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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2010

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            May 18, 2010
-------------------------------   ---------------------------   ----------------
[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:          252

Form 13F Information Table Value Total:     $934,909
                                          (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)
--------------                      --------- --------- ------- ---------- --- ---- ---- --- --- --- ---------- ---------- -------
                                                                                    
AMDOCS LTD                          ORD       G02602103     404     13,415 SH         X           1      13,415          0       0
ACCENTURE PLC IRELAND               SHS       G1151C101     467     11,130 SH         X           1      10,530          0     600
                                    CLASS A
COVIDIEN PLC                        SHS       G2554F105   1,088     21,630 SH         X           1      21,630          0       0
INVESCO LTD                         SHS       G491BT108     281     12,805 SH         X           1       8,594          0   4,211
MARVELL TECHNOLOGY GROUP LTD        ORD       G5876H105     415     20,345 SH         X           1      20,345          0       0
SINOVAC BIOTECH LTD                 SHS       P8696W104      77     12,997 SH         X           1      12,997          0       0
FLEXTRONICS INTL LTD                ORD       Y2573F102     158     20,169 SH         X           1      14,426          0   5,743
AGL RES INC                         COM       001204106     301      7,797 SH         X           1       7,296          0     501
AGL RES INC                         COM       001204106       3         66 SH                 X   1          66          0       0
AT&T INC                            COM       00206R102     826     31,952 SH         X           1      28,567          0   3,385
AT&T INC                            COM       00206R102     140      5,420 SH                 X   1         288      5,132       0
ABBOTT LABS                         COM       002824100     679     12,887 SH         X           1      10,585          0   2,302
ABBOTT LABS                         COM       002824100     211      4,000 SH                 X   1           0      4,000       0
ADOBE SYS INC                       COM       00724F101     261      7,383 SH         X           1       5,675          0   1,708
AIR PRODS & CHEMS INC               COM       009158106     760     10,275 SH         X           1      10,275          0       0
ALLERGAN INC                        COM       018490102     306      4,683 SH         X           1       3,658          0   1,025
ALTRIA GROUP INC                    COM       02209S103     353     17,188 SH         X           1      12,359          0   4,829
ALTRIA GROUP INC                    COM       02209S103       4        210 SH                 X   1         210          0       0
AMERICAN EXPRESS CO                 COM       025816109     579     14,040 SH         X           1      14,040          0       0
AMGEN INC                           COM       031162100     458      7,662 SH         X           1       7,462          0     200
AMPHENOL CORP                       NEW CL A  032095101     288      6,830 SH         X           1       5,524          0   1,306
ANADARKO PETE CORP                  COM       032511107     108      1,485 SH         X           1       1,080          0     405
ANADARKO PETE CORP                  COM       032511107     124      1,696 SH                 X   1           0      1,696       0
APPLE INC                           COM       037833100   1,583      6,737 SH         X           1       6,224          0     513
APPLIED MATLS INC                   COM       038222105     215     15,942 SH         X           1      12,888          0   3,054
ARTIO GLOBAL INVT FDS               INTL EQ   04315J506     208      7,239 SH         X           1           0          0   7,239
                                    CL I
ARTIO GLOBAL INVT FDS               INTL      04315J837   1,785    150,656 SH         X           1     150,656          0       0
                                    EQTY II I
ATMEL CORP                          COM       049513104      90     17,904 SH         X           1      17,904          0       0
AUTODESK INC                        COM       052769106     287      9,767 SH         X           1       9,767          0       0
BJ SERVICES CO                                055482103     520     24,305 SH         X           1      24,305          0       0
BP PLC                              SPONSORED 055622104     784     13,738 SH         X           1      10,810          0   2,928
                                    ADR
BP PLC                              SPONSORED 055622104     167      2,934 SH                 X   1       2,934          0       0
                                    ADR
BALDOR ELEC CO                      COM       057741100   6,113    163,446 SH         X           1     163,446          0       0
BANCORPSOUTH INC                    COM       059692103  22,839  1,089,634 SH         X           1     967,700          0 121,934
BANCORPSOUTH INC                    COM       059692103     235     11,192 SH                 X   1       8,600      2,592       0
BANK OF THE OZARKS INC              COM       063904106   2,212     62,851 SH         X           1      62,851          0       0
BAXTER INTL INC                     COM       071813109     503      8,640 SH         X           1       6,932          0   1,708
BECTON DICKINSON & CO               COM       075887109     264      3,352 SH         X           1       2,589          0     763
BERKSHIRE HATHAWAY INC              DEL CL B  084670702     870     10,701 SH         X           1      10,701          0       0
                                    NEW
BEST BUY INC                        COM       086516101     263      6,191 SH         X           1       4,455          0   1,736
BOEING CO                           COM       097023105     323      4,446 SH         X           1       3,996          0     450
BRISTOL MYERS SQUIBB CO             COM       110122108     351     13,136 SH         X           1       9,465          0   3,671
BRISTOL MYERS SQUIBB CO             COM       110122108       9        334 SH                 X   1         334          0       0
BROADCOM CORP                       CL A      111320107     742     22,361 SH         X           1      22,361          0       0
CABE/LONG PROPERTIES LIMITED                  136002995     479      4,418 SH         X           1       4,418          0       0
CABE/LONG PROPERTIES LIMITED                  136002995   3,953     36,457 SH                 X   1      36,457          0       0
CABE/ARK LIMITED PARTNERSHIP                  136003993   6,639     38,082 SH         X           1      38,082          0       0
CATERPILLAR INC                     DEL COM   149123101     374      5,950 SH         X           1       5,450          0     500
CELGENE CORP                        COM       151020104     565      9,115 SH         X           1       8,146          0     969
CHEVRON CORP                        NEW COM   166764100   1,867     24,615 SH         X           1      22,878          0   1,737
CHEVRON CORP                        NEW COM   166764100     609      8,026 SH                 X   1       8,026          0       0
CISCO SYS INC                       COM       17275R102     972     37,333 SH         X           1      33,409          0   3,924
CITIZENS HLDG CO MISS               COM       174715102   3,924    158,987 SH         X           1     158,987          0       0
1CLIFFS NATURAL RESOURCES INC       COM       18683K101     871     12,270 SH         X           1      12,270          0       0
COCA COLA CO                        COM       191216100     546      9,932 SH         X           1       9,187          0     745
COCA COLA CO                        COM       191216100     269      4,898 SH                 X   1       4,898          0       0
COGNIZANT TECHNOLOGY SOLUTIO        CL A      192446102     298      5,848 SH         X           1       4,493          0   1,355
COLGATE PALMOLIVE CO                COM       194162103     273      3,201 SH         X           1       2,881          0     320
CONOCOPHILLIPS                      COM       20825C104     322      6,285 SH         X           1       4,855          0   1,430
CONOCOPHILLIPS                      COM       20825C104       3         66 SH                 X   1          66          0       0
MONTGOMERY EXPLORATION 10.87                  216000992     225          1 SH         X           1           1          0       0
CORNING INC                         COM       219350105     529     26,195 SH         X           1      23,433          0   2,762
DWS VALUE SER INC SMCP VALF INST              23338F754  15,543    463,285 SH         X           1     463,124        146      15
DWS VALUE SER INC SMCP VALF INST              23338F754      80      2,388 SH                 X   1       2,247         92      49
DANAHER CORP                        DEL COM   235851102     326      4,080 SH         X           1       3,138          0     942
DEERE & CO                          COM       244199105     837     14,080 SH         X           1      14,080          0       0
DELTIC TIMBER CORP                  COM       247850100     279      6,324 SH         X           1       6,324          0       0
DELTIC TIMBER CORP                  COM       247850100  18,313    415,743 SH                 X   1           0    415,743       0



                                        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)
--------------                      --------- --------- ------- ---------- --- ---- ---- --- --- --- ---------- ---------- -------
                                                                                    
DODGE & COX STK FD                  COM       256219106  18,498    180,999 SH         X           1     180,939         55       5
DODGE & COX STK FD                  COM       256219106     143      1,402 SH                 X   1         855        527      20
DREYFUS APPRECIATION FD INC         COM       261970107   1,404     40,160 SH         X           1      40,160          0       0
DUKE ENERGY CORP                    NEW COM   26441C105     246     15,088 SH         X           1      12,335          0   2,753
DUKE ENERGY CORP                    NEW COM   26441C105       6        364 SH                 X   1         364          0       0
ERHC ENERGY INC                     COM       26884J104       6     10,000 SH         X           1      10,000          0       0
EBAY INC                            COM       278642103     242      8,990 SH         X           1       8,990          0       0
ECOLAB INC                          COM       278865100     235      5,355 SH         X           1       4,091          0   1,264
EMERSON ELEC CO                     COM       291011104   1,125     22,350 SH         X           1      22,350          0       0
EURO PAC GROWTH FD                  CL R-4    298706847     232      6,108 SH         X           1       6,108          0       0
                                    SHARES
EXELON CORP                         COM       30161N101     939     21,424 SH         X           1      21,424          0       0
EXPRESS SCRIPTS INC                 COM       302182100   2,111     20,749 SH         X           1      19,781          0     968
EXXON MOBIL CORP                    COM       30231G102   5,678     84,771 SH         X           1      74,370     10,401       0
EXXON MOBIL CORP                    COM       30231G102     980     14,630 SH                 X   1       6,030      8,600       0
FAIRHOLME FD                        COM       304871106     202      5,947 SH         X           1           0          0   5,947
FEDERATED EQUITY FDS                INTRCONTL 314172461  15,050    345,172 SH         X           1     345,062        100      10
                                    INST
FEDERATED EQUITY FDS                INTRCONTL 314172461      75      1,718 SH                 X   1       1,620         63      35
                                    INST
FIDELITY ADVISOR SER VIII           DIVR      315920686     213     14,089 SH         X           1      14,089          0       0
                                    INTL INST
FIDELITY CONTRAFUND INC             NEW       316071604  24,259  1,349,199 SH         X           1   1,348,733        421      45
                                    INSIGHTS
FIDELITY CONTRAFUND INC             NEW       316071604     124      6,869 SH                 X   1       6,462        270     137
                                    INSIGHTS
                                    I
FIDELITY PURITAN TR                 LOW       316345305  26,170    756,141 SH         X           1     755,869        246      26
                                    PRICE STK
FIDELITY PURITAN TR                 LOW       316345305     202      5,824 SH                 X   1       5,095        654      75
                                    PRICE STK
GENERAL ELECTRIC CO                 COM       369604103   1,287     70,710 SH         X           1      67,879          0   2,831
GENERAL MLS INC                     COM       370334104     244      3,452 SH         X           1       3,452          0       0
GILEAD SCIENCES INC                 COM       375558103     630     13,865 SH         X           1      12,083          0   1,782
GOOGLE INC                          CL A      38259P508     955      1,684 SH         X           1       1,456          0     228
GROWTH FD AMER INC                  CL R-5    399874833     217      7,620 SH         X           1           0          0   7,620
                                    SHARES
RESTER ENTERPRISES LP 5% INT                  404005993     208          1 SH         X           1           1          0       0
RESTER ENTERPRISES LP 8% INT                  405002999     333          1 SH         X           1           1          0       0
RESTER ENTERPRISES LP 8% INT                  407000991     333          1 SH         X           1           1          0       0
HARBOR FD INTL FD INSTL                       411511306   2,004     36,300 SH         X           1      36,300          0       0
DAVIS FAMILY HOLDINGS LP                      419002993   1,194          0 SH         X           1           0          0       0
LONESTAR PARTNERS, L.P.                       420002990   2,500  2,500,000 SH                 X   1           0  2,500,000       0
HEINZ H J CO                        COM       423074103     211      4,625 SH         X           1       2,577          0   2,048
HEINZ H J CO                        COM       423074103       9        192 SH                 X   1         192          0       0
HEWLETT PACKARD CO                  COM       428236103     759     14,275 SH         X           1      12,270          0   2,005
KEY COLONY                                    430004994     880          1 SH                 X   1           0          1       0
JOHNSTON ENTERPRISES, L.P.                    432004992   1,389          0 SH         X           1           0          0       0
GURDON TIMBER LTD 36.494%                     434002994   2,477          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     941         28 SH         X           1          28          0       0
MCM TIMBER 3.021% INTEREST                    438002990     243          1 SH         X           1           1          0       0
MCM TIMBER 3.020% INTEREST                    438003998     243          1 SH         X           1           1          0       0
1MCM TIMBER 1.510% INTEREST                   438004996   1,595          2 SH         X           1           2          0       0
MARIE P CARTER ENTERPRISES L                  439004995   1,623          1 SH         X           1           1          0       0
OAK GROVE LAND CO, L.P. 12.5                  440000990     309          4 SH         X           1           4          0       0
REED HOLDINGS PARTNERSHIP, L                  441002995   1,104         71 SH         X           1          71          0       0
MCM TIMBER 12% INTEREST                       442000998     965          1 SH         X           1           1          0       0
MCCULLOCH PARTNERS, LTD 7.24                  443000997   2,220          6 SH         X           1           6          0       0
DCT OPERATING PARTNERSHIP                     443004999     603     75,518 SH         X           1      75,518          0       0
MCMILLON PROPERTIES L/P                       445000995   2,183         96 SH         X           1          96          0       0
ILLINOIS TOOL WKS INC               COM       452308109     295      6,219 SH         X           1       4,868          0   1,351
INTEL CORP                          COM       458140100   1,044     46,853 SH         X           1      40,741          0   6,112
INTEL CORP                          COM       458140100      71      3,200 SH                 X   1       3,200          0       0
INTERCONTINENTALEXCHANGE INC        COM       45865V100     224      1,998 SH         X           1       1,548          0     450
INTERNATIONAL BUSINESS MACHS        COM       459200101     994      7,754 SH         X           1       7,031          0     723
INVERNESS MED INNOVATIONS IN        COM       46126P106     343      8,800 SH         X           1       8,800          0       0
INVESTMENT CO AMER                  COM       461308108   1,100     41,246 SH         X           1      41,246          0       0
ISHARES TR INDEX RUSSELL 2000                 464287655     537      7,917 SH         X           1       7,917          0       0
JPMORGAN CHASE & CO                 COM       46625H100     613     13,700 SH         X           1      13,700          0       0
JPMORGAN CHASE & CO                 COM       46625H100      88      1,956 SH                 X   1           0      1,956       0
JANUS INVT FD                       ORION FD  471023648     185     17,287 SH         X           1           0          0  17,287
                                    CL T
JANUS INVT FD                       OVERSEAS  47103C449     237      5,148 SH         X           1           0          0   5,148
                                    FD SHS
JOHNSON & JOHNSON                   COM       478160104   1,483     22,740 SH         X           1      21,327          0   1,413
JOHNSON & JOHNSON                   COM       478160104     372      5,700 SH                 X   1       4,500      1,200       0
JOHNSON CTLS INC                    COM       478366107     336     10,174 SH         X           1       7,620          0   2,554
JUNIPER NETWORKS INC                COM       48203R104     864     28,175 SH         X           1      28,175          0       0
K L S ENVIRO RES INC                COM       482530102       0    125,000 SH         X           1     125,000          0       0



                                        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)
--------------                      --------- --------- ------- ---------- --- ---- ---- --- --- --- ---------- ---------- -------
                                                                                    
KELLOGG CO                          COM       487836108     266      4,974 SH         X           1       3,820          0   1,154
KIMBERLY CLARK CORP                 COM       494368103     216      3,429 SH         X           1       1,924          0   1,505
KIMBERLY CLARK CORP                 COM       494368103       8        134 SH                 X   1         134          0       0
KRAFT FOODS INC                     CL A      50075N104     285      9,414 SH         X           1       8,364          0   1,050
LENDER PROCESSING SVCS INC          COM       52602E102     295      7,816 SH         X           1       7,816          0       0
LILLY ELI & CO                      COM       532457108     187      5,166 SH         X           1       2,821          0   2,345
LILLY ELI & CO                      COM       532457108      36        998 SH                 X   1         998          0       0
LONGLEAF PARTNERS FDS TR            SH BEN    543069108     227      8,827 SH         X           1       8,827          0       0
                                    INT
LORD ASSET MGMT TR                  T WHITE   543917108     227     14,251 SH         X           1           0          0  14,251
                                    INTL
LOWES COS INC                       COM       548661107     201      8,300 SH         X           1       8,300          0       0
MFS SER TR I                        VALUE FD  552983801     208      9,631 SH         X           1         252          0   9,379
                                    CL A
MANULIFE FINL CORP                  COM       56501R106     370     18,800 SH         X           1      18,800          0       0
MARTIN MARIETTA MATLS INC           COM       573284106     223      2,670 SH         X           1       2,670          0       0
MCDONALDS CORP                      COM       580135101     489      7,322 SH         X           1       6,437          0     885
MCDONALDS CORP                      COM       580135101       8        118 SH                 X   1         118          0       0
MERCK & CO INC                      NEW COM   58933Y105     330      8,826 SH         X           1       8,417          0     409
MERCK & CO INC                      NEW COM   58933Y105       2         54 SH                 X   1          54          0       0
MICROSOFT CORP                      COM       594918104   2,087     71,266 SH         X           1      65,817          0   5,449
COLLABRX SER A PFD STOCK                      601A4X997     634    446,227 SH                 X   1           0    446,227       0
MONTGOMERY EXPLORATION                        601A5Z991     292          1 SH         X           1           1          0       0
MURPHY OIL CORP                     COM       626717102   4,711     83,839 SH         X           1      83,839          0       0
MURPHY OIL CORP                     COM       626717102 421,975  7,509,784 SH                 X   1           0  7,509,784       0
MUTUAL SER FD INC                   SHS FD    628380107     374     18,499 SH                 X   1      18,499          0       0
                                    CL Z
MUTUAL SER FD INC                   BEACON    628380305     162     13,366 SH                 X   1      13,366          0       0
                                    FD Z
MUTUAL SER FD INC                   GBL       628380404  32,170  1,137,145 SH         X           1   1,136,788        320      37
                                    DISCVR
                                    FD Z
MUTUAL SER FD INC                   GBL       628380404     141      4,987 SH                 X   1       4,691        198      98
                                    DISCVR
                                    FD Z
NATIONAL OILWELL VARCO INC          COM       637071101     274      6,743 SH         X           1       6,743          0       0
NESTLE S A                          SPONSORED 641069406     956     18,642 SH         X           1      18,642          0       0
                                    ADR
NETAPP INC                          COM       64110D104     373     11,475 SH         X           1      11,475          0       0
NEW PERSPECTIVE FD INC              COM       648018109     660     25,124 SH         X           1      25,124          0       0
NORFOLK SOUTHERN CORP               COM       655844108     236      4,223 SH         X           1       3,491          0     732
ON SEMICONDUCTOR CORP               COM       682189105     110     13,711 SH         X           1      13,711          0       0
O REILLY AUTOMOTIVE INC             COM       686091109     332      7,968 SH         X           1       6,653          0   1,315
PDL BIOPHARMA INC                   COM       69329Y104     186     30,000 SH                 X   1           0     30,000       0
PEPSICO INC                         COM       713448108   1,056     15,961 SH         X           1      14,499          0   1,462
1PEPSICO INC                        COM       713448108      73      1,100 SH                 X   1           0      1,100       0
PFIZER INC                          COM       717081103     446     25,996 SH         X           1      25,186          0     810
PFIZER INC                          COM       717081103      24      1,420 SH                 X   1         720        700       0
PHILIP MORRIS INTL INC              COM       718172109     527     10,111 SH         X           1       7,990          0   2,121
PHILIP MORRIS INTL INC              COM       718172109       6        118 SH                 X   1         118          0       0
POTASH CORP SASK INC                COM       73755L107     602      5,044 SH         X           1       5,044          0       0
PRAXAIR INC                         COM       74005P104     296      3,568 SH         X           1       2,869          0     699
PRECISION CASTPARTS CORP            COM       740189105     263      2,075 SH         X           1       1,601          0     474
PRICE T ROWE GROUP INC              COM       74144T108     887     16,130 SH         X           1      15,760          0     370
PRICE T ROWE GROWTH STK FD I        COM       741479109  80,175  2,794,530 SH         X           1   2,793,544        890      96
PRICE T ROWE GROWTH STK FD I        COM       741479109     592     20,641 SH                 X   1      16,633      3,724     284
PROCTER & GAMBLE CO                 COM       742718109   2,397     37,887 SH         X           1      35,664          0   2,223
PROCTER & GAMBLE CO                 COM       742718109     383      6,060 SH                 X   1       6,060          0       0
QUALCOMM INC                        COM       747525103     313      7,469 SH         X           1       5,824          0   1,645
RAYTHEON CO                         COM NEW   755111507     279      4,893 SH         X           1       3,788          0   1,105
REGIONS FINANCIAL CORP              NEW COM   7591EP100     317     40,330 SH         X           1      33,346          0   6,984
REGIONS FINANCIAL CORP              NEW COM   7591EP100      17      2,205 SH                 X   1           0      2,205       0
REPUBLIC SVCS INC                   COM       760759100     528     18,200 SH         X           1      18,200          0       0
ROWE T PRICE EQUITY INCOME F SH BEN
   INT                                        779547108  18,028    809,497 SH         X           1     809,234        238      25
ROWE T PRICE EQUITY INCOME F SH BEN
   INT                                        779547108     100      4,491 SH                 X   1       4,241        156      94
ROWE T PRICE MID-CAP GROWTH         COM       779556109  48,104    934,783 SH         X           1     934,455        296      32
ROWE T PRICE MID-CAP GROWTH         COM       779556109     295      5,726 SH                 X   1       4,877        746     103
ROWE T PRICE MID CAP VALUE F        COM       77957Y106     277     12,573 SH         X           1       4,545          0   8,028
ROYAL DUTCH SHELL PLC               SPON ADR  780259107     182      3,287 SH         X           1       1,627          0   1,660
                                    B
ROYAL DUTCH SHELL PLC               SPON ADR  780259107      93      1,687 SH                 X   1       1,687          0       0
                                    B
ROYAL DUTCH SHELL PLC               SPONS     780259206      93      1,600 SH         X           1       1,600          0       0
                                    ADR A
ROYAL DUTCH SHELL PLC               SPONS     780259206     185      3,200 SH                 X   1       3,200          0       0
                                    ADR A
ROYCE FD PENN MUT INV                         780905840  30,807  3,059,285 SH         X           1   3,058,214        957     114
ROYCE FD PENN MUT INV                         780905840     175     17,370 SH                 X   1      15,651      1,388     331
SCHLUMBERGER LTD                    COM       806857108   1,048     16,511 SH         X           1      15,255          0   1,256
SCHWAB CHARLES CORP                 NEW COM   808513105     698     37,350 SH         X           1      35,382          0   1,968



                                        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)
--------------                      --------- --------- ------- ---------- --- ---- ---- --- --- --- ---------- ---------- -------
                                                                                    
SEQUENOM INC                        COM NEW   817337405      63     10,000 SH         X           1      10,000          0       0
SHERWIN WILLIAMS CO                 COM       824348106     237      3,500 SH         X           1       3,500          0       0
SIMMONS 1ST NATL CORP               CL A $1   828730200     291     10,566 SH         X           1      10,566          0       0
                                    PAR
SIRIUS XM RADIO INC                 COM       82967N108       9     10,000 SH         X           1      10,000          0       0
SOUTHERN CO                         COM       842587107   3,754    113,205 SH         X           1     111,530          0   1,675
SOUTHERN CO                         COM       842587107     162      4,898 SH                 X   1       4,898          0       0
SOUTHWESTERN ENERGY CO              COM       845467109     214      5,257 SH         X           1       4,113          0   1,144
SPRINT NEXTEL CORP COMSER 1                   852061100     190     50,000 SH         X           1      50,000          0       0
STAPLES INC                         COM       855030102     297     12,697 SH         X           1       9,694          0   3,003
STATE STR CORP                      COM       857477103     402      8,900 SH         X           1       8,900          0       0
STRYKER CORP                        COM       863667101   1,607     28,086 SH         X           1      26,816          0   1,270
TARGET CORP                         COM       87612E106     561     10,657 SH         X           1       8,120          0   2,537
TEXAS INSTRS INC                    COM       882508104     247     10,087 SH         X           1       7,774          0   2,313
TEXAS ROADHOUSE INC                 COM       882681109     779     56,076 SH         X           1      56,076          0       0
THERMO FISHER SCIENTIFIC INC        COM       883556102     334      6,485 SH         X           1       5,107          0   1,378
TOTAL S A                           SPONSORED 89151E109     231      3,980 SH         X           1       2,729          0   1,251
                                    ADR
TOTAL S A                           SPONSORED 89151E109       6         96 SH                 X   1          96          0       0
                                    ADR
TRIMBLE NAVIGATION LTD              COM       896239100     361     12,560 SH         X           1      12,560          0       0
TRUSTMARK CORP                      COM       898402102     586     23,997 SH         X           1      23,997          0       0
CABE TIMBER I LIMITED PARTNE                  9020F6992   1,819          4 SH         X           1           4          0       0
LONG TIMBER CO LTD 80% FAMIL                  9020G7999   3,786          1 SH         X           1           1          0       0
USA TRUCK INC                       COM       902925106     285     17,613 SH         X           1      17,613          0       0
US BANCORP                          DEL COM   902973304     220      8,500 SH         X           1       8,500          0       0
                                    NEW
UNION PAC CORP                      COM       907818108     133      1,809 SH         X           1       1,446          0     363
UNION PAC CORP                      COM       907818108     323      4,400 SH                 X   1           0      4,400       0
UNITED TECHNOLOGIES CORP            COM       913017109     747     10,154 SH         X           1       8,795          0   1,359
V F CORP                            COM       918204108     422      5,270 SH         X           1       4,918          0     352
VANGUARD STAR FD                    TOTAL     921909602     422     28,867 SH         X           1      28,867          0       0
                                    INTL STK
VANGUARD WORLD FD                   MEGA CAP  921910873   1,901     47,287 SH         X           1      47,287          0       0
                                    INDEX
1VANGUARD EXPLORER FD INC           COM       921926101     435      7,001 SH         X           1       7,001          0       0
VANGUARD TAX-MANAGED FD             EUROPE    921943858     829     23,944 SH         X           1      23,944          0       0
                                    PAC ETF
VARIAN SEMICONDUCTOR EQUIPMN        COM       922207105     290      8,750 SH         X           1       8,750          0       0
VANGUARD INDEX FDS                  500       922908108     252      2,335 SH         X           1         153          0   2,182
                                    PORTFOLIO
VANGUARD INDEX FDS                  500       922908108     114      1,055 SH                 X   1         795        260       0
                                    PORTFOLIO
VANGUARD INDEX FDS                  VALUE     922908405   2,719    138,155 SH         X           1     138,155          0       0
                                    PTFL
VANGUARD INDEX FDS                  SM CP     922908611     234      3,903 SH         X           1       3,903          0       0
                                    VAL ETF
VANGUARD INDEX FDS                  MID CAP   922908629   1,272     19,532 SH         X           1      19,532          0       0
                                    ETF
VANGUARD INDEX FDS                  SMALL CP  922908751     862     13,689 SH         X           1      13,689          0       0
                                    ETF
VERIZON COMMUNICATIONS INC          COM       92343V104     405     13,055 SH         X           1      10,239          0   2,816
VERIZON COMMUNICATIONS INC          COM       92343V104      32      1,038 SH                 X   1         240        798       0
VISA INC                            COM CL A  92826C839     389      4,275 SH         X           1       3,297          0     978
VODAFONE GROUP PLC                  NEW       92857W209     209      8,960 SH         X           1       4,418          0   4,542
                                    SPONS
                                    ADR NEW
VODAFONE GROUP PLC                  NEW       92857W209      17        744 SH                 X   1         250        494       0
                                    SPONS
                                    ADR NEW
WAL MART STORES INC                 COM       931142103   1,385     24,916 SH         X           1      24,916          0       0
WASHINGTON MUT INVS FD INC          COM       939330106     814     31,969 SH         X           1      31,969          0       0
WELLS FARGO & CO                    NEW COM   949746101     422     13,552 SH         X           1      13,552          0       0
WISDOMTREE TRUST                    DIV       97717W406     324      7,565 SH         X           1       7,565          0       0
                                    EX-FINL
                                    FD
YUM BRANDS INC                      COM       988498101   1,476     38,514 SH         X           1      38,514          0       0
FINAL TOTALS                                            934,909 27,491,754                           16,187,526 10,958,776 345,452



                                        6