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

                                    FORM 13F

                               FORM 13F COVER PAGE

      Report for the Calendar Year or Quarter Ended: June 30, 2003

      Check here if Amendment [ X ]; Amendment Number 1

      This Amendment (Check only one): [ X ] is a restatement

                                        [ ] adds new holdings entries.

      Institutional Investment Manager Filing this Report:

      Name: BancorpSouth, Inc.

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

      Form 13F File Number: 28-10453

      The institutional investment manager filing this report and the person by
whom it is signed hereby represent that the person signing the report is
authorized to submit it, that all information contained herein is true, correct
and complete, and that it is understood that all required items, statements,
schedules, lists and tables are considered integral parts of this form.

      Person Signing this Report on Behalf of Reporting Manager:

      Name: Cathy S. Freeman

      Title: Senior Vice President and Corporate Secretary

      Phone: (662) 680-2084

      Signature, Place, and Date of Signing:

      /s/ Cathy S. Freeman        Tupelo, Mississippi        November 15, 2004
      --------------------        --------------------       ----------------
         [Signature]                 [City, State]               [Date]

      Report Type (Check only one.):

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

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

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

      List of Other Managers Reporting for this Manager: None.



                              FORM 13F SUMMARY PAGE

      Report Summary:

      Number of Other Included Managers: 1

      Form 13F Information Table Entry Total: 635

      Form 13F Information Table Value Total: $413,687
                                              (thousands)

LIST OF OTHER INCLUDED MANAGERS:

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



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


                                       2


                           FORM 13F INFORMATION TABLE



                                                                                                         VOTING AUTHORITY
                  TITLE OF               VALUE     SHRS OR     SH/  PCT/   INVESTMENT     OTHER   -------------------------------
 NAMES OF ISSUER   CLASS      CUSIP     [X$1000]   PRN AMT     PRN  CALL   DISCRETION    MANAGERS    SOLE    SHARED      NONE
 --------------- ---------- ----------- --------- ----------  ----- ----- ------------ ---------- -------- --------- ------------
                                                                                    
DAIMLERCHRYSLE      ORD       D1668R123         1         49   SH             SOLE           1         49         0         0
RAG
GLOBAL SANTAFE                G3930E101        53       2295   SH             SOLE           1       2295         0         0
CORP
INGSOLL-RAND CO               G4776G101       297       6297   SH             SOLE           1       5112         0      1185
CL A BERMUDA
NOBLE CORP                    G65422100        10        300   SH             SOLE           1        300         0         0
TRANSOCEAN SEDCO              G90078109         4        196   SH             SOLE           1        196         0         0
FOREX INC
TRANSOCEAN SEDCO              G90078109         1         77   SH             DEFINED        1         77         0         0
FOREX INC
ROYAL CARIBBEAN               V7780T103         4        200   SH             SOLE           1        200         0         0
CRUISES
A F L A C INC                 001055102        73       2400   SH             SOLE           1       2400         0         0
AGL RESOURCES,                001204106        27       1090   SH             SOLE           1       1090         0         0
INC
AES CORPORATION               00130H105         6       1000   SH             SOLE           1       1000         0         0
AOL TIME WARNER               00184A105       473      29407   SH             SOLE           1      29032         0       375
AT&T CORP          COM NEW    001957505       107       5593   SH             SOLE           1       5593         0         0
AT&T CORP          COM NEW    001957505         2        119   SH             DEFINED        1        119         0         0
AT&T WIRELESS                 00209A106        60       7359   SH             SOLE           1       6959         0       400
SVCS INC
AT&T WIRELESS                 00209A106         1        192   SH             DEFINED        1        192         0         0
SVCS INC
ABBOTT LAB                    002824100      1400      32014   SH             SOLE           1      29114         0      2900
ABBOTT LAB                    002824100       218       5000   SH             DEFINED        1        200      4200       600
ADAMS EXPRESS CO   COM        006212104       114       9692   SH             SOLE           1       9692         0         0
ADAPTEC INC                   00651F108         3        400   SH             SOLE           1        400         0         0
ADVANTEST CORP     SPON ADR   00762U101         3        295   SH             SOLE           1        295         0         0
ADVANCED MICRO                007903107         6       1000   SH             SOLE           1       1000         0         0
DEVICES INC
ADVANCED MICRO                007903107         1        200   SH             DEFINED        1        200         0         0
DEVICES INC
AEGEON             N V ORD    007924103         2        290   SH             SOLE           1        290         0         0
AETNA INC          COM        00817Y108        12        200   SH             DEFINED        1          0         0       200
AGILENT                       00846U101        34       1775   SH             SOLE           1       1775         0         0
TECHNOLOGIES,
INC
AGILENT                       00846U101         1        100   SH             DEFINED        1          0         0       100
TECHNOLOGIES,
INC.
AGNICO EAGLE                  008474108         5        500   SH             SOLE           1        500         0         0
MINES
AIR PRODS &        COM        009158106         1         27   SH             SOLE           1         27         0         0
CHEMS INC
ALCOA INC                     013817101       157       6161   SH             SOLE           1       4481         0      1680
ALCOA INC                     013817101        12        500   SH             DEFINED        1        500         0         0
ALLEGHENY ENERGY              017361106         1        200   SH             SOLE           1        200         0         0
INC
ALLIANCE CAP                  01855A101        73       2000   SH             DEFINED        1       2000         0         0
MGMT HLDG L P
ALLIED CAP CORP    COM        01903Q108         7        315   SH             SOLE           1        315         0         0
NEW
ALLSTATE CORP      COMMON     020002101       167       4707   SH             SOLE           1       4707         0         0
ALLSTATE CORP      COMMON     020002101        21        604   SH             DEFINED        1        310         0       294
ALLTEL CORP                   020039103       211       4390   SH             SOLE           1       4390         0         0
ALLTEL CORP                   020039103       511      10600   SH             DEFINED        1      10600         0         0
ALTRIA GROUP INC              02209S103       567      12483   SH             SOLE           1      10288         0      2195
AMERICAN EAGLE                02553E106         4        220   SH             SOLE           1        220         0         0
OUTFITTERS, INC
AMERICAN                      025537101       132       4460   SH             SOLE           1       3060         0      1400
ELECTRIC POWER
AMER EXPRESS CO               025816109       117       2800   SH             SOLE           1       2800         0         0
AMERICAN                      026874107       298       5403   SH             SOLE           1       3503         0      1900
INTERNATIONAL
GROUP INC
AMERICAN                      026874107         9        175   SH             DEFINED        1        175         0         0
INTERNATIONAL
GROUP, INC
AMERICAN           CLASS A    027070101         3         80   SH             SOLE           1         80         0         0
ITALIAN PASTA
COMPANY
AMERUS LIFE                   03072M108        20        712   SH             SOLE           1        712         0         0
HOLDINGS
AMERISOURCEBERGEN             03073E105       325       4690   SH             SOLE           1       3255         0      1435
CORP
AMATEK INC                    031100100         2         80   SH             SOLE           1         80         0         0
AMGEN INC                     031162100        40        611   SH             SOLE           1        611         0         0
AMGEN INC                     031162100        13        200   SH             DEFINED        1        200         0         0
AMSOUTH                       032165102      2514     115115   SH             SOLE           1     115115         0         0
BANCORPORATION
AMVESCAP PLC       ADR        03235E100         2        210   SH             SOLE           1        210         0         0
ANADARKO PETE                 032511107        65       1464   SH             DEFINED        1          0      1464         0
CORP
ANALOG DEVICES     COM        032654105         3        100   SH             SOLE           1        100         0         0
INC
ANHEUSER-BUSCH                035229103      1166      22859   SH             SOLE           1      20169         0      2690
COMPANIES
ANHEUSER-BUSCH                035229103       183       3600   SH             DEFINED        1       3600         0         0
COMPANIES






                                                                                                         VOTING AUTHORITY
                  TITLE OF               VALUE     SHRS OR     SH/  PCT/   INVESTMENT     OTHER   -------------------------------
 NAMES OF ISSUER   CLASS      CUSIP     [X$1000]   PRN AMT     PRN  CALL   DISCRETION    MANAGERS    SOLE     SHARED     NONE
 --------------- ---------- ----------- --------- ----------  ----- ----- ------------  --------- -------- --------- ------------
                                                                                    
ANTHEM INC                    03674B104       276       3590   SH             SOLE           1       2440         0      1150
APARTMENT INVT &   CL A       03748R101        38       1100   SH             SOLE           1       1100         0         0
MGMT CO
APPLE COMP INC                037833100        60       3200   SH             DEFINED        1       3200         0         0
APPLIED                       038222105        84       5350   SH             SOLE           1       5350         0         0
MATERIALS INC
AQUILA INC                    03840P102         6       2500   SH             SOLE           1       2500         0         0
ARCH COAL, INC                039380100         4        200   SH             SOLE           1        200         0         0
ARCHER-DANIELS-
MIDLAND                       039483102         3        279   SH             SOLE           1        279         0         0
COMPANY
ARMOR HOLDINGS,               042260109         3        285   SH             SOLE           1        285         0         0
INC
ARVINMERITOR                  043353101         0         44   SH             SOLE           1         44         0         0
ASTORIA                       046265104         4        155   SH             SOLE           1        155         0         0
FINANCIAL CORP
AUTO DATA
PROCESS                       053015103       187       5548   SH             SOLE           1       5548         0         0
AUTO DATA
PROCESS                       053015103       108       3200   SH             DEFINED        1       3200         0         0
AUTOZONE                      053332102        15        200   SH             SOLE           1        200         0         0
AUTOZONE                      053332102        40        530   SH             DEFINED        1        530         0         0
AVAYA INC                     053499109         1        227   SH             SOLE           1        227         0         0
AVON PRODUCTS      COM        054303102        43        700   SH             SOLE           1        700         0         0
INC
AXA-UAP            ADR        054536107         3        236   SH             SOLE           1        236         0         0
BP AMOCO PLC       ADR        055622104       410       9767   SH             SOLE           1       9767         0         0
SPONSORED
BP AMOCO PLC       ADR        055622104       199       4736   SH             DEFINED        1       4736         0         0
SPONSORED
BAKER HUGHES INC   COM        057224107        16        506   SH             SOLE           1        506         0         0
BALDOR ELEC CO     COM        057741100     29286    1422387   SH             DEFINED        1    1422387         0         0
BANCO BILBAO       ADR        05946K101         2        285   SH             SOLE           1        285         0         0
VIZCAYA SP
BANCORP MS                    05969210X       291      14000   SH             SOLE           1      14000         0         0
BANCORPSOUTH INC              059692103     18683     896511   SH             SOLE           1     895511         0      1000
BANCORPSOUTH INC              059692103      2886     138513   SH             DEFINED        1     135247      2592       674
BANK OF AMERICA    NEW COM    060505104       606       7680   SH             SOLE           1       6220         0      1460
CORP
BANK OF AMERICA    NEW COM    060505104        23        300   SH             DEFINED        1        300         0         0
CORP
BANK OF THE                   063904106      1770      46100   SH             DEFINED        1      46100         0         0
OZARKS, INC
BANK OF NEW YORK              064057102       276       9615   SH             SOLE           1       6755         0      2860
BANK ONE CORP      COM        06423A103        89       2420   SH             SOLE           1       2420         0         0
BANK ONE CORP      COM        06423A103        55       1482   SH             DEFINED        1          0      1482         0
BAXTER INTL INC               071813109       231       8895   SH             SOLE           1       6855         0      2040
BEAR STEARNS COS              073902108       282       3896   SH             SOLE           1       3166         0       730
INC
BECTON                        075887109        16        412   SH             SOLE           1        412         0         0
DICKINSON BED
BATH & BEYOND                 075896100         7        200   SH             SOLE           1        200         0         0
BELLSOUTH CORP                079860102       998      37494   SH             SOLE           1      34564         0      2930
BELLSOUTH CORP                079860102        10        400   SH             DEFINED        1        400         0         0
BERKSHIRE                     084670108        72          1   SH             SOLE           1          1         0         0
HATHAWAY "A"
BERKSHIRE          CL B       084670207         7          3   SH             DEFINED        1          3         0         0
HATHAWAY INC DEL
BIOTRANSPLANT      COM        09066Y107         0       4400   SH             SOLE           1       4400         0         0
INC
BLACKROCK INVT                09247D105        43       3000   SH             SOLE           1       3000         0         0
QUALITY MUNI TR
INC
MF BLACKROCK                  09247F100        18       2400   SH             SOLE           1       2400         0         0
INCOME TRUST
BLACKSTONE                    09247J102        39       4155   SH             SOLE           1       4155         0         0
INVESTMENT
BLOCK H & R INC    COM        093671105        17        401   SH             SOLE           1        401         0         0
BOEING INC                    097023105        50       1480   SH             SOLE           1        880         0       600
BORG WARNER                   099724106         5         82   SH             SOLE           1         82         0         0
AUTOMOTIVE INC
BOSTON SCIENTIFIC             101137107         1         23   SH             SOLE           1         23         0         0
BOWATER INC                   102183100        61       1630   SH             SOLE           1       1630         0         0
BRISTOL MYERS                 110122108       675      24898   SH             SOLE           1      22853         0      2045
SQUIBB CO
BRISTOL MYERS                 110122108        32       1200   SH             DEFINED        1       1200         0         0
SQUIBB CO
BRITISH SKY        SPON ADR   111013108         3         70   SH             SOLE           1         70         0         0
BROADCASTING GP
PLC
BROWN TOM INC      NEW        115660201         2        105   SH             SOLE           1        105         0         0
BUCKEYE                       118255108        10       1500   SH             SOLE           1       1500         0         0
TECHNOLOGY INC
CBRL GROUP INC     COM        12489V106        34        900   SH             SOLE           1        900         0         0
CEC ENTMT INC                 125137109        31        850   SH             SOLE           1        850         0         0
CLECO CORP         COM        12561W105         7        461   SH             SOLE           1        461         0         0
CSK AUTO CORP                 125965103         1        135   SH             SOLE           1        135         0         0






                                                                                                         VOTING AUTHORITY
                  TITLE OF               VALUE     SHRS OR     SH/  PCT/   INVESTMENT     OTHER   -------------------------------
 NAMES OF ISSUER   CLASS       CUSIP    [X$1000]   PRN AMT     PRN  CALL   DISCRETION    MANAGERS    SOLE    SHARED      NONE
 ---------------  --------- ----------- --------- ----------  ----- ----- ------------ ---------- -------- --------- ------------
                                                                                    
CNET NETWORKS INC             12613R104         0        118   SH             SOLE           1        118         0         0
CADBURY            ADR        127209302        29       1200   SH             SOLE           1       1200         0         0
SCHWEPPES PLC
CALLAWAY GOLF CO              131193104         5        385   SH             SOLE           1        185         0       200
CAMPBELL SOUP CO   COM        134429109         9        400   SH             SOLE           1        400         0         0
CANON INC          ADR        138006309         3         70   SH             SOLE           1         70         0         0
                   REPSTG 5
                   SHRS
CAPITAL ONE FINL   COM        14040H105       226       4600   SH             SOLE           1       4600         0         0
CORP
CARDINAL HEALTH    COM        14149Y108        12        200   SH             SOLE           1        200         0         0
INC
CATERPILLAR INC               149123101       166       3000   SH             SOLE           1       3000         0         0
CENDANT CORP       COM        151313103        20       1099   SH             SOLE           1       1099         0         0
CENTERPOINT                   15189T107         4        544   SH             SOLE           1        544         0         0
ENERGY INC
CENTURYTEL, INC               156700106       123       3550   SH             SOLE           1       3550         0         0
CHARTER            DEL CL A   16117M107         2        600   SH             SOLE           1        600         0         0
COMMUNICATIONS
INC
CHECKPOINT                    162825103        14       1000   SH             SOLE           1       1000         0         0
SYSTEMS
CHEVRONTEXACO                 166764100      1005      13930   SH             SOLE           1      12695         0      1235
CORP
CHEVRONTEXACO                 166764100        95       1327   SH             DEFINED        1       1327         0         0
CORP
CINERGY                       172474108         4        114   SH             SOLE           1        114         0         0
CISCO SYS INC                 17275R102       607      36207   SH             SOLE           1      32382         0      3825
CISCO SYS INC                 17275R102        23       1400   SH             DEFINED        1        800         0       600
CITIGROUP, INC                172967101       801      18737   SH             SOLE           1      16392         0      2345
CITIGROUP, INC                172967101       347       8117   SH             DEFINED        1       8117         0         0
CITIZENS HOLDING              174715102      2663     158987   SH             SOLE           1     158987         0         0
COMPANY
CLEAR CHANNEL                 184502102         4        100   SH             SOLE           1        100         0         0
COMMUNICATIONS
COCA COLA          COM        191098102        22        420   SH             SOLE           1        420         0         0
BOTTLING CO CONS
COCA COLA CO                  191216100      1284      27682   SH             SOLE           1      25422         0      2260
COCA COLA CO                  191216100        69       1500   SH             DEFINED        1        500         0      1000
COCA COLA          COM        191219104        70       3900   SH             SOLE           1       3900         0         0
ENTERPRISES INC
COLGATE-PALMOLIVE             194162103       238       4112   SH             SOLE           1       4112         0         0
CO
COLGATE-PALMOLIVE             194162103        11        200   SH             DEFINED        1          0         0       200
CO
COLONIAL HIGH                 195743109         1        200                  SOLE           1        200         0         0
INCOME 
MUNICIPAL TRUST
COMCAST CORP       NEW CL A   20030N101       250       8315   SH             SOLE           1       8315         0         0
                   COM
COMCAST CORP       NEW CL A   20030N101         5        192   SH             DEFINED        1        192         0         0
                   COM
COMMSCOPE INC                 203372107         9       1000   SH             SOLE           1       1000         0         0
COMPUTER ASSOC     COM        204912109        17        800   SH             SOLE           1        800         0         0
INTL INC
COMPUTER           COMMON     205363104         3         99   SH             DEFINED        1          0         0        99
SCIENCES
CORPORATION
CONAGRA FOODS INC  COM        205887102         4        200   SH             DEFINED        1        200         0         0
CONEXANT SYS INC   COM        207142100         0        176   SH             SOLE           1        176         0         0
CONOCO PHILLIPS               20825C104       268       4892   SH             SOLE           1       3992         0       900
CONSECO            SH BEN INT 20847A102         8        866   SH             SOLE           1        866         0         0
STRATEGIC INC FD   
CONSTELLATION                 210371100         5        150   SH             SOLE           1        150         0         0
ENERGY CORP
COOPER TIRE &                 216831107       280      15953   SH             SOLE           1      14953         0      1000
RUBBER CO
COOPER TIRE &                 216831107         1        100   SH             DEFINED        1        100         0         0
RUBBER CO
CORRECTIONS CORP              22025Y407         0          4   SH             DEFINED        1          4         0         0
OF AMERICA
COSTCO WHOLESALE              22160K105        16        445   SH             SOLE           1        445         0         0
CORP
COX                CL A       224044107         3        100   SH             DEFINED        1        100         0         0
COMMUNICATIONS
CYPRESS                       232806109         6        500   SH             SOLE           1        500         0         0
SEMICONDUCTOR
CYTYC CORPORATION             232946103         2        265   SH             SOLE           1        265         0         0
DNP SELECT                    23325P104        11       1100   SH             DEFINED        1       1100         0         0
INCOME FD INC
DANAHER CORP DEL   COM        235851102       204       3000   SH             SOLE           1       1880         0      1120
DANKA BUSINESS     SPONSORED  236277109        19       5000   SH             SOLE           1       5000         0         0
SYS PLC            ADR
DEERE & CO                    244199105        68       1500   SH             SOLE           1       1500         0         0
DEL MONTE FOODS    COM        24522P103         1        121   SH             SOLE           1        121         0         0
DELL COMPUTER                 247025109       489      15365   SH             SOLE           1      15365         0         0
DELL COMPUTER                 247025109        35       1100   SH             DEFINED        1       1100         0         0
DELPHI AUTO                   247126105         2        250   SH             SOLE           1        250         0         0
SYSTEMS






                                                                                                         VOTING AUTHORITY
                  TITLE OF               VALUE     SHRS OR     SH/  PCT/   INVESTMENT     OTHER   -------------------------------
 NAMES OF ISSUER   CLASS       CUSIP    [X$1000]   PRN AMT     PRN  CALL   DISCRETION    MANAGERS   SOLE     SHARED       NONE
 ---------------  ---------  ---------- --------- ----------  ----- ----- ------------ ---------- -------- --------- ------------
                                                                                     
DELTA & PINE LD    COM        247357106        11        509   SH             SOLE           1         509         0         0
CO
DELTIC TIMBER INC             247850100       407      14324   SH             SOLE           1       14324         0         0
DELTIC TIMBER INC             247850100     18363     645471   SH             DEFINED        1      242423    403048         0
DEVON ENERGY       NEW COM    25179M103         4         82   SH             SOLE           1          82         0         0
CORP
DIAL CORPORATION              25247D101         6        348   SH             SOLE           1         348         0         0
WALT DISNEY CO                254687106       236      11991   SH             SOLE           1        8336         0      3655
WALT DISNEY CO                254687106         3        200   SH             DEFINED        1         200         0         0
DOMINION RES INC   VA NEW     25746U109         1         25   SH             SOLE           1          25         0         0
DONNELLEY RR &                257867101        20        800   SH             SOLE           1         800         0         0
SONS
DOW CHEMICAL CO               260543103       496      16053   SH             SOLE           1       16053         0         0
DOW CHEMICAL CO               260543103        14        483   SH             DEFINED        1         483         0         0
DREYFUS                       261932107        20       2086                  SOLE           1        2086         0         0
STRATEGIC
MUNICIPALS INC
DREYFUS                       26201R102        18       1832                  SOLE           1        1832         0         0
MUNICIPAL INCOME
INC
DU PONT EI D                  263534109       155       3728   SH             SOLE           1        3728         0         0
NEMOURS & CO
DU PONT EI D                  263534109         4        100   SH             DEFINED        1         100         0         0
NEMOURS & CO
DUKE ENERGY CORP   COM        264399106        65       3264   SH             SOLE           1        3264         0         0
DUN & BRADSTREET              26483E100         6        150   SH             SOLE           1         150         0         0
NW
DYNEX CAP INC      COM NEW    26817Q506         0        106   SH             DEFINED        1         106         0         0
E-LOAN INC                    26861P107         5       1000   SH             SOLE           1        1000         0         0
EMC CORP                      268648102        43       4200   SH             SOLE           1        4200         0         0
EMC CORP                      268648102        41       4000   SH             DEFINED        1        4000         0         0
ENSCO                         26874Q100         1         74   SH             SOLE           1          74         0         0
INTERNATIONAL INC
E TRADE GROUP INC             269246104        34       4000   SH             SOLE           1        4000         0         0
EASTMAN KODAK CO              277461109        27       1000   SH             SOLE           1        1000         0         0
EASTMAN KODAK CO              277461109         3        125   SH             DEFINED        1         125         0         0
EATON CORP         COM        278058102       251       3205   SH             SOLE           1        2550         0       655
ECHOSTAR COMMUN               278762109        17        500   SH             SOLE           1         500         0         0
EDWARDS                       28176E108         7        240   SH             SOLE           1         240         0         0
LIFESCIENCES CORP
EL PASO                       28336L109         1        212   SH             SOLE           1         212         0         0
CORPORATION
ELAN CORP          PLC ADR    284131208         0        100   SH             SOLE           1         100         0         0
ELECTRONIC DATA    NEW        285661104        13        642   SH             SOLE           1         642         0         0
SYS CORP
EMERSON ELECTRIC              291011104        97       1900   SH             SOLE           1        1900         0         0
CO
ENCORE WIRE CORP   COM        292562105       197      20900   SH             SOLE           1       13900         0      7000
ENERGY EAST CORP   COM        29266M109         4        200   SH             SOLE           1         200         0         0
ENGELHARD CORP                292845104         6        253   SH             DEFINED        1           0         0       253
ENTERASYS                     293637104         0        200   SH             SOLE           1         200         0         0
NETWORKS INC
ENTERGY CORP                  29364G103       287       5444   SH             SOLE           1        4444         0      1000
ENTERGY CORP                  29364G103        31        593   SH             DEFINED        1         593         0         0
EQUITY INNS, INC              294703103        10       1500   SH             DEFINED        1        1500         0         0
EQUITY                        29476L107        11        436   SH             SOLE           1         436         0         0
RESIDENTIAL
PPTYS SBI
ESTERLINE                     297425100         3        185   SH             SOLE           1         185         0         0
TECHNOLOGIES CORP
EXXON MOBIL CORP              30231G102      6326     176226   SH             SOLE           1      175426         0       800
EXXON MOBIL CORP              30231G102      1015      28276   SH             DEFINED        1       18076      4700      5500
FPL GROUP INC                 302571104       267       3995   SH             SOLE           1        2810         0      1185
FED HMN LN MTG     VOTING     313400301        12        250   SH             SOLE           1         250         0         0
CORP               COM
FNMA               COM        313586109        80       1200   SH             SOLE           1        1200         0         0
FEDERATED DEPT                31410H101         1         41   SH             SOLE           1          41         0         0
STORES INC
FEDEX CORPORATION             31428X106        62       1000   SH             SOLE           1        1000         0         0
FEDEX CORPORATION             31428X106         6        100   SH             DEFINED        1         100         0         0
FIRST DATA CORP    COM        319963104         1         40   SH             SOLE           1          40         0         0
FIRST INDL RLTY               32054K103        14        450   SH             SOLE           1         450         0         0
TR INC
FIRST M & F CORP              320744105        42       1293   SH             SOLE           1        1293         0         0
FIRST TENNESSEE               337162101      1570      35778   SH             SOLE           1       35778         0         0
NATIONAL CORP
FISERV INC                    337738108       216       6070   SH             SOLE           1        4255         0      1815
FIRSTMERIT CORP               337915102         7        325   SH             SOLE           1         325         0         0
FLEET BOSTON CORP             339030108        24        812   SH             SOLE           1         812         0         0






                                                                                                         VOTING AUTHORITY
                  TITLE OF                VALUE     SHRS OR    SH/  PCT/   INVESTMENT     OTHER   -------------------------------
 NAMES OF ISSUER   CLASS       CUSIP    [X$1000]    PRN AMT    PRN  CALL   DISCRETION    MANAGERS   SOLE      SHARED      NONE
 --------------- ---------- ----------- --------- ----------  ----- ----- ------------ ---------- -------- --------- ------------
                                                                                    
FLUOR CORP                    343412102         3         96   SH             DEFINED        1          96         0         0
FORD MOTOR         COMMON     345370860        74       6760   SH             SOLE           1        6760         0         0
COMPANY
FORD MOTOR         COMMON     345370860         7        700   SH             DEFINED        1         700         0         0
COMPANY
FOREST LABS                   345838106        14        266   SH             SOLE           1         266         0         0
FORREST OIL CORP              346091705       135       5400   SH             SOLE           1           0         0      5400
FORRESTER                     346563109         3        235   SH             SOLE           1         235         0         0
RESEARCH INC
FULTON FINANCIAL              360271100         2        140   SH             SOLE           1         140         0         0
CORP  - PA
FURNITURE BRANDS              360921100         3        145   SH             SOLE           1         145         0         0
INTL
GSI COMMERCE INC              36238G102         0         29   SH             SOLE           1          29         0         0
GALLAGHER ARTHUR              363576109        48       1770   SH             SOLE           1        1770         0         0
J & CO
GAP INC DEL        COM        364760108        29       1562   SH             SOLE           1        1562         0         0
GENERAL ELECTRIC              369604103      3394     118358   SH             SOLE           1      118358         0         0
CO
GENERAL ELECTRIC              369604103        83       2900   SH             DEFINED        1        1700         0      1200
CO
GENERAL MLS INC    COM        370334104        23        497   SH             SOLE           1         497         0         0
GENERAL MLS INC    COM        370334104         0         20   SH             DEFINED        1           0         0        20
GEN MTR CORP                  370442105        20        571   SH             SOLE           1         571         0         0
GENOME             COM        372430108         2       1000   SH             SOLE           1           0         0      1000
THERAPEUTICS CORP
GEORGIA PAC CORP              373298108        24       1290   SH             SOLE           1        1290         0         0
GERON CORP         COM        374163103         2        300   SH             SOLE           1         300         0         0
GILLETTE CO                   375766102        95       3006   SH             SOLE           1        2806         0       200
GILLETTE CO                   375766102       111       3485   SH             DEFINED        1        3485         0         0
GLAXO WELLCOME     ADR        37733W105         4        100   SH             SOLE           1           0         0       100
PLC SPONSORED
GOLDMAN SACHS                 38141G104        14        178   SH             SOLE           1         178         0         0
GROUP
GOODYEAR TIRE &               382550101         3        618   SH             SOLE           1         618         0         0
RUBBER
GREAT LAKES CHEM   COM        390568103        36       1785   SH            DEFINED         1        1785         0         0
CORP
GREAT PLAINS                  391164100        53       1855   SH            SOLE            1        1855         0         0
ENERGY INC
GUIDANT CORP       COM        401698105       115       2600   SH             SOLE           1        2600         0         0
HCA INC.                      404119109        97       3050   SH             SOLE           1        3050         0         0
HCC INSURANCE                 404132102         4        155   SH             SOLE           1         155         0         0
HOLDINGS, INC
HALLIBURTON CO     COM        406216101        19        850   SH             SOLE           1         850         0         0
HALLIBURTON CO     COM        406216101        13        600   SH             DEFINED        1         600         0         0
HANCOCK FABRICS               409900107        25       1600   SH             SOLE           1        1600         0         0
HANCOCK HLDG CO    CAP VALUE  410120109       203       4345   SH             SOLE           1        4345         0         0
CEF HANCOCK JOHN              41013X106        10        400   SH             SOLE           1         400         0         0
PFD
JOHN HANCOCK                  41014S106         8        285   SH             SOLE           1         285         0         0
HARLEY DAVIDSON    COM        412822108        14        355   SH             SOLE           1         355         0         0
INC
HARRIS CORP                   413875105        42       1400   SH             SOLE           1        1400         0         0
HARTE-HANKS INC    COM        416196103         2        150   SH             SOLE           1         150         0         0
HARTFORD FNCL SV   COM        416515104        12        250   SH             DEFINED        1         250         0         0
GRP INC
HASBRO, INC                   418056107        13        787   SH             DEFINED        1         787         0         0
HEINZ H J CO       COM        423074103         9        273   SH             SOLE           1         273         0         0
HERSHEY FOODS                 427866108       165       2380   SH             SOLE           1        1480         0       900
CORP
HEWLETT PACKARD               428236103       491      23095   SH             SOLE           1       20585         0      2510
CO
HEWLETT PACKARD               428236103         8        400   SH             DEFINED        1           0         0       400
CO
HIBERNIA CORP                 428656102      5586     307778   SH              SOLE          1      306878         0       900
HIBERNIA CORP                 428656102        16        900   SH              DEFINED       1         900         0         0
HIGH INCOME                   42967Q105        18       2500   SH              SOLE          1        2500         0         0
OPPORTUNITY FD
HOME DEPOT                    437076102       520      15725   SH              SOLE          1       15725         0         0
HOME DEPOT                    437076102        50       1532   SH              DEFINED       1        1532         0         0
HONEYWELL INTL                438516106        83       3120   SH              SOLE          1        3120         0         0
INC
HUBBELL INC        CL B       443510201        33       1000   SH              SOLE          1        1000         0         0
HUDSON UNITED                 444165104         3        100   SH              SOLE          1         100         0         0
BANCORP
ICN                COM        448924100         8        525   SH              SOLE          1           0         0       525
PHARMACEUTICALS
INC NEW
ING PRIME RATE                44977W106       100      13907   SH              SOLE          1       13907         0         0
TR SH BEN INT
ILLINOIS TOOL                 452308109         5         76   SH              SOLE          1          76         0         0
WORKS INC
IMPERIAL TOBACCO   SPON ADR   453142101         3         90   SH              SOLE          1          90         0         0
PLC
INSIGHT            COM        45765U103        27       2775   SH              SOLE          1        2775         0         0
ENTERPRISES INC
INPUT/OUTPUT INC              457652105         4        750   SH              SOLE          1         750         0         0
INTEL CORP         CAP        458140100       993      47754   SH              SOLE          1       41604         0      6150
INTEL CORP         CAP        458140100        99       4780   SH              DEFINED       1        3980         0       800
IBM CORP                      459200101      2054      24898   SH              SOLE          1       23178         0      1720
IBM CORP                      459200101        39        475   SH              DEFINED       1         475         0         0
INTL PAPER CO                 460146103       197       5522   SH              SOLE          1        4022         0      1500






                                                                                                          VOTING AUTHORITY
                  TITLE OF                VALUE     SHRS OR    SH/  PCT/   INVESTMENT     OTHER   -------------------------------
 NAMES OF ISSUER   CLASS       CUSIP     [X$1000]   PRN AMT    PRN  CALL   DISCRETION    MANAGERS    SOLE     SHARED      NONE
 ---------------  ---------  ---------- --------- ----------  ----- ----- ------------ ---------- -------- --------- ------------
                                                                                    
INTL PAPER CO                 460146103        51       1450   SH             DEFINED        1         150      1100       200
IONICS, INC                   462218108         3        155   SH             SOLE           1         155         0         0
JDS UNIPHASE       COM        46612J101         0        120   SH             SOLE           1         120         0         0
CORP
J P MORGAN CHASE              46625H100        85       2499   SH             SOLE           1        2499         0         0
& CO
J P MORGAN CHASE              46625H100        51       1500   SH             DEFINED        1        1500         0         0
& CO
JANUS CAPITAL                 47102X105         9        600   SH             SOLE           1         600         0         0
GROUP INC.
JOHNSON & JOHNSON             478160104      2022      39122   SH             SOLE           1       39122         0         0
JOHNSON & JOHNSON             478160104       460       8900   SH             DEFINED        1        5000      1200      2700
JOHNSON CONTROLS              478366107       289       3385   SH             SOLE           1        2470         0       915
INC
KLA TENCOR CORP               482480100         4        100   SH             SOLE           1         100         0         0
 K MART CORP       COM        482584109         1       1000   SH             SOLE           1        1000         0         0
KELLOGG CO                    487836108         6        200   SH             SOLE           1         200         0         0
KIMBERLY-CLARK                494368103        10        200   SH             SOLE           1         200         0         0
CORP
KIMBERLY-CLARK                494368103        20        400   SH             DEFINED        1         400         0         0
CORP
KINDER MORGAN      PARTNERS,  494550106         9        232   SH             SOLE           1         232         0         0
ENERGY             L.P
KNIGHT RIDDER INC             499040103        38        565   SH             SOLE           1         565         0         0
KOHL'S CORP                   500255104       138       2700   SH             SOLE           1        2700         0         0
KONINKLIJKE        N V SP     500472303         4        219   SH             SOLE           1         219         0         0
PHLPS ELECTRS      ADR NEW
KROGER CO                     501044101       176      10593   SH             SOLE           1        6933         0      3660
LSI LOGIC CORP     COM        502161102         2        400   SH             SOLE           1         400         0         0
LA QUINTA CORP     1 COM LA   50419U202         0        205   SH             SOLE           1         205         0         0
PAIRED CTF         QUINTA
LAFARGE            SPONSORED  505861401         2        180   SH             SOLE           1         180         0         0
                   ADR
ESTEE LAUDER CO               518439104        20        600   SH             DEFINED        1         600         0         0
LEHMAN BROTHERS    COM        524908100       276       4160   SH             SOLE           1        3080         0      1080
HOLDINGS
LEVEL 3                       52729N100        40       6037   SH             SOLE           1        6037         0         0
COMMUNICATIONS
INC
LEXMARK INTL       NEW CL A   529771107       441       6237   SH             SOLE           1        4467         0      1770
THE LIBERTY                   530370105       123       2900   SH             SOLE           1        2900         0         0
CORPORATION
ELI LILLY & CO                532457108       644       9345   SH             SOLE           1        8150         0      1195
ELI LILLY & CO                532457108       103       1500   SH             DEFINED        1        1500         0         0
LINCOLN NATIONAL   IND        534187109         1         35   SH             SOLE           1          35         0         0
CORP
LOCKHEED MARTIN               539830109         4        100   SH             SOLE           1         100         0         0
CORP
LOEWS CORP                    540424108         1         34   SH             SOLE           1          34         0         0
LOWES CO INC                  548661107       572      13335   SH             SOLE           1       10690         0      2645
LUCENT                        549463107        42      21105   SH             SOLE           1       20905         0       200
TECHNOLOGIES
LUCENT                        549463107         4       2200   SH             DEFINED        1        2200         0         0
TECHNOLOGIES
M & T BANK CORP               55261F104       168       2000   SH             SOLE           1        2000         0         0
MFS INTER INCOME   INT        55273C107        31       4350   SH             SOLE           1        4350         0         0
TR SH BEN
MGNA ENTMT CORP               559211107         0         20   SH             SOLE           1          20         0         0
MANULIFE                      56501R106      1079      38281   SH             SOLE           1       38281         0         0
FINANCIAL CORP
MARATHON OIL CORP             565849106         1         54   SH             SOLE           1          54         0         0
MARSH & MCLENNAN              571748102         2         58   SH             SOLE           1          58         0         0
MARTIN MARIETTA               573284106         2         80   SH             SOLE           1          80         0         0
MATERIALS, INC
MASSEY ENERGY                 576206106         1         96   SH             SOLE           1          96         0         0
CORP
MAXIM INTEGRATED              57772K101        12        356   SH             SOLE           1         356         0         0
PRODUCTS INC
MCCORMICK & CO                579780206       182       6715   SH             SOLE           1        4535         0      2180
MCDATA CORP        CLASS A    580031201         1         73   SH             DEFINED        1          73         0         0
MCDONALD'S CORP               580135101        70       3200   SH             SOLE           1        3200         0         0
MEADWESTVACO CORP             583334107        38       1547   SH             SOLE           1        1547         0         0
MEDIMMUNE INC      COM        584699102         2         75   SH             SOLE           1          75         0         0
MEDTRONIC INC      COM        585055106        17        360   SH             SOLE           1         360         0         0
MELLON FINL CORP              58551A108        22        800   SH             SOLE           1         800         0         0
MERCK & CO INC                589331107      1724      28487   SH             SOLE           1       27122         0      1365
MERCK & CO INC                589331107       217       3600   SH             DEFINED        1        3100         0       500
MERRILL LYNCH &               590188108        14        320   SH             SOLE           1         320         0         0
CO, INC
METLIFE INC        COM        59156R108       121       4292   SH             SOLE           1        4292         0         0
MICROSOFT CORP                594918104       690      26950   SH             SOLE           1       26950         0         0
MICROSOFT CORP                594918104        20        800   SH             DEFINED        1           0         0       800
MICRON TECHNOLOGY             595112103        23       2000   SH             SOLE           1        2000         0         0






                                                                                                          VOTING AUTHORITY
                  TITLE OF               VALUE     SHRS OR      SH/  PCT/   INVESTMENT     OTHER   -------------------------------
 NAMES OF ISSUER   CLASS      CUSIP     [X$1000]   PRN AMT      PRN  CALL   DISCRETION    MANAGERS   SOLE    SHARED       NONE
 --------------- ---------- ----------- --------- ----------   ----- ----- ------------ ---------- -------  --------- ------------
                                                                                     
MID-AMERICA                   59522J103        27       1000    SH             DEFINED       1        1000         0         0
APARTMENT CMNTYS
MIDAS GROUP INC               595626102         8        666    SH             SOLE          1         666         0         0
MILLER HERMAN INC  COM        600544100        68       3420    SH             SOLE          1        3420         0         0
MIRANT CORP                   604675108         8       3055    SH             SOLE          1        3055         0         0
MISSISSIPPI                   605288208         0       1492    SH             SOLE          1        1492         0         0
CHEMICAL CORP
MONSANTO CO.                  61166W101        12        596    SH             SOLE          1         596         0         0
(NEW)
MONSANTO CO.                  61166W101         5        235    SH             DEFINED       1         150         0        85
(NEW)
MOODYS CORP                   615369105        31        602    SH             SOLE          1         602         0         0
MORGAN STANLEY                617446448       308       7206    SH             SOLE          1        6041         0      1165
DEAN WITTER
DISCOVER & CO
MORGAN STANLEY                617446448        11        260    SH             DEFINED       1         260         0         0
DEAN WITTER
DISCOVER & CO
MOTOROLA INC                  620076109       106      11308    SH             SOLE          1       11208         0       100
MOTOROLA INC                  620076109        70       7466    SH             DEFINED       1        7166         0       300
MULTIMEDIA GAMES              625453105        11        450    SH             SOLE          1         450         0         0
INC
MUNICIPAL          SH         62624B101       101       4000    SH             SOLE          1        4000         0         0
MORTGAGE &
EQUITY LLC -
GROWTH
MUNIVEST FD INC    COM        626295109        46       5000                   SOLE          1        5000         0         0
MURPHY OIL CORP    COM        626717102      5167      98268    SH             SOLE          1       98268         0         0
MURPHY OIL CORP    COM        626717102    244559    4650306    SH             DEFINED       1     2068366   2581940         0
MYLAN                         628530107       402      11583    SH             SOLE          1        8471         0      3112
LABORATORIES INC
NBC CAP CORP                  628729105       134       5333    SH             SOLE          1        5333         0         0
NCR CORP           NEW        62886E108         1         64    SH             SOLE          1          64         0         0
NASDAQ 100 TRUST              631100104         5        200    SH             SOLE          1         200         0         0
NATIONAL COMM                 63545P104        57       2600    SH             SOLE          1        2600         0         0
FINL CORP

NEWELL                        651229106        11        400    SH             SOLE          1         400         0         0
RUBBERMAID INC
NEWS CORP LTD      ADR        652487703         1         44    SH             SOLE          1          44         0         0
NICOR INC          COM        654086107        20        550    SH             SOLE          1         550         0         0
NIKE INC           CLASS B    654106103        46        860    SH             SOLE          1         860         0         0
NISOURCE INC                  65473P105       143       7565    SH             SOLE          1        4685         0      2880
NOKIA CORP         SPND ADR   654902204        57       3493    SH             SOLE          1        3493         0         0
NOBLE ENERGY INC              655044105        37       1000    SH             SOLE          1        1000         0         0
NOMURA HOLDINGS    ADR        65535H208         3        270    SH             SOLE          1         270         0         0
INC
NORFOLK SO CORP               655844108        27       1434    SH             SOLE          1        1434         0         0
NORTEL NETWORK     NEW        656568102        13       5000    SH             SOLE          1        5000         0         0
CORP
NORTHERN TRUST     NTRS       665859104        74       1780    SH             SOLE          1        1780         0         0
COMPANY
NORTHERN TRUST     NTRS       665859104       166       4000    SH             DEFINED       1        3600         0       400
COMPANY
NORTHRUP GRUMMAN              666807102         1         23    SH             SOLE          1          23         0         0
NORTHWESTERN                  668074107         0        330    SH             SOLE          1         330         0         0
CORPORATION
NOVARTIS AG        SPONSORED  66987V109         3         80    SH             SOLE          1          80         0         0
                   ADR
NOVELLUS SYSTEMS              670008101        60       1655    SH             SOLE          1        1655         0         0
NU SKIN            CLASS A    67018T105         4        395    SH             SOLE          1         395         0         0
ENTERPRISES INC
NUVEEN INSD        MUNI FD    6706D8104         4        338                   SOLE          1         338         0         0
PREMIUM INCOME
NUVEEN MUNICIPAL              67062W103        52       3529                   SOLE          1        3529         0         0
MARKET OPP
OKLAHOMA GAS &                670837103        21       1000    SH             SOLE          1        1000         0         0
ELEC ENERGY CORP
NUVEEN MUN VALUE              670928100        17       1800                   SOLE          1        1800         0         0
FD INC
NUVEEN QUALITY                670977107         7        500    SH             SOLE          1         500         0         0
INCOME MUNI
NUVEEN PREMIER                670988104        24       1565    SH             SOLE          1        1565         0         0
MUNICIPAL INC
OSI                COM        671040103         0          5    SH             SOLE          1           5         0         0
PHARMACEUTICALS
INC
OCCIDENTAL PETE               674599105        16        500    SH             SOLE          1         500         0         0
COR DEL
OCWEN FINANCIAL               675746101         3        880    SH             SOLE          1         880         0         0
CORP
OFFICEMAX INC                 67622M108         6       1000    SH             SOLE          1        1000         0         0
OHIO CASUALTY                 677240103         2        225    SH             SOLE          1         225         0         0
CORP
OLIN CORP                     680665205         2        166    SH             DEFINED       1         166         0         0
OMNICOM GROUP                 681919106        21        300    SH             SOLE          1         300         0         0
ORACLE SYSTEMS                68389X105       130      10840    SH             SOLE          1        6875         0      3965
CORP
PNC BANK CORP                 693475105         1         29    SH             SOLE          1          29         0         0






                                                                                                VOTING AUTHORITY
                    TITLE OF              VALUE     SHRS OR  SH/  PCT/  INVESTMENT   OTHER    --------------------
 NAMES OF ISSUER     CLASS      CUSIP    [X$1000]   PRN AMT  PRN  CALL  DISCRETION  MANAGERS  SOLE    SHARED  NONE
 ---------------   ---------    -----    --------   -------  ---  ----  ----------  --------  -----   ------  ----
                                                                             
PPG INDUSTRIES                693506107      31        626   SH          SOLE          1        626       0      0
INC
PACTIV COPR                   695257105      32       1647   SH          SOLE          1       1647       0      0
PAYCHEX INC                   704326107       4        150   SH          SOLE          1        150       0      0
PCCW LTD           SONSORED   70454G207       3        494   SH          DEFINED       1        494       0      0
                   ADR
PENNEY J C INC     COM        708160106       2        120   SH          SOLE          1        120       0      0
PEOPLES ENERGY     COM        711030106      21        500   SH          DEFINED       1        500       0      0
CORP
PEOPLES HLDG CO    COM        711148106      16        367   SH          SOLE          1        367       0      0
PEOPLES HLDG CO    COM        711148106      22        500   SH          DEFINED       1        500       0      0
PEPCO HLDGS INC               713291102       8        457   SH          SOLE          1        457       0      0
PEPSIAMERICAS INC             71343P200      50       4000   SH          SOLE          1       4000       0      0
PEPSICO INC        COM        713448108    1506      33846   SH          SOLE          1      33846       0      0
PEPSICO INC        COM        713448108      94       2130   SH          DEFINED       1        430    1100    600
PFIZER INC                    717081103    3198      93676   SH          SOLE          1      93676       0      0
PFIZER INC                    717081103     184       5417   SH          DEFINED       1       3817       0   1600
PHELPS DODGE CORP  COM        717265102       0         20   SH          SOLE          1         20       0      0
PHELPS DODGE CORP  COM        717265102      19        500   SH          DEFINED       1        500       0      0
THE PHOENIX                   71902E109       9       1051   SH          SOLE          1       1051       0      0
COMPANIES
PLACER DOME INC               725906101       2        170   SH          SOLE          1        170       0      0
POPE & TALBOT                 732827100       2        220   SH          SOLE          1        220       0      0
INC DELAWARE
POTLATCH CORP      COM        737628107       3        150   SH          SOLE          1        150       0      0
POWER                         739363109       4        665   SH          SOLE          1        665       0      0
TECHNOLOGIES
PRAXAIR INC        COM        74005P104      18        300   SH          DEFINED       1        300       0      0
PRINCIPAL                     74251V102      87       2713   SH          SOLE          1       2713       0      0
FINANCIAL GROUP
PROCTER & GAMBLE   COM        742718109    1127      12641   SH          SOLE          1      11421       0   1220
CO
PROCTER & GAMBLE   COM        742718109     124       1400   SH          DEFINED       1       1400       0      0
CO
PROGRESS ENERGY    COM        743263105      10        232   SH          SOLE          1        232       0      0
INC
PRUDENTIAL                    744320102     126       3773   SH          SOLE          1       3773       0      0
FINANCIAL
PUBLIC SVC                    744573106       1         34   SH          SOLE          1         34       0      0
ENTERPRISE GROUP
INC
PUBLIC STORAGE,    REIT       74460D109       6        180   SH          SOLE          1        180       0      0
INC
PUTNAM MANAGED                746823103       4        500               DEFINED       1          0       0    500
MUNICIPAL INCOME
TRUST
QLOGIC CORP        COM        747277101      62       1303   SH          SOLE          1       1303       0      0
QUALCOMM INC                  747525103       7        200   SH          SOLE          1        200       0      0
QUANTA SERVICES,              74762E102       5        730   SH          SOLE          1        730       0      0
INC
QWEST              COM        749121109       9       2049   SH          SOLE          1       2049       0      0
COMMUNICATIONS
INTL INC
RFS HOTEL                     74955J108      12       1000   SH          SOLE          1       1000       0      0
INVESTORS
RH DONNELLEY CORP             74955W307       2        60    SH          SOLE          1         60       0      0
RALCORP HOLDINGS   NEW COM    751028101       1        66    SH          DEFINED       1          0       0     66
RAYOVAC CORP                  755081106       2        180   SH          SOLE          1        180       0      0
RAYTHEON CO        NEW        755111507     167       5110   SH          SOLE          1       3430       0   1680
REED ELSEVIER      SPON ADR   758205108       2        85    SH          SOLE          1         85       0      0
PLC
REGIONS FNCL CORP             758940100     668      19800   SH          SOLE          1      18600       0   1200
REGIONS FNCL CORP             758940100      60       1786   SH          DEFINED       1          0    1786      0
RELIANT                       75952B105      10       1786   SH          SOLE          1       1786       0      0
RESOURCES INC
RELIANT                       75952B105      28       4622   SH          DEFINED       1       4622       0      0
RESOURCES INC
REMINGTON OIL &    COM        759594302      29       1600   SH          SOLE          1       1600       0      0
GAS CORP
RIO TINTO GBP                 767204100       3        40    SH          SOLE          1         40       0      0
RIVERSTONE                    769320102       0        102   SH          SOLE          1        102       0      0
NETWORKS INC
ROCKWELL INTL      NEW        773903109       4        177   SH          SOLE          1        177       0      0
CORP
ROCKWELL COLLINS              774341101       4        177   SH          SOLE          1        177       0      0
INC
ROWAN COMPANIES               779382100       3        155   SH          SOLE          1        155       0      0
INC
ROXIE INC                     780008108       0        65    SH          SOLE          1         65       0      0
ROYAL DUTCH PETE   NY REG     780257804     384       8248   SH          SOLE          1       6328       0   1920
CO                 GLD1.25
ROYAL DUTCH PETE   NY REG     780257804     149       3200   SH          DEFINED       1       3200       0      0
CO                 GLD1.25
RUBY TUESDAY INC              781182100      31       1260   SH          DEFINED       1          0       0   1260
SBC                           78387G103     968      37908   SH          SOLE          1      34578       0   3330
COMMUNICATIONS,
INC






                                                                                                VOTING AUTHORITY
                    TITLE OF              VALUE     SHRS OR  SH/  PCT/  INVESTMENT   OTHER    --------------------
 NAMES OF ISSUER     CLASS      CUSIP    [X$1000]   PRN AMT  PRN  CALL  DISCRETION  MANAGERS  SOLE    SHARED  NONE
 ---------------   ---------    -----    --------   -------  ---  ----  ----------  --------  -----   ------  ----
                                                                             
SBC                           78387G103      19        780   SH          DEFINED       1        780       0      0
COMMUNICATIONS,
INC
ST JUDE MEDICAL               790849103     311       5425   SH          SOLE          1       3780       0   1645
SANMINA CORP                  800907107       1        306   SH          SOLE          1        306       0      0
SARA LEE CORP      COM        803111103      15        800   SH          SOLE          1        800       0      0
SCANA CORP         NEW        80589M102     241       7052   SH          SOLE          1       4992       0   2060
SCHERING PLOUGH    COM        806605101     348      18734   SH          SOLE          1      18734       0      0
CORP
SCHERING PLOUGH    COM        806605101     362      19500   SH          DEFINED       1        100   19400      0
CORP
SCHLUMBERGER LTD   COM        806857108     279       5880   SH          SOLE          1       4220       0   1660
THE CHARLES                   808513105      15       1500   SH          SOLE          1       1500       0      0
SCHWAB CORP
SCRIPPS EW INC     NEW CL A   811054204      35        400   SH          SOLE          1        400       0      0
SEARS ROEBUCK &    COM        812387108      64       1920   SH          SOLE          1       1920       0      0
CO
SEARS ROEBUCK &    COM        812387108       5        167   SH          DEFINED       1        167       0      0
CO
SELIGMAN SELECT               816344105      14       1250   SH          SOLE          1       1250       0      0
MUN FD INC
SEROLOGICALS CORP             817523103       3        235   SH          SOLE          1        235       0      0
SERVICEMASTER      COM        81760N109      81       7593   SH          SOLE          1       7593       0      0
COMPANY
SHELL TRANS &      NEW YRK    822703609      71       1800   SH          DEFINED       1       1800       0      0
TRADING PLC        SH NEW
SHERWIN WILLIAMS   COM        824348106      29       1100   SH          SOLE          1       1100       0      0
CO
SIMMONS 1ST NATL   CL A $5    828730200     265      13200   SH          SOLE          1      13200       0      0
CORP               PAR
SIMMONS 1ST NATL   CL A $5    828730200      10        500   SH          DEFINED       1        500       0      0
CORP               PAR
SIMON PROPERTY                828806109     276       7095   SH          SOLE          1       4845       0   2250
GROUP INC
SIRIUS SATTELITE              82966U103      16      10000   SH          SOLE          1      10000       0      0
RADIO
SKYWORKS                      83088M102       0         61   SH          SOLE          1         61       0      0
SOLUTIONS
SMUCKER J M CO                832696405       0          3   SH          SOLE          1          3       0      0
SMURFIT-STONE                 832727101       6        495   SH          SOLE          1        495       0      0
CONTAINER CORP
SNAP ON INC                   833034101       3        120   SH          SOLE          1        120       0      0
SOLUTIA INC        COM        834376105       1        676   SH          SOLE          1        676       0      0
SONIC WALL INC                835470105       3        745   SH          SOLE          1        745       0      0
SONY CORP                     835699307      28       1000   SH          DEFINED       1       1000       0      0
SOUTHERN CO        COM        842587107     619      19889   SH          SOLE          1      19889       0      0
SOUTHERN CO        COM        842587107      80       2600   SH          DEFINED       1       2600       0      0
SOUTHWEST AIRLS    COM        844741108       8        505   SH          SOLE          1        505       0      0
CO
SPRINT CORP        COM FON    852061100     806      56000   SH          SOLE          1      56000       0      0
                   GROUP
STANCORP                      852891100       1         35   SH          SOLE          1         35       0      0
FINANCIAL GROUP
STARBUCKS CORP                855244109      18        744   SH          SOLE          1        744       0      0
STEWART                       860370105      17       4000   SH          SOLE          1       4000       0      0
ENTERPRISES
SUN LIFE                      866796105     283      13637   SH          SOLE          1      13637       0      0
FINANCIAL
SUN MICROSYSTEMS              866810104       7       1700   SH          SOLE          1       1700       0      0
SUNGARD DATA                  867363103     253       9800   SH          SOLE          1       9800       0      0
SYSTEMS
SUNOCO INC                    86764P109      37       1000   SH          SOLE          1       1000       0      0
SUNTRUST BANKS     COM        867914103      67       1145   SH          SOLE          1       1145       0      0
INC
SYNOVUS FINL CORP             87161C105      24       1125   SH          SOLE          1       1125       0      0
TDC A/S            SPONSORED  87236N102       3        210   SH          SOLE          1        210       0      0
                   ADR
TECO ENERGY INC    COM        872375100       3        300   SH          SOLE          1        300       0      0
TXU CORP                      873168108      78       3500   SH          SOLE          1       3500       0      0
TARGET CORP                   87612E106     321       8500   SH          SOLE          1       6560       0   1940
TARGET CORP                   87612E106      15        400   SH          DEFINED       1        400       0      0
TELEFONICA SA      SPONSORED  879382208       3         90   SH          SOLE          1         90       0      0
                   ADR
TELLABS INC                   879664100       5        800   SH          SOLE          1        800       0      0
DELAWARE
TELLABS INC                   879664100       1        200   SH          DEFINED       1        200       0      0
DELAWARE
TENNECO                       880349105       0        150   SH          SOLE          1        150       0      0
AUTOMOTIVE NW
TEVA               ADR'S      881624209       3         60   SH          SOLE          1         60       0      0
PHARMACEUTICAL
IND
TEXAS GENCO        .          882443104       0         37   SH          SOLE          1         37       0      0
HOLDINGS INC
TEXAS GENCO                   882443104       2        128   SH          DEFINED       1        128       0      0
HOLDINGS INC.
TEXAS INSTRUMENTS             882508104      21       1200   SH          SOLE          1       1200       0      0
TEXTRON                       883203101     230       5908   SH          SOLE          1       3663       0   2245
INCORPORATED COMM






                                                                                                VOTING AUTHORITY
                    TITLE OF              VALUE     SHRS OR  SH/  PCT/  INVESTMENT   OTHER    --------------------
 NAMES OF ISSUER     CLASS      CUSIP    [X$1000]   PRN AMT  PRN  CALL  DISCRETION  MANAGERS  SOLE    SHARED  NONE
 ---------------   ---------    -----    --------   -------  ---  ----  ----------  --------  -----   ------  ----
                                                                             
THOMAS & BETTS     COM        884315102       2         200  SH          SOLE          1        200       0      0
CORP
THORNBURG                     885218107       7         300  SH          SOLE          1        300       0      0
MORTGAGE INC
3M CO                         88579Y101     325        2526  SH          SOLE          1       2161       0    365
TIDEWATER INC                 886423102       3         110  SH          SOLE          1        110       0      0
TIFFANY & CO       NEW        886547108      71        2200  SH          SOLE          1       2200       0      0
TOTAL FINA ELF S.  A. ADR     89151E109       3          40  SH          SOLE          1         40       0      0
TOYOTA MOTOR       ADR NEW    892331307       3          60  SH          SOLE          1         60       0      0
CORP
TRAVELERS          CL A       89420G109       3         245  SH          SOLE          1        245       0      0
PROPERTY
CASUALTY CORP
TRAVELERS          CL A       89420G109       5         350  SH          DEFINED       1        350       0      0
PROPERTY
CASUALTY CORP
TRAVELERS          CL B COM   89420G406       9         581  SH          SOLE          1        581       0      0
CORPORATION
TRAVELERS          CL B COM   89420G406      11         720  SH          DEFINED       1        720       0      0
CORPORATION
TRIBUNE COMPANY               896047107      57        1200  SH          SOLE          1       1200       0      0
TRUSTMARK CORP     COM        898402102     618       24288  SH          SOLE          1      24288       0      0
TRUSTMARK CORP     COM        898402102      25        1000  SH          DEFINED       1       1000       0      0
TYCO INTL LTD NEW  COM        902124106       6         350  SH          SOLE          1        350       0      0
TYSON FOODS INC    CL A       902494103       7         750  SH          SOLE          1          0       0    750
TYSON FOODS INC    CL A       902494103     159       15000  SH          DEFINED       1      15000       0      0
UST INC            COMMON     902911106       1          50  SH          SOLE          1         50       0      0
                   STOCK
USA TRUCK INC                 902925106     778       86498  SH          SOLE          1      86498       0      0
-RESTRICTED
US BANCORP         DEL NEW    902973304       2          82  SH          SOLE          1         82       0      0
US UNWIRED INC                90338R104       2        5000  SH          SOLE          1       5000       0      0
ULTRATECH                     904034105       3         215  SH          SOLE          1        215       0      0
STEPPER INC
UNIFI INC                     904677101       3         605  SH          SOLE          1        605       0      0
UNION PACIFIC                 907818108      12         222  SH          SOLE          1        222       0      0
CORP
UNION PACIFIC                 907818108     229        3950  SH          DEFINED       1        150    3800      0
CORP
UNION PLANTERS                908068109    1109       35764  SH          SOLE          1      35764       0      0
CORP
UNION PLANTERS     CONV PFD   908068307      60        1000  SH          SOLE          1       1000       0      0
CORP               SER E 8%
UNITED                        913004107       5         140  SH          SOLE          1        140       0      0
STATIONERS INC
VERIZON                       92343V104    1126       28553  SH          SOLE          1      25953       0   2600
COMMUNICATIONS
VERIZON                       92343V104     108        2744  SH          DEFINED       1       2344       0    400
COMMUNICATIONS
VIAD CORP                     92552R109       7         348  SH          SOLE          1        348       0      0
VIACOM INC         CL B       925524308     117        2696  SH          SOLE          1       2696       0      0
VIACOM INC         CL B       925524308      14         325  SH          DEFINED       1        325       0      0
VISTEON CORP                  92839U107       0          75  SH          SOLE          1         75       0      0
VODAFONE GROUP     NEW        92857W100      83        4259  SH          SOLE          1       4259       0      0
PLC
W.P.CAREY & CO.,              92930Y107      74        2474  SH          SOLE          1       2474       0      0
LLC
WACHOVIA CORP      2ND NEW    929903102     432       10830  SH          SOLE          1      10830       0      0
WACHOVIA CORP      2ND NEW    929903102      19         500  SH          DEFINED       1        500       0      0
WAL MART STORES    COM        931142103    2528       47117  SH          SOLE          1      43852       0   3265
INC
WAL MART STORES    COM        931142103     246        4586  SH          DEFINED       1       1486    3000    100
INC
WALGREEN CO        COM        931422109     240        7989  SH          SOLE          1       6004       0   1985
WASHINGTON                    939322103      26         649  SH          SOLE          1        649       0      0
MUTUAL INC
WASTE MANAGEMENT   NEW        94106L109     141        5893  SH          SOLE          1       3738       0   2155
INC
WASTE MANAGEMENT   NEW        94106L109       0           1  SH          DEFINED       1          0       0      1
INC
WATSON WYATT &     CLASS A    942712100       3         170  SH          SOLE          1        170       0      0
CO HLDGS
WEBSTER                       947890109       3          90  SH          SOLE          1         90       0      0
FINANCIAL CORP
WEINGARTEN RLTY    SH BEN     948741103      62        1500  SH          SOLE          1       1500       0      0
INVS               INT
WELLS FARGO &      NEW        949746101     277        5515  SH          SOLE          1       5515       0      0
CO.
WELLS FARGO &      NEW        949746101      10         200  SH          DEFINED       1        200       0      0
CO.
WESTAR ENERGY INC             95709T100       3         200  SH          SOLE          1        200       0      0
WEYERHAEUSER CO    COM        962166104     205        3800  SH          SOLE          1       3800       0      0
WHITNEY HOLDING    COMMON     966612103     101        3180  SH          SOLE          1       3180       0      0
CORP
WILD OATS MKTS                96808B107       4         390  SH          SOLE          1        390       0      0
INC
WILLIAMS COMPANY   COMMON     969457100      13        1757  SH          SOLE          1       1757       0      0
WE WRIGLEY JR.                982526105      11         200  SH          SOLE          1        200       0      0
COMPANY
WYETH                         983024100     363        7985  SH          SOLE          1       6795       0   1190
WYETH                         983024100      13         300  SH          DEFINED       1        300       0      0






                                                                                                 VOTING AUTHORITY
                    TITLE OF              VALUE     SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ----------------------
 NAMES OF ISSUER     CLASS      CUSIP    [X$1000]   PRN AMT  PRN  CALL  DISCRETION  MANAGERS  SOLE    SHARED   NONE
 ---------------   ---------    -----    --------   -------  ---  ----  ----------  --------  -----   ------  ------
                                                                             
XM SATELLITE                  983759101     274       25000  SH          SOLE          1      25000       0        0
XCEL ENERGY INC               98389B100      32        2154  SH          SOLE          1       2154       0        0
XILINX INC                    983919101       2         100  SH          SOLE          1        100       0        0
YANKEE CANDLE CO              984757104       4         175  SH          SOLE          1        175       0        0
INC
YUM BRANDS INC                988498101      77        2626  SH          SOLE          1       2626       0        0
ZOLL MEDICAL CORP             989922109       3         115  SH          SOLE          1        115       0        0
ALLIANCE BER
TECHNOLOGY         CL A        18780106     245       5,492  SH          SOLE                     0       0    5,492
ALLIANT
TECHSYSTEMS INC                18804104      11         210  SH          SOLE                     0       0      210
ALLSTATE                       20002101       5         150  SH          SOLE                     0       0      150
CORP
ALLTEL CORP NEW                20039103       6         125  SH          SOLE                     0       0      125
AMER INTL GROUP
INC                            26874107       4          67  SH          SOLE                     0       0       67
AMGEN INC                      31162100       5          75  SH          SOLE                     0       0       75
AMSOUTH
BANCORP                        32165102     301      13,724  SH          SOLE                     0       0   13,724
AMSOUTH LARGE      EQUITY
CAP                CLASS
                   A           32168288      56       3,498  SH          SOLE                     0       0    3,498
AUTOMATIC DATA                 53015103       3         100  SH          SOLE                     0       0      100
PROCESSING
INC
BANCORPSOUTH                   59692103     254      12,373  SH          SOLE                     0       0   12,373
INC
BANK OF                        60505104      12         150  SH          SOLE                     0       0      150
AMERICA
BERKSHIRE          DEL CL      84670207      24          10  SH          SOLE                     0       0       10
HATHAWAY  INC      B
BEST BUY INC                   86516101       9         210  SH          SOLE                     0       0      210
BJURMAN MICRO                  91794206      23         892  SH          SOLE                     0       0      892
CAP
CALAMOS GROWTH                128119302     412      11,165  SH          SOLE                     0       0   11,165
CLASS
CITIGROUP INC                 172967101      97       2,250  SH          SOLE                     0       0    2,250
COCA COLA CO                  191216100      56       1,200  SH          SOLE                     0       0    1,200
DISNEY WALT CO                254687106       4         200  SH          SOLE                     0       0      200
DEL
E M C CORP                    268648102       9         900  SH          SOLE                     0       0      900
MASS
EATON VANCE TAX   CLASS B     277911848      34       1,982  SH          SOLE                     0       0    1,982
MGD
AMERICAN          CLASS       298706409      13         535  SH          SOLE                     0       0      535
EUROPACIFIC       F
GENERAL                       369550108       8         110  SH          SOLE                     0       0      110
DYNAMICS CRP
GENERAL                       369604103     217       7,585  SH          SOLE                     0       0    7,585
ELECTRIC CO
GENERAL MOTORS                370442105       9         240  SH          SOLE                     0       0      240
CORP
HARTFORD MID      CLASS A     416645711      65       3,555  SH          SOLE                     0       0    3,555
CAP
HEWLETT-PACKARD               428236103      11         540  SH          SOLE                     0       0      540
CO
HOME DEPOT                    437076102       4         127  SH          SOLE                     0       0      127
INC
INTEL CORP                    458140100      88       4,280  SH          SOLE                     0       0    4,280
ISHARES TR DOW                464287788     242       3,157  SH          SOLE                     0       0    3,157
JONES
JOHNSON &                     478160104      14         274  SH          SOLE                     0       0      274
JOHNSON
L-3                           502424104      12         280  SH          SOLE                     0       0      280
COMMUNICATIONS
LIBERTY SMALL      CL A       531273373      43       2,994  SH          SOLE                     0       0    2,994
CAP
LUCENT TECH                   549463107       1         500  SH          SOLE                     0       0      500
INC
MAGNA-LAB INC      CL A       559235106       0       2,000  SH          SOLE                     0       0    2,000
MATTHEWS           TIGER      577130107      14       1,474  SH          SOLE                     0       0    1,474
PACIFIC            FUND
MICROSOFT                     594918104      44       1,734  SH          SOLE                     0       0    1,734
CORP
NASDAQ 100 TR                 631100104       4         150  SH          SOLE                     0       0      150
NOKIA CORP                    654902204       2         100  SH          SOLE                     0       0      100
ADR
PEOPLES HLDG       TUPELO     711148106      62       1,439  SH          SOLE                     0       0    1,439
CO                 MS
PFIZER INC                    717081103      16         468  SH          SOLE                     0       0      468
PITNEY BOWES                  724479100       8         200  SH          SOLE                     0       0      200
INC
PROCTER &                     742718109     131       1,470  SH          SOLE                     0       0    1,470
GAMBLE CO
RF MICRO                      749941100       2         400  SH          SOLE                     0       0      400
DEVICES INC
SUN                           866810104       3         600  SH          SOLE                     0       0      600
MICROSYSTEMS INC
SYBRON DENTAL                 871142105       2          83  SH          SOLE                     0       0       83
COM
TAIWAN                        874039100       6         630  SH          SOLE                     0       0      630
SEMICONDUCTOR
TEXAS                         882508104       5         300  SH          SOLE                     0       0      300
INSTRUMENTS INC
TYCO INTL LTD                 902124106       2          80  SH          SOLE                     0       0       80
NEW
US BANCORP         COM NEW    902973304       5         215  SH          SOLE                     0       0      215
DEL
WAL-MART STORES               931142103       5         100  SH          SOLE                     0       0      100
INC
WALGREEN                      931422109       5         150  SH          SOLE                     0       0      150
COMPANY
WEITZ                         949045108     338      10,556  SH          SOLE                     0       0   10,556
VALUE
ALTRIA GROUP                  02209S103       9         200  SH          SOLE                     0       0      200
INC
APOGENT                       03760A101       5         250  SH          SOLE                     0       0      250
TECHNOLOGIES
CISCO SYS INC                 17275R102       8         500  SH          SOLE                     0       0      500






                                                                                                      VOTING AUTHORITY
                    TITLE OF              VALUE      SHRS OR    SH/  PCT/  INVESTMENT   OTHER    --------------------------
 NAMES OF ISSUER     CLASS      CUSIP    [X$1000]    PRN AMT    PRN  CALL  DISCRETION  MANAGERS    SOLE    SHARED    NONE
 ---------------   ---------    -----    --------   ----------  ---  ----  ----------  --------  -------  --------  -------
                                                                                   
JDS UNIPHASE                  46612J101       1            250  SH            SOLE                     0       0        250
CORP
JUNIPER                       48203R104       1            100  SH            SOLE                     0       0        100
NETWORKS
MERISTAR           CORP       58984Y103       4            847  SH            SOLE                     0       0        847
HOSPITALITY
MISSISSIPPI ST     BDS SER.   6055795R8     570        500,000  SH            SOLE                     0       0    500,000
G.O.               1996
NAUTILUS GROUP                63910B102       4            300  SH            SOLE                     0       0        300
INC
TRAVELERS PPTY     NEW CL A   89420G109       0             10  SH            SOLE                     0       0         10
CAS  CORP
TRAVELERS PPTY     NEW CL B   89420G406       0             22  SH            SOLE                     0       0         22
CAS  CORP
WORLDCOM INC       COM        98157D106       0          1,095  SH            SOLE                     0       0      1,095
WORLDCOM GROUP
WORLDCOM INC GA               98157D304       0             55  SH            SOLE                     0       0         55
(MCI
AMDOCS                        G02602103       8            325  SH            SOLE                     0       0        325
LIMITED
FLEXTRONICS                   Y2573F102       6            600  SH            SOLE                     0       0          0
INTL. INC
                                         ------     ----------                                   -------  -------   -------
GRAND TOTALS                             413687     11,586,476                                   7787992  3030812   749,168
                                         ======     ==========                                   =======  =======   =======