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

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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2011

Check here if Amendment [_]; Amendment Number:__________________

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

Institutional Investment Manager Filing this Report:

Name:    BancorpSouth Inc.

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



Form 13F File Number: 28-10453

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Cathy S. Freeman

Title:   Executive Vice President and Corporate Secretary

Phone:   (662) 680-2084


Signature Place and Date of Signing:

 /s/ Cathy S. Freeman         Tupelo Mississippi          January 12, 2012
_______________________    ________________________    _______________________
      [Signature]                [City State]                  [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager: None.

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



                             FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:      1

Form 13F Information Table Entry Total: 284

Form 13F Information Table Value Total: $896,838
                                             (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



                          FORM 13F INFORMATION TABLE



                                                             INVESTMENT
                                                             DISCRETION    ** VOTING AUTHORITY **
                                                          ---------------- ----------------------
                                   MKT
                                   VAL   SHARES/
NAME OF        TITLE OF             X      PRN   SH/ PUT/ SOLE SHR OTH OTH  SOLE   SHARED  NONE
ISSUER          CLASS      CUSIP   1000    AMT   PRN CALL (A)  (B) (C) MGR  (A)     (B)    (C)
-------        --------- --------- ----- ------- --- ---- ---- --- --- --- ------- ------ -------
                                                   
COOPER
 INDUSTRIES
 PLC.......... SHS       G24140108   291   5,379 SH        X            1    5,331     0       48
HERBALIFE      COM USD
 LTD.......... SHS       G4412G101   213   4,120 SH        X            1    4,105     0       15
INGERSOLL-
 RAND PLC..... SHS       G47791101   200   6,573 SH        X            1    6,493     0       80
WILLIS GROUP
 HOLDINGS
 PUBLIC....... SHS       G96666105   224   5,766 SH        X            1    5,701     0       65
ACE LTD....... SHS       H0023R105   291   4,151 SH        X            1    4,113     0       38
CHECK POINT
 SOFTWARE
 TECH LT...... ORD       M22465104   400   7,607 SH        X            1    7,572     0       35
AERCAP
 HOLDINGS
 NV........... SHS       N00985106   155  13,732 SH        X            1   13,732     0        0
FLEXTRONICS
 INTL LTD..... ORD       Y2573F102   687 121,322 SH        X            1  120,794     0      528
AT&T INC...... COM       00206R102 1,196  39,554 SH        X            1   33,875     0    5,679
AT&T INC...... COM       00206R102   184   6,087 SH                 X   1      324 5,763        0
ABBOTT LABS... COM         2824100 1,056  18,776 SH        X            1   16,842     0    1,934
ABBOTT LABS... COM         2824100   243   4,329 SH                 X   1      112 4,217        0
AETNA INC
 NEW.......... COM       00817Y108   461  10,933 SH        X            1   10,836     0       97
AFFILIATED
 MANAGERS
 GROUP........ COM         8252108   276   2,881 SH        X            1    2,866     0       15
AIR PRODS &
 CHEMS INC.... COM         9158106   598   7,019 SH        X            1    7,019     0        0
ALLERGAN
 INC.......... COM        18490102   437   4,983 SH        X            1    4,983     0        0
ALLSCRIPTS
 HEALTHCARE
 SOLUTN....... COM       01988P108   230  12,145 SH        X            1   12,015     0      130
ALTERA CORP... COM        21441100   207   5,582 SH        X            1    5,582     0        0
ALTRIA GROUP
 INC.......... COM       02209S103   604  20,367 SH        X            1   14,919     0    5,448
ALTRIA GROUP
 INC.......... COM       02209S103    26     869 SH                 X   1      295   574        0
AMERICAN
 EXPRESS
 CO........... COM        25816109   632  13,394 SH        X            1   13,394     0        0
AMETEK INC
 NEW.......... COM        31100100   227   5,401 SH        X            1    5,401     0        0
AMGEN INC..... COM        31162100   508   7,918 SH        X            1    7,918     0        0
APACHE
 CORP......... COM        37411105   660   7,291 SH        X            1    7,253     0       38
APPLE INC..... COM        37833100 1,018   2,514 SH        X            1    2,514     0        0
APPLIED MATLS
 INC.......... COM        38222105   377  35,241 SH        X            1   34,891     0      350
ARCHER
 DANIELS
 MIDLAND
 CO........... COM        39483102   511  17,883 SH        X            1   17,753     0      130
ASTRAZENECA    SPONSORED
 PLC.......... ADR        46353108   477  10,295 SH        X            1    6,794     0    3,501
ASTRAZENECA    SPONSORED
 PLC.......... ADR        46353108    23     501 SH                 X   1      170   331        0
ATMEL CORP.... COM        49513104   161  19,818 SH        X            1   19,583     0      235
AUTODESK
 INC.......... COM        52769106   220   7,250 SH        X            1    7,250     0        0
BCE INC....... COM NEW   05534B760   303   7,269 SH        X            1    4,464     0    2,805
BCE INC....... COM NEW   05534B760    24     571 SH                 X   1      193   378        0
BP PLC........ SPONSORED
               ADR        55622104   244   5,700 SH        X            1    5,550     0      150
BP PLC........ SPONSORED
               ADR        55622104   120   2,800 SH                 X   1    2,800     0        0
BAKER HUGHES
 INC.......... COM        57224107   271   5,573 SH        X            1    5,528     0       45
BANCORPSOUTH
 INC.......... COM        59692103 9,767 886,279 SH        X            1  764,345     0  121,934






                                                               INVESTMENT
                                                               DISCRETION    ** VOTING AUTHORITY **
                                                            ---------------- --------------------
                                     MKT
                                     VAL   SHARES/
NAME OF         TITLE OF              X      PRN   SH/ PUT/ SOLE SHR OTH OTH  SOLE     SHARED NONE
ISSUER           CLASS      CUSIP    1000    AMT   PRN CALL (A)  (B) (C) MGR  (A)       (B)   (C)
-------         --------- --------- ------ ------- --- ---- ---- --- --- --- -------   ------ -----
                                                       
BANCORPSOUTH
 INC........... COM        59692103    123  11,192 SH                 X   1    8,600   2,592      0
BANK OF THE
 OZARKS INC.... COM        63904106  3,559 120,102 SH        X            1  120,102       0      0
BANK OF NEW
 YORK MELLON
 CORP.......... COM        64058100    233  11,721 SH        X            1   11,599       0    122
BARON INVT FDS  SMALL
 TR............ CAP FD     68278308    204   8,912 SH        X            1        0       0  8,912
BAXTER INTL
 INC........... COM        71813109    535  10,820 SH        X            1   10,764       0     56
BERKSHIRE
 HATHAWAY
 INC DEL....... CL B NEW   84670702    868  11,371 SH        X            1   11,371       0      0
BRISTOL MYERS
 SQUIBB CO..... COM       110122108    604  17,153 SH        X            1   12,167       0  4,986
BRISTOL MYERS
 SQUIBB CO..... COM       110122108     27     764 SH                 X   1      260     504      0
CVS CAREMARK
 CORPORATION... COM       126650100    405   9,942 SH        X            1    9,843       0     99
CATERPILLAR
 INC DEL....... COM       149123101    426   4,701 SH        X            1    4,701       0      0
CELGENE
 CORP.......... COM       151020104    543   8,037 SH        X            1    8,037       0      0
CENTURYLINK
 INC........... COM       156700106    289   7,764 SH        X            1    5,192       0  2,572
CENTURYLINK
 INC........... COM       156700106     20     525 SH                 X   1      178     347      0
CHEVRON CORP
 NEW........... COM       166764100  2,022  19,003 SH        X            1   18,321       0    682
CHEVRON CORP
 NEW........... COM       166764100    774   7,271 SH                 X   1    7,228      43      0
CITIZENS HLDG
 CO MISS....... COM       174715102  2,785 158,987 SH        X            1  158,987       0      0
1CITRIX SYS
 INC........... COM       177376100    264   4,346 SH        X            1    4,321       0     25
CLIFFS NATURAL
 RESOURCES
 INC........... COM       18683K101    380   6,089 SH        X            1    6,089       0      0
COACH INC...... COM       189754104    269   4,410 SH        X            1    4,410       0      0
COCA COLA
 CO............ COM       191216100    634   9,063 SH        X            1    8,570       0    493
COCA COLA
 CO............ COM       191216100    343   4,900 SH                 X   1    4,834      66      0
COLGATE
 PALMOLIVE
 CO............ COM       194162103    257   2,781 SH        X            1    2,781       0      0
COLUMBIA        INTL
 ACORN TR...... SELECT Z  197199763    392  16,040 SH        X            1    8,946       0  7,094
COLUMBIA FDS    LARGECAP
 SER TR........ VAL Z     19765H149    492  46,957 SH        X            1   46,957       0      0
COLUMBIA FDS    MARS
 SER TR........ GRWTH Z   19765H180    661  32,394 SH        X            1   32,394       0      0
COLUMBIA FDS    INTL VAL
 SER TR........ CL Z      19765H586    177  14,651 SH        X            1   14,651       0      0
COLUMBIA FDS    SMALL
 SER TR........ COS Z     19765J723    144  12,512 SH        X            1   12,512       0      0
COLUMBIA FDS    SMLCP
 SER TR........ VAL II Z  19765J764    157  11,757 SH        X            1   11,757       0      0
CONCHO RES
 INC........... COM       20605P101    413   4,409 SH        X            1    4,409       0      0
CONOCOPHILLIPS. COM       20825C104    600   8,234 SH        X            1    6,409       0  1,825
CONOCOPHILLIPS. COM       20825C104     20     281 SH                 X   1       96     185      0
MONTGOMERY
 EXPLORATION
 10.87.........           216000992    228       1 SH        X            1        1       0      0
CORNING INC.... COM       219350105    337  25,940 SH        X            1   25,753       0    187
DWS VALUE SER   SMCP
 INC........... VALF INST 23338F754 14,399 440,615 SH        X            1  437,146       0  3,469
DWS VALUE SER   SMCP
 INC........... VALF INST 23338F754    112   3,425 SH                 X   1    3,085     340      0
DANAHER CORP
 DEL........... COM       235851102    380   8,084 SH        X            1    8,084       0      0






                                                                    INVESTMENT
                                                                    DISCRETION     ** VOTING AUTHORITY **
                                                                 ---------------- ------------------------
                                        MKT
                                        VAL    SHARES/
                   TITLE OF              X       PRN    SH/ PUT/ SOLE SHR OTH OTH   SOLE    SHARED   NONE
NAME OF ISSUER      CLASS      CUSIP    1000     AMT    PRN CALL (A)  (B) (C) MGR   (A)      (B)     (C)
--------------    ---------- --------- ------ --------- --- ---- ---- --- --- --- --------- ------- ------
                                                             
DEERE & CO....... COM        244199105  1,087    14,049 SH        X            1     14,049       0      0
DELTIC TIMBER
 CORP............ COM        247850100    382     6,324 SH        X            1      6,324       0      0
DELTIC TIMBER
 CORP............ COM        247850100 25,107   415,743 SH                 X   1          0 415,743      0
DENBURY RES
 INC............. COM NEW    247916208    213    14,105 SH        X            1     14,105       0      0
DEVON ENERGY
 CORP NEW........ COM        25179M103    339     5,475 SH        X            1      5,423       0     52
DODGE & COX STK
 FD.............. COM        256219106 28,270   278,137 SH        X            1    275,886       0  2,251
DODGE & COX STK
 FD.............. COM        256219106    231     2,272 SH                 X   1      2,027     245      0
DOLLAR TREE
 INC............. COM        256746108    567     6,818 SH        X            1      6,818       0      0
DOMINION RES INC
 VA NEW.......... COM        25746U109    367     6,910 SH        X            1      4,732       0  2,178
DOMINION RES INC
 VA NEW.......... COM        25746U109     17       325 SH                 X   1        110     215      0
DUKE ENERGY
 CORP NEW........ COM        26441C105    460    20,892 SH        X            1     15,741       0  5,151
DUKE ENERGY
 CORP NEW........ COM        26441C105     23     1,054 SH                 X   1        358     696      0
E M C CORP
 MASS............ COM        268648102    481    22,323 SH        X            1     22,323       0      0
ERHC ENERGY
 INC............. COM        26884J104      1    10,000 SH        X            1     10,000       0      0
EATON CORP....... COM        278058102    243     5,575 SH        X            1      5,514       0     61
EMERSON ELEC
 CO.............. COM        291011104    413     8,867 SH        X            1      8,867       0      0
EXPRESS SCRIPTS
 INC............. COM        302182100    904    20,221 SH        X            1     20,166       0     55
EXXON MOBIL
 CORP............ COM        30231G102  5,123    60,442 SH        X            1     52,739   6,926    777
EXXON MOBIL
 CORP............ COM        30231G102  1,240    14,630 SH                 X   1      6,030   8,600      0
FEDERATED         INTRCONTL
 EQUITY FDS...... INST       314172461 16,750   406,458 SH        X            1    403,313       0  3,145
FEDERATED         INTRCONTL
 EQUITY FDS...... INST       314172461    130     3,155 SH                 X   1      2,633     522      0
FEDERATED         STRG VAL          ST
 EQUITY FDS...... DV IN      314172560     62    12,723 SH        X            1     12,723       0      0
F5 NETWORKS
 INC............. COM        315616102    208     1,964 SH        X            1      1,939       0     25
FIDELITY
 CONTRAFUND       NEW
 INC............. INSIGHTS I 316071604 41,189 2,063,568 SH        X            1  2,047,662       0 15,906
FIDELITY
 CONTRAFUND       NEW
 INC............. INSIGHTS I 316071604    319    15,998 SH                 X   1     14,624   1,374      0
FIDELITY PURITAN  LOW PRICE
 TR.............. STK        316345305 14,712   411,765 SH        X            1    407,932       0  3,833
FIDELITY PURITAN  LOW PRICE
 TR.............. STK        316345305    172     4,809 SH                 X   1      4,181     628      0
FIRSTENERGY
 CORP............ COM        337932107    214     4,831 SH        X            1      4,831       0      0
GAZPROM O A O.... SPON ADR   368287207    156    14,669 SH        X            1     14,669       0      0
GENERAL
 ELECTRIC CO..... COM        369604103    676    37,730 SH        X            1     36,130       0  1,600
GENERAL MLS
 INC............. COM        370334104    259     6,404 SH        X            1      6,404       0      0
GILEAD SCIENCES
 INC............. COM        375558103    313     7,641 SH        X            1      7,641       0      0
GLAXOSMITHKLINE   SPONSORED
 PLC............. ADR        37733W105    365     8,007 SH        X            1      4,734       0  3,273
GLAXOSMITHKLINE   SPONSORED
 PLC............. ADR        37733W105     27       597 SH                 X   1        202     395      0
GOOGLE INC....... CL A       38259P508    437       677 SH        X            1        677       0      0
RESTER
 ENTERPRISES LP
 5% INT..........            404005993    216         1 SH        X            1          1       0      0
RESTER
 ENTERPRISES LP
 8% INT..........            405002999    346         1 SH        X            1          1       0      0






                                                                INVESTMENT
                                                                DISCRETION    ** VOTING AUTHORITY **
                                                             ---------------- ----------------------
                                      MKT
                      TITLE           VAL   SHARES/
                       OF              X      PRN   SH/ PUT/ SOLE SHR OTH OTH  SOLE   SHARED  NONE
NAME OF ISSUER        CLASS   CUSIP   1000    AMT   PRN CALL (A)  (B) (C) MGR  (A)     (B)    (C)
--------------        ----- --------- ----- ------- --- ---- ---- --- --- --- ------  ------  -----
                                                       
HALLIBURTON CO.......  COM  406216101   774 22,437  SH        X            1  22,330     0      107
RESTER ENTERPRISES
 LP 8% INT...........       407000991   346      1  SH        X            1       1     0        0
DAVIS FAMILY
 HOLDINGS LP.........       419002993   880      0  SH        X            1       0     0        0
1HEINZ H J CO........  COM  423074103   417  7,714  SH        X            1   4,577     0    3,137
HEINZ H J CO.........  COM  423074103    27    501  SH                 X   1     168   333        0
HESS CORP............  COM  42809H107   344  6,054  SH        X            1   5,993     0       61
KEY COLONY...........       430004994   568      1  SH                 X   1       0     1        0
JOHNSTON
 ENTERPRISES, L.P....       432004992 1,380     54  SH        X            1      54     0        0
GURDON TIMBER LTD
 36.494%.............       434002994   417      1  SH        X            1       1     0        0
WOODLAND HILLS
 LIMITED PARTN.......       435001995   220     25  SH        X            1      25     0        0
SUNNYDALE LIMITED
 PARTNERSHI..........       436001994 1,558     88  SH        X            1      88     0        0
WEH PROPERTIES
 LIMITED PARTN.......       436002992   410     86  SH        X            1      86     0        0
CRICKET LIMITED
 PARTNERSHIP.........       436003990   889     28  SH        X            1      28     0        0
MCM TIMBER 3.021%
 INTEREST............       438002990   255      1  SH        X            1       1     0        0
MCM TIMBER 3.020%
 INTEREST............       438003998   255      1  SH        X            1       1     0        0
HONEYWELL INTL
 INC.................  COM  438516106   435  8,004  SH        X            1   7,935     0       69
OAK GROVE LAND CO,
 L.P. 12.5...........       440000990   294      3  SH        X            1       3     0        0
REED HOLDINGS
 PARTNERSHIP, L......       441002995 1,240     71  SH        X            1      71     0        0
HOSPIRA INC..........  COM  441060100   233  7,680  SH        X            1   7,597     0       83
HOSPIRA INC..........  COM  441060100    12    400  SH                 X   1       0   400        0
MCM TIMBER 12%
 INTEREST............       442000998 1,012      1  SH        X            1       1     0        0
CABEARK, LP 35.4444%
 INTERES.............       443003991 1,431      1  SH        X            1       1     0        0
DCT OPERATING
 PARTNERSHIP.........       443004999   553 75,518  SH        X            1  75,518     0        0
CABEARK, LP 63.5556%
 INTERES.............       444003990 2,527      1  SH        X            1       1     0        0
CABE-LONG
 PROPERTIES, LTD.....       444005995   287      4  SH        X            1       4     0        0
MCMILLON
 PROPERTIES L/P......       445000995 2,152     96  SH        X            1      96     0        0
CABE-LONG
 PROPERTIES, LTD.....       445001993 1,580      4  SH        X            1       4     0        0
CABE-LONG
 PROPERTIES, LTD.....       445003999   533      1  SH        X            1       1     0        0
1.08% LLC INTEREST
 IN..................       448005991   300      1  SH        X            1       1     0        0
TALL PINES, LLC......       449001999   963     50  SH        X            1      50     0        0
DONOVAN
 INVESTMENTS,
 LLC.................       449003995 4,618     99  SH        X            1      99     0        0
TPH ENERGY EQUITY
 FUND LP.............       450005996 1,004      1  SH                 X   1       0     1        0
LONGENECKER
 EQUITY II, LLC......       451000996 4,201     99  SH                 X   1      99     0        0






                                                                   INVESTMENT
                                                                   DISCRETION    ** VOTING AUTHORITY **
                                                                ---------------- -----------------------
                                       MKT
                                       VAL    SHARES/
                   TITLE OF             X       PRN    SH/ PUT/ SOLE SHR OTH OTH   SOLE    SHARED  NONE
NAME OF ISSUER      CLASS     CUSIP    1000     AMT    PRN CALL (A)  (B) (C) MGR   (A)      (B)    (C)
--------------     -------- --------- ------ --------- --- ---- ---- --- --- --- --------- ------ ------
                                                           
DTL, SR., L.P.....          452002991  7,355        53 SH        X            1         53     0       0
10.0% INTEREST IN
 MCM TIMBER.......          452005994  1,673         2 SH        X            1          2     0       0
ILLINOIS TOOL
 WKS INC.......... COM      452308109    270     5,787 SH        X            1      5,787     0       0
INTEL CORP........ COM      458140100    625    25,760 SH        X            1     24,460     0   1,300
INTEL CORP........ COM      458140100     78     3,200 SH                 X   1      3,200     0       0
INTERCONTINENTA...
LEXCHANGE INC..... COM      45865V100    397     3,297 SH        X            1      3,282     0      15
INTERNATIONAL
 BUSINESS
 MACHS............ COM      459200101  1,252     6,808 SH        X            1      6,808     0       0
INTUITIVE
 SURGICAL INC..... COM NEW  46120E602    248       535 SH        X            1        535     0       0
INVESTMENT CO
 AMER............. CL A     461308108    908    33,501 SH        X            1     33,501     0       0
ISHARES TR........ MSCI
                   EMERG
                   MKT      464287234    273     7,183 SH        X            1      7,183     0       0
ISHARES TR........ MSCI
                   ACWI EX  464288240    301     8,186 SH        X            1      8,186     0       0
JPMORGAN
 CHASE & CO....... COM      46625H100    247     7,441 SH        X            1      7,441     0       0
JPMORGAN
 CHASE & CO....... COM      46625H100     65     1,956 SH                 X   1          0 1,956       0
JANUS INVT FD..... GLOBAL       T
                   SEL FD   471023648    167    17,287 SH        X            1          0     0  17,287
JOHN HANCOCK       DISC VAL
 FDS III.......... MCP I    47803W406 14,648 1,297,454 SH        X            1  1,289,948     0   7,506
JOHN HANCOCK       DISC VAL
 FDS III.......... MCP I    47803W406    106     9,377 SH                 X   1      9,213   164       0
JOHNSON &
 JOHNSON.......... COM      478160104  1,517    23,130 SH        X            1     21,210     0   1,920
JOHNSON &
 JOHNSON.......... COM      478160104    386     5,890 SH                 X   1      4,499 1,391       0
JOHNSON CTLS
 INC.............. COM      478366107    323    10,336 SH        X            1     10,336     0       0
KBR INC........... COM      48242W106    325    11,658 SH        X            1     11,569     0      89
KIMBERLY CLARK
 CORP............. COM      494368103    472     6,419 SH        X            1      4,094     0   2,325
KIMBERLY CLARK
 CORP............. COM      494368103     28       385 SH                 X   1        130   255       0
KINGFISHER PLC.... SPON
                   ADR PAR  495724403    149    19,151 SH        X            1     19,151     0       0
KRAFT FOODS
 INC.............. CL A     50075N104    260     6,949 SH        X            1      5,974     0     975
LILLY ELI & CO.... COM      532457108    362     8,721 SH        X            1      4,956     0   3,765
LILLY ELI & CO.... COM      532457108     57     1,371 SH                 X   1        993   378       0
LONGLEAF
 PARTNERS FDS      SH BEN
 TR............... INT      543069108    236     8,853 SH        X            1      8,853     0       0
LORD ASSET MGMT    T WHITE
 TR............... INTL     543917108    177    11,912 SH        X            1          0     0  11,912
LOWES COS INC..... COM      548661107    228     9,000 SH        X            1      9,000     0       0
MFS SER TR I...... VALUE
                   FD CL A  552983801    210     9,379 SH        X            1          0     0   9,379
1MANULIFE FINL
 CORP............. COM      56501R106    137    12,945 SH        X            1     12,945     0       0
MCDONALDS
 CORP............. COM      580135101    761     7,589 SH        X            1      6,767     0     822
MCDONALDS
 CORP............. COM      580135101     17       172 SH                 X   1         60   112       0
MEDNAX INC........ COM      58502B106    251     3,483 SH        X            1      3,443     0      40
MEDTRONIC INC..... COM      585055106    442    11,566 SH        X            1     11,462     0     104
MERCK & CO INC
 NEW.............. COM      58933Y105    222     5,896 SH        X            1      5,001     0     895
METLIFE INC....... COM      59156R108    317    10,175 SH        X            1     10,062     0     113
MICROSOFT
 CORP............. COM      594918104    972    37,428 SH        X            1     36,203     0   1,225
MONTGOMERY
 EXPLORATION......          601A5Z991    296         1 SH        X            1          1     0       0
MOSAIC CO NEW..... COM      61945C103    488     9,674 SH        X            1      9,611     0      63






                                                                INVESTMENT
                                                                DISCRETION      ** VOTING AUTHORITY **
                                                             ---------------- --------------------------
                 TITLE             MKT     SHARES/
                  OF               VAL       PRN    SH/ PUT/ SOLE SHR OTH OTH   SOLE     SHARED    NONE
NAME OF ISSUER   CLASS    CUSIP   X 1000     AMT    PRN CALL (A)  (B) (C) MGR   (A)       (B)      (C)
--------------   ------ --------- ------- --------- --- ---- ---- --- --- --- --------- --------- ------
                                                           
MOTOROLA
 MOBILITY
 HLDGS INC...... COM    620097105     280     7,220 SH        X            1      7,220         0      0
MURPHY OIL
 CORP........... COM    626717102   4,505    80,824 SH        X            1     80,824         0      0
MURPHY OIL
 CORP........... COM    626717102 417,449 7,489,209 SH                 X   1          0 7,489,209      0
MUTUAL SER FD    SHS FD
 INC............ CL Z   628380107     316    15,836 SH                 X   1     15,836         0      0
MUTUAL SER FD    BEACON
 INC............ FD Z   628380305     156    13,366 SH                 X   1     13,366         0      0
MUTUAL SER FD    GBL
 INC............ DISCVR     Z
                 FD     628380404  44,340 1,614,114 SH        X            1  1,602,628         0 11,486
MUTUAL SER FD    GBL
 INC............ DISCVR     Z
                 FD     628380404     312    11,374 SH                 X   1     10,485       889      0
NYSE
 EURONEXT....... COM    629491101     341    13,067 SH        X            1     12,977         0     90
NATIONAL GRID    SPON
 PLC............ ADR
                 NEW    636274300     258     5,314 SH        X            1      2,862         0  2,452
 NATIONAL GRID   SPON
 PLC............ ADR
                 NEW    636274300      21       430 SH                 X   1        148       282      0
NATIONAL
 OILWELL VARCO
 INC............ COM    637071101     389     5,721 SH        X            1      5,670         0     51
NAVISTAR INTL
 CORP NEW....... COM    6.39E+112     413    10,894 SH        X            1     10,830         0     64
NETAPP INC...... COM    64110D104     581    16,017 SH        X            1     16,017         0      0
NEW PERSPECTIVE
 FD INC......... COM    648018109     671    25,656 SH        X            1     25,656         0      0
NORDSTROM
 INC............ COM    655664100     424     8,532 SH        X            1      8,532         0      0
NORFOLK
 SOUTHERN
 CORP........... COM    655844108     386     5,298 SH        X            1      5,263         0     35
OGX PETROLEO E   SPONS
 GAS PART S A... ADR    670849108     174    23,796 SH        X            1     23,436         0    360
O REILLY
 AUTOMOTIVE
 INC NEW........ COM    67103H107     772     9,659 SH        X            1      9,644         0     15
OCCIDENTAL PETE
 CORP DEL....... COM    674599105     559     5,962 SH        X            1      5,962         0      0
ON
 SEMICONDUCTOR
 CORP........... COM    682189105     362    46,853 SH        X            1     46,521         0    332
ORACLE CORP..... COM    68389X105     436    16,994 SH        X            1     16,994         0      0
PDL BIOPHARMA
 INC............ COM    69329Y104     186    30,000 SH                 X   1          0    30,000      0
PPL CORP........ COM    69351T106     201     6,837 SH        X            1      3,765         0  3,072
PPL CORP........ COM    69351T106      16       535 SH                 X   1        181       354      0
PARTNER
 COMMUNICATIONS
 CO LT.......... ADR    70211M109      93    10,465 SH        X            1     10,465         0      0
PEPSICO INC..... COM    713448108     784    11,818 SH        X            1     11,201         0    617
PEPSICO INC..... COM    713448108      80     1,207 SH                 X   1         36     1,171      0
PFIZER INC...... COM    717081103     495    22,872 SH        X            1     22,872         0      0
PFIZER INC...... COM    717081103      31     1,420 SH                 X   1        720       700      0
PHILIP MORRIS
 INTL INC....... COM    718172109     891    11,353 SH        X            1      9,221         0  2,132
PHILIP MORRIS
 INTL INC....... COM    718172109      27       345 SH                 X   1        118       227      0
POTASH CORP
 SASK INC....... COM    73755L107     575    13,926 SH        X            1     13,926         0      0
PRAXAIR INC..... COM    74005P104     303     2,838 SH        X            1      2,838         0      0
PRECISION
 CASTPARTS
 CORP........... COM    740189105     566     3,433 SH        X            1      3,413         0     20
PRICE T ROWE
 GROUP INC...... COM    74144T108     785    13,786 SH        X            1     13,756         0     30
PRICE T ROWE
 GROWTH STK FD
 I.............. COM    741479109  28,674   900,854 SH        X            1    893,648         0  7,206






                                                                  INVESTMENT
                                                                  DISCRETION    ** VOTING AUTHORITY **
                                                               ---------------- -----------------------
                                      MKT
                                      VAL    SHARES/
NAME OF         TITLE OF               X       PRN    SH/ PUT/ SOLE SHR OTH OTH   SOLE    SHARED  NONE
ISSUER           CLASS       CUSIP    1000     AMT    PRN CALL (A)  (B) (C) MGR   (A)      (B)    (C)
-------        ----------- --------- ------ --------- --- ---- ---- --- --- --- --------- ------ ------
                                                          
PRICE T ROWE
 GROWTH STK
 FD I......... COM         741479109    287     9,007 SH                 X   1      8,124   883       0
PRICELINE COM
 INC.......... COM NEW     741503403    263       562 SH        X            1        562     0       0
PROCTER &
 GAMBLE CO.... COM         742718109  2,501    37,497 SH        X            1     36,654     0     843
PROCTER &
 GAMBLE CO.... COM         742718109    412     6,173 SH                 X   1      6,059   114       0
PRUDENTIAL
 FINL INC..... COM         744320102    381     7,594 SH        X            1      7,546     0      48
QUALCOMM
 INC.......... COM         747525103    379     6,937 SH        X            1      6,937     0       0
REGIONS
 FINANCIAL
 CORP NEW..... COM         7591EP100    182    42,214 SH        X            1     36,314     0   5,900
REGIONS
 FINANCIAL
 CORP NEW..... COM         7591EP100      0         0 SH                 X   1          0     0       0
RENASANT
 CORP......... COM         7.60E+111    770    51,333 SH        X            1     51,333     0       0
REYNOLDS
 AMERICAN
 INC.......... COM         761713106    268     6,471 SH        X            1      3,982     0   2,489
REYNOLDS
 AMERICAN
 INC.......... COM         761713106     21       510 SH                 X   1        174   336       0
RIVERBED
 TECHNOLOGY
 INC.......... COM         768573107    270    11,488 SH        X            1     11,433     0      55
ROWE T PRICE
 EQUITY
 INCOME F..... SH BEN INT  779547108 42,196 1,829,827 SH        X            1  1,815,840     0  13,987
ROWE T PRICE
 EQUITY
 INCOME F..... SH BEN INT  779547108    325    14,104 SH                 X   1     12,970 1,134       0
1ROWE T PRICE
 MID-CAP
 GROWTH....... COM         779556109 27,458   520,720 SH        X            1    516,173     0   4,547
ROWE T PRICE
 MID-CAP
 GROWTH....... COM         779556109    234     4,442 SH                 X   1      3,809   633       0
ROYAL DUTCH
 SHELL PLC.... SPON ADR B  780259107    433     5,694 SH        X            1      3,346     0   2,348
ROYAL DUTCH
 SHELL PLC.... SPON ADR B  780259107    148     1,947 SH                 X   1      1,686   261       0
ROYAL DUTCH    SPONS ADR
 SHELL PLC.... A           780259206    601     8,222 SH        X            1      8,168     0      54
ROYAL DUTCH    SPONS ADR
 SHELL PLC.... A           780259206    237     3,237 SH                 X   1      3,237     0       0
ROYCE FD...... PENN MUT
               INV         780905840 16,948 1,575,058 SH        X            1  1,562,266     0  12,792
ROYCE FD...... PENN MUT
               INV         780905840    136    12,638 SH                 X   1     10,574 2,064       0
SPDR GOLD
 TRUST........ GOLD SHS    78463V107    223     1,464 SH        X            1      1,464     0       0
SCHLUMBERGER
 LTD.......... COM         806857108    265     3,881 SH        X            1      3,881     0       0
SHERWIN
 WILLIAMS
 CO........... COM         824348106    289     3,235 SH        X            1      3,235     0       0
SIMMONS 1ST
 NATL CORP.... CL A $1 PAR 828730200    287    10,566 SH        X            1     10,566     0       0
SOUTHERN
 CO........... COM         842587107  3,349    72,344 SH        X            1     69,205     0   3,139
SOUTHERN
 CO........... COM         842587107    246     5,317 SH                 X   1      4,893   424       0
STRYKER
 CORP......... COM         863667101    437     8,792 SH        X            1      8,792     0       0
TJX COS INC
 NEW.......... COM         872540109    350     5,418 SH        X            1      5,418     0       0
TARGET CORP... COM         8.76E+110    840    16,397 SH        X            1     16,326     0      71
TELEFONICA S   SPONSORED
 A............ ADR         879382208    187    10,883 SH        X            1      6,527     0   4,356






                                                                    INVESTMENT
                                                                    DISCRETION       ** VOTING AUTHORITY **
                                                                 ---------------- ----------------------------
                                      MKT
                 TITLE OF             VAL     SHARES/   SH/ PUT/ SOLE SHR OTH OTH    SOLE     SHARED    NONE
NAME OF ISSUER    CLASS      CUSIP   X 1000   PRN AMT   PRN CALL (A)  (B) (C) MGR    (A)       (B)      (C)
--------------   --------- --------- ------- ---------- --- ---- ---- --- --- --- ---------- --------- -------
                                                                
TELEFONICA S A.. SPONSORED
                 ADR       879382208      15        891 SH                 X   1         302       589       0
TEVA
 PHARMACEUTICAL
 INDS LTD....... ADR       881624209     263      6,518 SH        X            1       6,153         0     365
TIFFANY & CO
 NEW............ COM       886547108     312      4,704 SH        X            1       4,684         0      20
TIME WARNER
 INC............ COM NEW   887317303     215      5,940 SH        X            1       5,858         0      82
TOTAL S A....... SPONSORED
                 ADR       8.92E+113     256      5,009 SH        X            1       3,015         0   1,994
TOTAL S A....... SPONSORED
                 ADR       8.92E+113      21        407 SH                 X   1         138       269       0
TRIMBLE
 NAVIGATION
 LTD............ COM       896239100     424      9,759 SH        X            1       9,759         0       0
TRUSTMARK
 CORP........... COM       898402102   1,125     46,322 SH        X            1      46,322         0       0
USA TRUCK INC... COM       902925106     113     14,613 SH        X            1      14,613         0       0
UNILEVER PLC.... SPON ADR
                 NEW       904767704     195      5,821 SH        X            1       3,594         0   2,227
UNILEVER PLC.... SPON ADR
                 NEW       904767704      15        453 SH                 X   1         152       301       0
UNILEVER N V.... N Y SHS
                 NEW       904784709     263      7,647 SH        X            1       6,628         0   1,019
UNION PAC
 CORP........... COM       907818108     270      2,553 SH        X            1       2,527         0      26
UNION PAC
 CORP........... COM       907818108     466      4,400 SH                 X   1           0     4,400       0
UNITED
 TECHNOLOGIES
 CORP........... COM       913017109     270      3,690 SH        X            1       3,690         0       0
V F CORP........ COM       918204108     559      4,402 SH        X            1       4,402         0       0
VANGUARD         MEGA CAP
 WORLD FD....... INDEX     921910873   3,856     89,667 SH        X            1      89,667         0       0
VANGUARD TAX
 MANAGED INTL    MSCI EAFE
 FD............. ETF       921943858   1,523     49,712 SH        X            1      49,712         0       0
VANGUARD INDEX   500
 FDS............ PORTFOLIO 922908108     148      1,277 SH        X            1           0         0   1,277
VANGUARD INDEX   500
 FDS............ PORTFOLIO 922908108      92        795 SH                 X   1         795         0       0
VANGUARD INDEX   MID CAP
 FDS............ ETF       922908629   2,287     31,796 SH        X            1      31,796         0       0
VANGUARD INDEX   SMALL CP
 FDS............ ETF       922908751   1,500     21,524 SH        X            1      21,524         0       0
VERIZON
 COMMUNICATIONS
 INC............ COM       92343V104     683     17,028 SH        X            1      12,611         0   4,417
VERIZON
 COMMUNICATIONS
 INC............ COM       92343V104      60      1,492 SH                 X   1         235     1,257       0
VISA INC........ COM CL A  92826C839     326      3,215 SH        X            1       3,215         0       0
VODAFONE GROUP   SPONS ADR
 PLC NEW........ NEW       92857W209     698     24,907 SH        X            1      19,465         0   5,442
VODAFONE GROUP   SPONS ADR
 PLC NEW........ NEW       92857W209      38      1,352 SH                 X   1         291     1,061       0
WT MUT FD....... CRM MDCP
                 VAL I     92934R769     205      7,741 SH        X            1           0         0   7,741
WAL MART
 STORES INC..... COM       931142103   1,264     21,159 SH        X            1      21,159         0       0
WALGREEN CO..... COM       931422109     212      6,427 SH        X            1       6,427         0       0
WASHINGTON MUT
 INVS FD INC.... COM       939330106     839     29,549 SH        X            1      29,549         0       0
WESTERN UN
 CO............. COM       959802109     499     27,346 SH        X            1      27,143         0     203
YUM BRANDS
 INC............ COM       988498101   1,073     18,183 SH        X            1      18,183         0       0
FINAL TOTALS....                     896,838 23,335,219                           14,964,261 7,992,233 378,725
FORM 13F
 INFORMATION
 TABLE NTRY
 TOTAL..........                 284