUARD SMALL-CAP ETF                * 922908751    1328454     16818                X              N.A.        N.A.     N.A.
VANGUARD TOTAL STOCK MARKET ETF       * 922908769     656799      9559          X                    N.A.        N.A.     N.A.
WISDOM TREE INTL DIVIDEND EX-FIN FD   * 97717W786     409088      8704          X                    N.A.        N.A.     N.A.
WISDOM TREE INTL DIVIDEND EX-FIN FD   * 97717W786    1345751     28633                X              N.A.        N.A.     N.A.
                                                    --------  --------  ----- ----- -----          -------     -------  -------
SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUND         88392555   1330298                               N.A.        N.A.     N.A.



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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
C. OTHER                                                                      INSTR  OTHER
                                                                                V
                                                                                         
   CLOSED-END FIXED INCOME (TAX)
-----------------------------------
ISHARES BARCLAYS 1-3 YEAR TREASURY    * 464287457    1242013     14830           X                    N.A.        N.A.      N.A.
ISHARES BARCLAYS 1-3 YEAR TREASURY    * 464287457      15075       180                X               N.A.        N.A.      N.A.
VANGUARD INTERMEDIATE-TERM BOND ETF   * 921937819     237414      2896           X                    N.A.        N.A.      N.A.
VANGUARD INTERMEDIATE-TERM BOND ETF   * 921937819      82800      1010                X               N.A.        N.A.      N.A.
VANGUARD SHORT TERM BOND ETF          * 921937827     698113      8709           X                    N.A.        N.A.      N.A.
VANGUARD SHORT TERM BOND ETF          * 921937827     185971      2320                X               N.A.        N.A.      N.A.
VANGUARD TOTAL BOND MARKET ETF        * 921937835     391938      4898           X                    N.A.        N.A.      N.A.
                                                    --------  --------  ----  -----  ----           -------     -------   -------
SUBTOTALS FOR CLOSED-END FIXED INCOME (TAX)          2853324     34843                                N.A.        N.A.      N.A.



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 DEPT ID# 233                                     PAGE 18

                                         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
C. OTHER                                                                      INSTR  OTHER
                                                                                V
                                                                                       
   CLOSED END FIXED INC-NON-TAX
----------------------------------
BLACKROCK MUNIYIELD NEW JERSEY FUND   * 09254Y109      39720      3000           X                    N.A.      N.A.      N.A.
BLACKROCK MUNIYIELD NEW JERSEY FUND   * 09254Y109     100399      7583                X               N.A.      N.A.      N.A.
ISHARES S&P S/T NATION MUNI           * 464288158     751408      7165           X                    N.A.      N.A.      N.A.
NUVEEN NJ DVD ADV MUNI FD             * 67069Y102     171534     13800           X                    N.A.      N.A.      N.A.
                                                    --------  --------  -----  ----  ----           -------   -------   --------
SUBTOTALS FOR CLOSED END FIXED INC-NON-TAX           1063061     31548                                N.A.      N.A.      N.A.


INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV
ON 4/2/11 AS OF 3/31/11 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            1063061     31548                                  N.A.       N.A.     N.A.
68 CLOSED-END FIXED INCOME (TAX)           2853324     34843                                  N.A.       N.A.     N.A.
63 CLOSED END EQUITY MUTUAL FUND          88392555   1330298                                  N.A.       N.A.     N.A.
54 FOREIGN SECURITIES                     16455560    249455                                223196      19469     6790
47 REAL ESTATE INVESTMENT TRUSTS            395527      3691                                  N.A.       N.A.     N.A.
                                      ------------  --------  -----  ----  ----          ---------  ---------  -------
*SUBTOTALS*                              109160027   1649835                                223196      19469     6790
*SUBTOTALS*                              109160027   1649835                                  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 4/2/11 AS OF 3/31/11 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                          525871980  11802466                              10007786    1475749   318931
B. PREFERRED STOCK                          542230     21500                                  N.A.       N.A.     N.A.
C. OTHER                                 109160027   1649835                                223196      19469     6790
                                      ------------  --------  -----  ----  ----          ---------  ---------  -------
**GRAND TOTALS**                         635574237  13473801                              10230982    1495218   325721