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

                                 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, 2012

Check here if Amendment [_]; Amendment Number:

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

Institutional Investment Manager Filing this Report:

Name:    BancorpSouth Inc.

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

Form 13F File Number: 28-10453

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Cathy S. Freeman

Title:   Executive Vice President and Corporate Secretary

Phone:   (662) 680-2084

Signature Place and Date of Signing:

/s/ Cathy S. Freeman    Tupelo Mississippi    August 13, 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.

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                             FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:      1

Form 13F Information Table Entry Total: 279

Form 13F Information Table Value Total: 873,271
                                 (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



                                                                              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)
--------------                ------------- --------- ------ ------- --- ---- ----   ---  ---  ---  ------- ------ -------
                                                                            
COOPER INDUSTRIES PLC         SHS           G24140108    332   4,863 SH        X                      4,863
HERBALIFE LTD                 COM USD SHS   G4412G101    202   4,185 SH        X                      4,185
INGERSOLL-RAND PLC            SHS           G47791101    277   6,576 SH        X                      6,576
WILLIS GROUP HOLDINGS PUBLIC  SHS           G96666105    205   5,621 SH        X                      5,542             79
ACE LTD                       SHS           H0023R105    300   4,044 SH        X                      4,006             38
ALLIED WRLD ASSUR COM HLDG A  SHS           H01531104    203   2,550 SH        X                      2,550
CHECK POINT SOFTWARE TECH LT  ORD           M22465104    356   7,186 SH        X                      7,186
AERCAP HOLDINGS NV            SHS           N00985106    151  13,422 SH        X                     13,422
ASML HOLDING N V              NY REG SHS    N07059186    202   3,919 SH        X                      3,919
FLEXTRONICS INTL LTD          ORD           Y2573F102    723 116,669 SH        X                    116,141            528
AT&T INC                      COM           00206R102  1,540  43,185 SH        X                     37,337          5,848
AT&T INC                      COM           00206R102    220   6,174 SH               X                 324 5,850
ABBOTT LABS                   COM           002824100  1,253  19,442 SH        X                     17,514          1,928
ABBOTT LABS                   COM           002824100    281   4,359 SH               X                 112 4,247
AETNA INC NEW                 COM           00817Y108    396  10,220 SH        X                     10,126             94
AFFILIATED MANAGERS GROUP     COM           008252108    316   2,884 SH        X                      2,869             15
AIR PRODS & CHEMS INC         COM           009158106    567   7,019 SH        X                      7,019
ALLERGAN INC                  COM           018490102    449   4,855 SH        X                      4,855
ALLSCRIPTS HEALTHCARE SOLUTN  COM           01988P108    118  10,752 SH        X                     10,752
ALTRIA GROUP INC              COM           02209S103    862  24,961 SH        X                     19,565          5,396
ALTRIA GROUP INC              COM           02209S103     33     948 SH               X                 295   653
AMERICAN ELEC PWR INC         COM           025537101    204   5,115 SH        X                      4,058          1,057
AMERICAN ELEC PWR INC         COM           025537101      8     201 SH               X                  62   139
AMERICAN EXPRESS CO           COM           025816109    768  13,194 SH        X                     13,194
AMETEK INC NEW                COM           031100100    297   5,942 SH        X                      5,907             35
AMGEN INC                     COM           031162100    520   7,138 SH        X                      7,138
APACHE CORP                   COM           037411105    561   6,386 SH        X                      6,386
APPLE INC                     COM           037833100  1,341   2,297 SH        X                      2,297
APPLIED MATLS INC             COM           038222105    345  30,155 SH        X                     30,155
ARCHER DANIELS MIDLAND CO     COM           039483102    512  17,338 SH        X                     17,210            128
ASTRAZENECA PLC               SPONSORED ADR 046353108    594  13,273 SH        X                      9,644          3,629
ASTRAZENECA PLC               SPONSORED ADR 046353108     24     546 SH               X                 170   376
ATMEL CORP                    COM           049513104    118  17,525 SH        X                     17,525
AUTODESK INC                  COM           052769106    254   7,250 SH        X                      7,250
BCE INC                       COM NEW       05534B760    366   8,873 SH        X                      6,020          2,853
BCE INC                       COM NEW       05534B760     26     623 SH               X                 193   430
BP PLC                        SPONSORED ADR 055622104    205   5,050 SH        X                      4,900            150
BP PLC                        SPONSORED ADR 055622104    114   2,800 SH               X               2,800
BANCORPSOUTH INC              COM           059692103 12,914 889,379 SH        X                    767,445        121,934
BANCORPSOUTH INC              COM           059692103    163  11,192 SH               X               8,600 2,592
BANK OF THE OZARKS INC        COM           063904106  3,613 120,102 SH        X                    120,102
BANK OF NEW YORK MELLON CORP  COM           064058100    264  12,032 SH        X                     12,032
BAXTER INTL INC               COM           071813109    578  10,868 SH        X                     10,794             74
BERKSHIRE HATHAWAY INC DEL    CL B NEW      084670702    948  11,371 SH        X                     11,371
BOEING CO                     COM           097023105    213   2,867 SH        X                      2,522            345
BRISTOL MYERS SQUIBB CO       COM           110122108    704  19,579 SH        X                     14,864          4,715
BRISTOL MYERS SQUIBB CO       COM           110122108     30     833 SH               X                 260            573
CVS CAREMARK CORPORATION      COM           126650100    438   9,364 SH        X                      9,309             55
CATERPILLAR INC DEL           COM           149123101    423   4,979 SH        X                      4,979
CELGENE CORP                  COM           151020104    502   7,829 SH        X                      7,829
CENTURYLINK INC               COM           156700106    442  11,201 SH        X                      8,121          3,080
CENTURYLINK INC               COM           156700106     27     675 SH               X                 210   465
CHEVRON CORP NEW              COM           166764100  2,115  20,044 SH        X                     19,368            676
1CHEVRON CORP NEW             COM           166764100    768   7,277 SH               X               7,228    49
CITIZENS HLDG CO MISS         COM           174715102  3,021 158,987 SH        X                    158,987


                                      3





                                                                               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)
--------------            ---------------- --------- ------ --------- --- ---- ----   ---  ---  ---  --------- ------- ------
                                                                                
CITRIX SYS INC            COM              177376100    387     4,608 SH        X                        4,583             25
COACH INC                 COM              189754104    250     4,271 SH        X                        4,271
COCA COLA CO              COM              191216100    716     9,153 SH        X                        8,654            499
COCA COLA CO              COM              191216100    384     4,909 SH               X                 4,834      75
COLGATE PALMOLIVE CO      COM              194162103    288     2,762 SH        X                        2,762
COLUMBIA ACORN TR         INTL SELECT Z    197199763    368    13,676 SH        X                        8,946          4,730
COLUMBIA FDS SER TR       LARGECAP VAL Z   19765H149    529    46,957 SH        X                       46,957
COLUMBIA FDS SER TR       MARS GRWTH Z     19765H180    717    32,394 SH        X                       32,394
COLUMBIA FDS SER TR       INTL VAL CL Z    19765H586    178    14,651 SH        X                       14,651
COLUMBIA FDS SER TR       SMALL COS Z      19765J723    156    12,512 SH        X                       12,512
COLUMBIA FDS SER TR       SMLCP VAL II Z   19765J764    168    11,757 SH        X                       11,757
COLUMBIA FDS SER TR I     MIDCP GWTH Z     19765P232    208     7,879 SH        X                        7,879
COMPANHIA ENERGETICA DE
 MINA                     SP ADR N-V PFD   204409601    199    10,805 SH        X                       10,805
CONCHO RES INC            COM              20605P101    366     4,301 SH        X                        4,301
CONCUR TECHNOLOGIES INC   COM              206708109    237     3,487 SH        X                        3,447             40
CONOCOPHILLIPS            COM              20825C104    665    11,900 SH        X                        9,088          2,812
CONOCOPHILLIPS            COM              20825C104     27       483 SH               X                   150     333
CORNING INC               COM              219350105    325    25,125 SH        X                       24,938            187
CUMMINS INC               COM              231021106    284     2,935 SH        X                        2,915             20
DWS VALUE SER INC         SMCP VALF INST   23338F754 14,466   413,083 SH        X                      408,087      43  4,951
DWS VALUE SER INC         SMCP VALF INST   23338F754    123     3,524 SH               X                 3,191     333
DANAHER CORP              DEL COM          235851102    405     7,771 SH        X                        7,771
DEERE & CO                COM              244199105    934    11,554 SH        X                       11,554
DELTIC TIMBER CORP        COM              247850100    386     6,324 SH        X                        6,324
DELTIC TIMBER CORP        COM              247850100 25,352   415,743 SH               X                       415,743
DENBURY RES INC           COM NEW          247916208    210    13,906 SH        X                       13,906
DEVON ENERGY CORP         NEW COM          25179M103    263     4,536 SH        X                        4,469             67
DIAGEO P L C              SPON ADR NEW     25243Q205    239     2,319 SH        X                        2,009            310
DODGE & COX STK FD        COM              256219106 28,318   256,344 SH        X                      253,149      26  3,168
DODGE & COX STK FD        COM              256219106    254     2,297 SH               X                 2,057     240
DOLLAR TREE INC           COM              256746108    718    13,352 SH        X                       13,352
DOMINION RES INC VA       NEW COM          25746U109    286     5,291 SH        X                        4,232          1,059
DOMINION RES INC VA       NEW COM          25746U109      9       161 SH               X                    50     111
DU PONT E I DE NEMOURS &
 CO                       COM              263534109    253     5,012 SH        X                        4,427            585
DUKE ENERGY CORP          COM              26441C105    567    24,600 SH        X                       19,353          5,247
DUKE ENERGY CORP          COM              26441C105     27     1,150 SH               X                   358     792
E M C CORP MASS           COM              268648102    553    21,577 SH        X                       21,577
ERHC ENERGY INC           COM              26884J104      1    10,000 SH        X                       10,000
EATON CORP                COM              278058102    218     5,497 SH        X                        5,409             88
EMERSON ELEC CO           COM              291011104    384     8,237 SH        X                        8,237
EXPRESS SCRIPTS HLDG CO   COM              30219G108  1,110    19,888 SH        X                       19,833             55
EXXON MOBIL CORP          COM              30231G102  4,830    56,443 SH        X                       49,950   5,966    527
EXXON MOBIL CORP          COM              30231G102  1,252    14,630 SH               X                 6,030   8,600
F M C CORP                COM NEW          302491303    210     3,932 SH        X                        3,892             40
FEDERATED EQUITY FDS      INTRCONTL INST   314172461 16,556   376,193 SH        X                      371,815      34  4,343
FEDERATED EQUITY FDS      INTRCONTL INST   314172461    144     3,265 SH               X                 2,748     517
FEDERATED EQUITY FDS      STRG VAL DV INST 314172560     83    16,523 SH        X                       16,523
FIDELITY CONTRAFUND INC   NEW INSIGHTS I   316071604 42,927 1,943,280 SH        X                    1,920,398     203 22,677
FIDELITY CONTRAFUND INC   NEW INSIGHTS I   316071604    359    16,268 SH               X                14,929   1,338
FIRSTENERGY CORP          COM              337932107    224     4,557 SH        X                        4,557
GAZPROM O A O             SPON ADR         368287207    134    14,141 SH        X                       14,141


                                      4





                                                                                  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)
--------------                --------------- --------- ------ --------- --- ---- ----   ---  ---  ---  --------- ------ ------
                                                                                  
GENERAL ELECTRIC CO           COM             369604103    757    36,348 SH        X                       34,848         1,500
GENERAL MLS INC               COM             370334104    245     6,360 SH        X                        6,360
GILEAD SCIENCES INC           COM             375558103    379     7,395 SH        X                        7,395
GLAXOSMITHKLINE PLC           SPONSORED ADR   37733W105    443     9,730 SH        X                        6,513         3,217
GLAXOSMITHKLINE PLC           SPONSORED ADR   37733W105     30       651 SH               X                   202   449
GOOGLE INC                    CL A            38259P508    309       533 SH        X                          533
GROUPE CGI INC                CL A SUB VTG    39945C109    214     8,922 SH        X                        8,922
1RESTER ENTERPRISES LP 5%
  INT                                         404005993    216         1 SH        X                            1
RESTER ENTERPRISES LP 8% INT                  405002999    346         1 SH        X                            1
HALLIBURTON CO                COM             406216101    490    17,269 SH        X                       17,105           164
RESTER ENTERPRISES LP 8% INT                  407000991    346         1 SH        X                            1
DAVIS FAMILY HOLDINGS LP                      419002993    617         0 SH        X
HEINZ H J CO                  COM             423074103    543     9,977 SH        X                        6,940         3,037
HEINZ H J CO                  COM             423074103     30       547 SH               X                   168   379
HESS CORP                     COM             42809H107    264     6,077 SH        X                        6,077
KEY COLONY                                    430004994    792         1 SH               X                           1
JOHNSTON ENTERPRISES, L.P.                    432004992  1,380        54 SH        X                           54
GURDON TIMBER LTD 36.494%                     434002994    417         1 SH        X                            1
WOODLAND HILLS LIMITED
  PARTN                                       435001995    205        25 SH        X                           25
SUNNYDALE LIMITED
  PARTNERSHI                                  436001994  1,558        88 SH        X                           88
WEH PROPERTIES LIMITED
  PARTN                                       436002992    410        86 SH        X                           86
CRICKET LIMITED
  PARTNERSHIP                                 436003990    889        28 SH        X                           28
MCM TIMBER 3.021% INTEREST                    438002990    233         1 SH        X                            1
MCM TIMBER 3.020% INTEREST                    438003998    233         1 SH        X                            1
HONEYWELL INTL INC            COM             438516106    437     7,819 SH        X                        7,750            69
OAK GROVE LAND CO, L.P. 12.5                  440000990    219         2 SH        X                            2
REED HOLDINGS PARTNERSHIP,
  L                                           441002995  1,239        68 SH        X                           68
HOSPIRA INC                   COM             441060100    250     7,135 SH        X                        7,060            75
HOSPIRA INC                   COM             441060100     14       400 SH               X                         400
CABEARK, LP 35.4444% INTERES                  443003991  1,431         1 SH        X                            1
DCT OPERATING PARTNERSHIP                     443004999    526    75,518 SH        X                       75,518
CABEARK, LP 63.5556% INTERES                  444003990  2,527         1 SH        X                            1
CABE-LONG PROPERTIES, LTD                     444005995    287         4 SH        X                            4
MCMILLON PROPERTIES L/P                       445000995  2,164        96 SH        X                           96
CABE-LONG PROPERTIES, LTD                     445001993  1,580         4 SH        X                            4
CABE-LONG PROPERTIES, LTD                     445003999    533         1 SH        X                            1
INTEREST IN                                   448005991  4,177        15 SH        X                           15
TALL PINES, LLC                               449001999    971        50 SH        X                           50
DONOVAN INVESTMENTS, LLC                      449003995  4,811        99 SH        X                           99
TPH ENERGY EQUITY FUND LP                     450005996    843         1 SH               X                           1
LONGENECKER EQUITY II, LLC                    451000996  3,949        99 SH               X                    99
DTL, SR., L.P                                 452002991  7,905        53 SH        X                           53
10.0% INTEREST IN MCM
  TIMBER                                      452005994  1,531         2 SH        X                            2
ILLINOIS TOOL WKS INC         COM             452308109    293     5,533 SH        X                        5,533
INTEL CORP                    COM             458140100    705    26,459 SH        X                       25,464           995
INTEL CORP                    COM             458140100     85     3,200 SH               X                 3,200
INTERCONTINENTALEXCHANGE
  INC                         COM             45865V100    436     3,205 SH        X                        3,190            15
INTERNATIONAL BUSINESS
  MACHS                       COM             459200101  1,284     6,566 SH        X                        6,566
INTUITIVE SURGICAL INC        COM NEW         46120E602    286       517 SH        X                          515             2
INVESTMENT CO AMER            CL A            461308108    963    33,083 SH        X                       33,083
ISHARES TR                    MSCI
                              EMERG MKT       464287234    273     6,983 SH        X                        6,983
ISHARES TR                    MSCI ACWI EX    464288240  2,318    62,331 SH        X                       62,331
JPMORGAN CHASE & CO           COM             46625H100    307     8,602 SH        X                        8,162           440
JPMORGAN CHASE & CO           COM             46625H100     70     1,956 SH               X                       1,956
JANUS INVT FD                 GLOBAL SEL FD T 471023648    107    11,525 SH        X                                     11,525
JOHN HANCOCK FDS III          DISC VAL MCP I  47803W406 29,305 2,409,945 SH        X                    2,388,469   252  21,222


                                      5





                                                                                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)
--------------             --------------- --------- ------- --------- --- ---- ----   ---  ---  ---  --------- --------- ------
                                                                                   
JOHN HANCOCK FDS III       DISC VAL MCP I  47803W406     304    24,984 SH               X                22,874     2,109
JOHNSON & JOHNSON          COM             478160104   1,634    24,189 SH        X                       22,205            1,984
JOHNSON & JOHNSON          COM             478160104     400     5,916 SH               X                 4,499     1,417
JOHNSON CTLS INC           COM             478366107     268     9,686 SH        X                        9,686
KBR INC                    COM             48242W106     287    11,626 SH        X                       11,496              130
KIMBERLY CLARK CORP        COM             494368103     681     8,133 SH        X                        5,803            2,330
KIMBERLY CLARK CORP        COM             494368103      35       420 SH               X                   130       290
KINGFISHER PLC             SPON ADR PAR    495724403     173    19,236 SH        X                       19,236
KRAFT FOODS INC            CL A            50075N104     319     8,266 SH        X                        7,336              930
LILLY ELI & CO             COM             532457108     546    12,713 SH        X                        8,563            4,150
LILLY ELI & CO             COM             532457108      65     1,520 SH               X                 1,024       496
1LONGLEAF PARTNERS FDS TR  SH BEN INT      543069108     253     8,853 SH        X                        8,853
MANULIFE FINL CORP         COM             56501R106     130    11,945 SH        X                       11,945
MCDONALDS CORP             COM             580135101     555     6,271 SH        X                        5,876              395
MCDONALDS CORP             COM             580135101       8        85 SH               X                    26        59
MEDNAX INC                 COM             58502B106     228     3,326 SH        X                        3,281               45
MEDTRONIC INC              COM             585055106     430    11,104 SH        X                       11,000              104
MERCK & CO INC             NEW COM         58933Y105     648    15,531 SH        X                       11,137            4,394
MERCK & CO INC             NEW COM         58933Y105      28       662 SH               X                   206       456
METLIFE INC                COM             59156R108     300     9,721 SH        X                        9,637               84
MICROSOFT CORP             COM             594918104   1,187    38,803 SH        X                       37,778            1,025
MONTGOMERY EXPLORATION                     601A5Z991     211         1 SH        X                            1
MOSAIC CO                  NEW COM         61945C103     522     9,530 SH        X                        9,457               73
MURPHY OIL CORP            COM             626717102   4,065    80,824 SH        X                       80,824
MURPHY OIL CORP            COM             626717102 376,346 7,483,509 SH               X                       7,483,509
MUTUAL SER FD INC          SHS FD CL Z     628380107     337    15,836 SH               X                15,836
MUTUAL SER FD INC          BEACON FD Z     628380305     167    13,366 SH               X                13,366
MUTUAL SER FD INC          GBL DISCVR FD Z 628380404  45,862 1,591,880 SH        X                    1,574,495       163 17,221
MUTUAL SER FD INC          GBL DISCVR FD Z 628380404     353    12,248 SH               X                11,372       876
NYSE EURONEXT              COM             629491101     335    13,097 SH        X                       12,991              106
NATIONAL GRID PLC          SPON ADR NEW    636274300     475     8,958 SH        X                        5,689            3,269
NATIONAL GRID PLC          SPON ADR NEW    636274300      33       622 SH               X                   192       430
NATIONAL OILWELL VARCO
  INC                      COM             637071101     317     4,919 SH        X                        4,919
NAVISTAR INTL CORP         NEW COM         63934E108     290    10,226 SH        X                       10,226
NETAPP INC                 COM             64110D104     421    13,216 SH        X                       13,216
NEW PERSPECTIVE FD INC     COM             648018109     533    18,697 SH        X                       18,697
NORDSTROM INC              COM             655664100     352     7,078 SH        X                        7,078
NORFOLK SOUTHERN CORP      COM             655844108     380     5,288 SH        X                        5,231               57
OGX PETROLEO E GAS PART S
  A                        SPONS ADR       670849108      68    24,916 SH        X                       24,661              255
O REILLY AUTOMOTIVE INC    NEW COM         67103H107     791     9,444 SH        X                        9,429               15
OCCIDENTAL PETE CORP       DEL COM         674599105     507     5,908 SH        X                        5,908
ON SEMICONDUCTOR CORP      COM             682189105     331    46,583 SH        X                       46,221              362
ORACLE CORP                COM             68389X105     405    13,631 SH        X                       13,631
PDL BIOPHARMA INC          COM             69329Y104     145    21,800 SH               X                          21,800
PPL CORP                   COM             69351T106     238     8,544 SH        X                        5,484            3,060
PPL CORP                   COM             69351T106      16       583 SH               X                   181       402
PEPSICO INC                COM             713448108     842    11,923 SH        X                       11,308              615
PEPSICO INC                COM             713448108      86     1,217 SH               X                    36     1,181
PFIZER INC                 COM             717081103     522    22,685 SH        X                       22,685
PFIZER INC                 COM             717081103      33     1,420 SH               X                   720       700
PHILIP MORRIS INTL INC     COM             718172109   1,086    12,443 SH        X                       10,570            1,873
PHILIP MORRIS INTL INC     COM             718172109      29       333 SH               X                   104       229
POTASH CORP SASK INC       COM             73755L107     606    13,878 SH        X                       13,878
PRAXAIR INC                COM             74005P104     294     2,705 SH        X                        2,705
PRECISION CASTPARTS CORP   COM             740189105     565     3,432 SH        X                        3,412               20
PRICE T ROWE GROUP INC     COM             74144T108     865    13,737 SH        X                       13,707               30


                                      6





                                                                                 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)
--------------                -------------- --------- ------ --------- --- ---- ----   ---  ---  ---  --------- ------ ------
                                                                                 
PRICE T ROWE GROWTH STK FD I  COM            741479109 28,975   803,535 SH        X                      793,653    81   9,799
PRICE T ROWE GROWTH STK FD I  COM            741479109    311     8,626 SH               X                 7,763   863
PRICELINE COM INC             COM NEW        741503403    362       545 SH        X                          545
PROCTER & GAMBLE CO           COM            742718109  2,235    36,494 SH        X                       35,824           670
PROCTER & GAMBLE CO           COM            742718109    376     6,133 SH               X                 6,042    91
PRUDENTIAL FINL INC           COM            744320102    363     7,502 SH        X                        7,422            80
QUALCOMM INC                  COM            747525103    439     7,884 SH        X                        7,884
RED HAT INC                   COM            756577102    219     3,879 SH        X                        3,824            55
REGIONS FINANCIAL CORP        NEW COM        7591EP100    227    33,671 SH        X                       27,771         5,900
RENASANT CORP                 COM            75970E107    806    51,333 SH        X                       51,333
REYNOLDS AMERICAN INC         COM            761713106    358     7,988 SH        X                        5,454         2,534
REYNOLDS AMERICAN INC         COM            761713106     25       557 SH               X                   174   383
RIVERBED TECHNOLOGY INC       COM            768573107    180    11,167 SH        X                       11,167
ROWE T PRICE EQUITY INCOME F  SH BEN INT     779547108 42,298 1,713,871 SH        X                    1,693,450   181  20,239
ROWE T PRICE EQUITY INCOME F  SH BEN INT     779547108    356    14,429 SH               X                13,325 1,104
1ROWE T PRICE MID-CAP
  GROWTH                      COM            779556109 29,130   513,029 SH        X                      506,523    54   6,451
ROWE T PRICE MID-CAP GROWTH   COM            779556109    272     4,793 SH               X                 4,163   629
ROYAL DUTCH SHELL PLC         SPON ADR B     780259107    528     7,545 SH        X                        5,151         2,394
ROYAL DUTCH SHELL PLC         SPON ADR B     780259107    139     1,983 SH               X                 1,686   297
ROYAL DUTCH SHELL PLC         SPONS ADR A    780259206    503     7,454 SH        X                        7,400            54
ROYAL DUTCH SHELL PLC         SPONS ADR A    780259206    218     3,237 SH               X                 3,237
ROYCE FD                      PENN MUT INV   780905840 16,619 1,485,153 SH        X                    1,467,570   133  17,448
ROYCE FD                      PENN MUT INV   780905840    146    13,068 SH               X                11,023 2,045
SPDR GOLD TRUST GOLD          SHS            78463V107    227     1,464 SH        X                        1,464
SCHLUMBERGER LTD              COM            806857108    246     3,788 SH        X                        3,788
SHERWIN WILLIAMS CO           COM            824348106    428     3,235 SH        X                        3,235
SIMMONS 1ST NATL CORP         CL A $1 PAR    828730200    246    10,566 SH        X                       10,566
SOUTHERN CO                   COM            842587107  3,394    73,298 SH        X                       70,105         3,193
SOUTHERN CO                   COM            842587107    249     5,375 SH               X                 4,893   482
STRYKER CORP                  COM            863667101    446     8,092 SH        X                        8,092
SYMANTEC CORP                 COM            871503108    156    10,649 SH        X                       10,406           243
TJX COS INC                   NEW COM        872540109    461    10,733 SH        X                       10,733
TARGET CORP                   COM            87612E106    778    13,370 SH        X                       13,306            64
TEVA PHARMACEUTICAL INDS
  LTD                         ADR            881624209    254     6,437 SH        X                        6,072           365
TIFFANY & CO                  NEW COM        886547108    250     4,721 SH        X                        4,701            20
TOTAL S A                     SPONSORED ADR  89151E109    296     6,581 SH        X                        4,551         2,030
TOTAL S A                     SPONSORED ADR  89151E109     20       444 SH               X                   138   306
TRIMBLE NAVIGATION LTD        COM            896239100    366     7,951 SH        X                        7,951
TRUSTMARK CORP                COM            898402102  1,409    57,556 SH        X                       57,556
USA TRUCK INC                 COM            902925106     67    14,100 SH        X                       14,100
UNILEVER PLC                  SPON ADR NEW   904767704    243     7,216 SH        X                        4,947         2,269
UNILEVER PLC                  SPON ADR NEW   904767704     17       495 SH               X                   152   343
UNILEVER N V N Y              SHS NEW        904784709    290     8,706 SH        X                        7,725           981
UNION PAC CORP                COM            907818108    295     2,476 SH        X                        2,455            21
UNION PAC CORP                COM            907818108    525     4,400 SH               X                       4,400
UNITED TECHNOLOGIES CORP      COM            913017109    264     3,497 SH        X                        3,497
V F CORP                      COM            918204108    586     4,388 SH        X                        4,388
VANGUARD WORLD FD             MEGA CAP INDEX 921910873  5,096   108,913 SH        X                      108,913
VANGUARD INDEX FDS            500 PORTFOLIO  922908108    107       851 SH        X                                        851
VANGUARD INDEX FDS            500 PORTFOLIO  922908108    100       795 SH               X                   795


                                      7





                                                                               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)
--------------              ------------ --------- ------- ---------- --- ---- ----   ---  ---  ---  ------  ------  -----
                                                                              
VANGUARD INDEX FDS          MID CAP ETF  922908629   2,893     37,473 SH        X                    37,473
VANGUARD INDEX FDS          SMALL CP ETF 922908751   1,852     24,361 SH        X                    24,361
VERIZON COMMUNICATIONS
INC                         COM          92343V104     897     20,174 SH        X                    16,120          4,054
VERIZON COMMUNICATIONS
INC                         COM          92343V104      69      1,556 SH               X                235   1,321
VISA INC                    COM CL A     92826C839     391      3,161 SH        X                     3,161
VODAFONE GROUP PLC NEW      SPONS ADR
                            NEW          92857W209     821     29,151 SH        X                    23,814          5,337
VODAFONE GROUP PLC NEW      SPONS ADR
                            NEW          92857W209      40      1,430 SH               X                291   1,139
WAL-MART STORES INC         COM          931142103   1,418     20,344 SH        X                    20,344
WASHINGTON MUT INVS FD INC  COM          939330106     899     29,875 SH        X                    29,875
WESTERN UN CO               COM          959802109     451     26,759 SH        X                    26,527            232
YUM BRANDS INC              COM          988498101     907     14,082 SH        X                    14,082
FINAL TOTALS                                       873,271 23,517,258

Form 13f INFORMATION TABLE ENTRY TOTAL         279


                                      8