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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE QUARTER ENDED: 06/30/2010

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:    People's United Financial, Inc.
ADDRESS: 850 Main Street
         Bridgeport, CT 06604

Form 13F File Number: 28-05107

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:    R. David Rosato
TITLE:   Senior Vice President and Treasurer
PHONE:   (203) 338-7286


/s/ R. David Rosato                 Bridgeport, CT          08/12/2010
---------------------------         --------------          ----------

REPORT TYPE (CHECK ONLY ONE.):

[X]  13F HOLDINGS REPORT

[_]  13F NOTICE

[_]  13F COMBINATION REPORT




                              FORM 13F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:                  2

FORM 13F INFORMATION TABLE ENTRY TOTAL:           655

FORM 13F INFORMATION TABLE VALUE TOTAL:   $ 1,032,336

List of other included managers:

No.      Form 13F File Number         Name
---      --------------------         -----
001      28-20631                     People's United Bank
002      28-12043                     People's Securities Inc.




                           FORM 13F INFORMATION TABLE



                                                                                                        VOTING AUTHORITY
                                                           VALUE  SHARES/ SH/ PUT/ INVSTMT  OTHER   ------------------------
        NAME OF ISSUER         TITLE OF CLASS     CUSIP   (X1000) PRN AMT PRN CALL DSCRETN MANAGERS  SOLE    SHARED    NONE
------------------------------ ---------------- --------- ------- ------- --- ---- ------- -------- ------- -------- -------
                                                                                    
D  3M CO                       COMMON           88579Y101    2263   28648 SH       DEFINED      002       0    28648       0
D  3M CO                       COMMON           88579Y101   10025  126920 SH       SOLE         001  116213     1198    9509
D  3M CO                       COMMON           88579Y101    1871   23691 SH       OTHER        001   23082      304     305
D  ABBOTT LABS                 COMMON           002824100     993   21229 SH       DEFINED      002       0    21229       0
D  ABBOTT LABS                 COMMON           002824100    1231   26305 SH       SOLE         002       0        0   26305
D  ABBOTT LABS                 COMMON           002824100    5630  120349 SH       SOLE         001  116713     1413    2223
D  ABBOTT LABS                 COMMON           002824100     913   19512 SH       OTHER        001   18821      691       0
D  ACCENTURE PLC IRELAND       SPONSORED ADR    G1151C101     512   13235 SH       OTHER        001    8340        0    4895
D  ACCENTURE PLC IRELAND       SPONSORED ADR    G1151C101     123    3177 SH       OTHER        001      50      550    2577
D  ACME UTD CORP               COMMON           004816104     167   15732 SH       SOLE         001       0        0   15732
D  ACTIVISION BLIZZARD INC     COMMON           00507V109     122   11650 SH       DEFINED      002       0    11650       0
D  AETNA INC                   COMMON           00817Y108     479   18143 SH       DEFINED      002       0    18143       0
D  AETNA INC                   COMMON           00817Y108      44    1684 SH       SOLE         001    1684        0       0
D  AETNA INC                   COMMON           00817Y108     177    6710 SH       OTHER        001    6710        0       0
D  AFLAC INC                   COMMON           001055102    7892  184956 SH       SOLE         001  179444     2329    3183
D  AFLAC INC                   COMMON           001055102     781   18292 SH       OTHER        001   17538      754       0
D  AIR PRODS & CHEMS INC       COMMON           009158106    6728  103818 SH       SOLE         001  101769      997    1052
D  AIR PRODS & CHEMS INC       COMMON           009158106     257    3969 SH       OTHER        001    3434      535       0
D  ALCOA INC                   COMMON           013817101    1780  176944 SH       SOLE         001  176244        0     700
D  ALCOA INC                   COMMON           013817101      58    5730 SH       OTHER        001    5730        0       0
D  ALLERGAN INC                COMMON           018490102    7149  122713 SH       SOLE         001  119328     1321    2064
D  ALLERGAN INC                COMMON           018490102     478    8197 SH       OTHER        001    7087     1110       0
D  ALLIANCEBERNSTEIN INCOME    COMMON           01881E101      81   10000 SH       DEFINED      002       0    10000       0
D  ALTRIA GROUP INC            COMMON           02209S103     305   15197 SH       DEFINED      002       0    15197       0
D  ALTRIA GROUP INC            COMMON           02209S103    3798  189545 SH       SOLE         001  166369     3246   19930
D  ALTRIA GROUP INC            COMMON           02209S103     585   29172 SH       OTHER        001   22661     1821    4690
D  AMERICAN EXPRESS CO         COMMON           025816109     409   10300 SH       DEFINED      002       0    10300       0
D  AMERICAN EXPRESS CO         COMMON           025816109    1359   34229 SH       SOLE         001   32762        0    1467
D  AMERICAN EXPRESS CO         COMMON           025816109     439   11060 SH       OTHER        001   10310      750       0
D  AMGEN INC                   COMMON           031162100     327    6225 SH       DEFINED      002       0     6225       0
D  AMGEN INC                   COMMON           031162AN0    4632 4685000 PRN      DEFINED      002       0  4685000       0
D  AMGEN INC                   COMMON           031162100    4184   79542 SH       SOLE         001   79242        0     300






                                                                                    
D  AMGEN INC                   COMMON           031162100     355    6740 SH       OTHER        001    6399      141     200
D  ANALOG DEVICES INC          COMMON           032654105     553   19843 SH       SOLE         001   19843        0       0
D  ANALOG DEVICES INC          COMMON           032654105      19     684 SH       OTHER        001     555      129       0
D  ANNALY CAP MGMT INC         COMMON           035710409     168    9780 SH       SOLE         001    8900        0     880
D  ANNALY CAP MGMT INC         COMMON           035710409       9     538 SH       OTHER        001     400        0     138
D  ANWORTH MORTGAGE ASSET CP   COMMON           037347101      82   11500 SH       OTHER        001   11500        0       0
D  ANWORTH MORTGAGE ASSET CP   COMMON           037347101       7    1000 SH       OTHER        001    1000        0       0
D  APACHE CORP                 COMMON           037411105    1208   14350 SH       DEFINED      002       0    14350       0
D  APACHE CORP                 COMMON           037411105     754    8950 SH       SOLE         002     300        0    8650
D  APACHE CORP                 COMMON           037411105    7265   86294 SH       SOLE         001   81668     2379    2247
D  APACHE CORP                 COMMON           037411105     602    7152 SH       OTHER        001    6201      451     500
D  APPLE INC                   COMMON           037833100    6686   26580 SH       DEFINED      002       0    26580       0
D  APPLE INC                   COMMON           037833100     581    2310 SH       SOLE         002     200        0    2110
D  APPLE INC                   COMMON           037833100   17500   69574 SH       SOLE         001   65764     1283    2527
D  APPLE INC                   COMMON           037833100    1374    5462 SH       OTHER        001    4813      595      54
D  APPLIED MATLS INC           COMMON           038222105     194   16140 SH       SOLE         001    1380        0   14760
D  APPLIED MATLS INC           COMMON           038222105      36    2995 SH       OTHER        001    2310        0     685
D  ARROW FINL CORP             COMMON           042744102     211    9133 SH       OTHER        001    9133        0       0
D  ARROW FINL CORP             COMMON           042744102     304   13160 SH       OTHER        001   13160        0       0
D  ASTRAZENECA PLC             SPONSORED ADR    046353108     469    9960 SH       OTHER        001       0        0    9960
D  ASTRAZENECA PLC             SPONSORED ADR    046353108      22     460 SH       OTHER        001     100        0     360
D  AT&T INC                    COMMON           00206R102    1534   63427 SH       DEFINED      002       0    63427       0
D  AT&T INC                    COMMON           00206R102   14224  587996 SH       SOLE         001  549570     9352   29074
D  AT&T INC                    COMMON           00206R102    2081   86008 SH       OTHER        001   80228     3580    2200
D  AUTOMATIC DATA PROCESSING I COMMON           053015103     476   11813 SH       DEFINED      002       0    11813       0
D  AUTOMATIC DATA PROCESSING I COMMON           053015103    2572   63877 SH       SOLE         001   62532      940     405
D  AUTOMATIC DATA PROCESSING I COMMON           053015103     765   19005 SH       OTHER        001   14272      683    4050
D  AVALONBAY CMNTYS INC        COMMON           053484101     186    1994 SH       SOLE         001    1959        0      35
D  AVALONBAY CMNTYS INC        COMMON           053484101     168    1803 SH       OTHER        001    1803        0       0
D  AVNET INC                   COMMON           053807103     480   19900 SH       DEFINED      002       0    19900       0
D  AVON PRODS INC              COMMON           054303102     898   33902 SH       SOLE         001   32434      272    1196
D  AVON PRODS INC              COMMON           054303102     102    3833 SH       OTHER        001    3138      695       0
D  BAKER HUGHES INC            COMMON           057224107    1386   33333 SH       SOLE         001   32629      665      39
D  BAKER HUGHES INC            COMMON           057224107     141    3395 SH       OTHER        001    3395        0       0
D  BALFOUR MACLAINE CORP       COMMON           058459AA6       0   15000 SH       DEFINED      002       0    15000       0
D  BANK OF AMERICA CORP        COMMON           060505104     448   31178 SH       DEFINED      002       0    31178       0
D  BANK OF AMERICA CORP        COMMON           060505724    1175   51500 SH       DEFINED      002       0    51500       0
D  BANK OF AMERICA CORP        COMMON           060505104   10331  718931 SH       SOLE         001  707966     2601    8364
D  BANK OF AMERICA CORP        COMMON           060505104     630   43852 SH       OTHER        001   41882     1745     225
D  BANK OF NEW YORK MELLON COR COMMON           064058100     235    9536 SH       DEFINED      002       0     9536       0
D  BANK OF NEW YORK MELLON COR COMMON           064058100    4032  163320 SH       SOLE         001  161152     1598     570
D  BANK OF NEW YORK MELLON COR COMMON           064058100     675   27339 SH       OTHER        001   26903      436       0






                                                                                    
D  BAXTER INTL INC             COMMON           071813109     926   22775 SH       DEFINED      002       0    22775       0
D  BB & T CORP                 COMMON           054937107    1852   70375 SH       SOLE         001   70375        0       0
D  BECTON DICKINSON & CO       COMMON           075887109    1118   16527 SH       DEFINED      002       0    16527       0
D  BECTON DICKINSON & CO       COMMON           075887109     208    3081 SH       SOLE         002       0        0    3081
D  BECTON DICKINSON & CO       COMMON           075887109     558    8251 SH       SOLE         001    5286        0    2965
D  BECTON DICKINSON & CO       COMMON           075887109     225    3324 SH       OTHER        001    2134        0    1190
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108   12840     107 SH       SOLE         001     107        0       0
D  BERKSHIRE HATHAWAY INC CL A COMMON           084670108     480       4 SH       OTHER        001       2        0       2
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702     290    3644 SH       DEFINED      002       0     3644       0
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702    2036   25547 SH       SOLE         001   25125        0     422
D  BERKSHIRE HATHAWAY INC CL B COMMON           084670702     563    7060 SH       OTHER        001    1335        0    5725
D  BEST BUY INC                COMMON           086516101    7867  232327 SH       OTHER        001  226739     1918    3670
D  BEST BUY INC                COMMON           086516101     400   11809 SH       OTHER        001   10681     1128       0
D  BHP BILLITON LTD            SPONSORED ADR    088606108    7104  114602 SH       SOLE         001  107423     1265    5914
D  BHP BILLITON LTD            SPONSORED ADR    088606108     450    7259 SH       OTHER        001    5609      683     967
D  BIGLARI HLDGS INC           COMMON           08986R101    1133    3948 SH       SOLE         001    3948        0       0
D  BOEING CO                   COMMON           097023105    2839   45246 SH       DEFINED      002     125    45121       0
D  BOEING CO                   COMMON           097023105     650   10365 SH       SOLE         002     500        0    9865
D  BOEING CO                   COMMON           097023105    3306   52687 SH       OTHER        001   46306        0    6381
D  BOEING CO                   COMMON           097023105     750   11959 SH       OTHER        001    3550       61    8348
D  BP PLC                      SPONSORED ADR    055622104     809   28016 SH       OTHER        001   26701      857     458
D  BP PLC                      SPONSORED ADR    055622104     314   10869 SH       OTHER        001   10869        0       0
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108     615   24658 SH       DEFINED      002       0    24658       0
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108     304   12200 SH       SOLE         002       0        0   12200
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108    1909   76535 SH       SOLE         001   48000      200   28335
D  BRISTOL MYERS SQUIBB CO     COMMON           110122108     710   28478 SH       OTHER        001   25344      156    2978
D  BROADCOM CORP               COMMON           111320107    3676  111495 SH       DEFINED      002     200   111295       0
D  CAMPBELL SOUP CO            COMMON           134429109     242    6750 SH       DEFINED      002       0     6750       0
D  CANADIAN NATL RY CO         COMMON           136375102     327    5700 SH       OTHER        001       0        0    5700
D  CANADIAN NATL RY CO         COMMON           136375102      16     280 SH       OTHER        001       0        0     280
D  CAPITAL ONE FINL CORP       COMMON           14040H105    7153  177505 SH       SOLE         001  172825     1570    3110
D  CAPITAL ONE FINL CORP       COMMON           14040H105     248    6164 SH       OTHER        001    5604      560       0
D  CARNIVAL CORP               COMMON           143658300     440   14550 SH       SOLE         001   11335        0    3215
D  CARNIVAL CORP               COMMON           143658300      15     506 SH       OTHER        001     425        0      81
D  CATERPILLAR INC             COMMON           149123101    2397  39899  SH       DEFINED      002       0    39899       0
D  CATERPILLAR INC             COMMON           149123101     324    5400 SH       SOLE         002       0        0    5400
D  CATERPILLAR INC             COMMON           149123101    4592   76449 SH       SOLE         001   76449        0       0
D  CATERPILLAR INC             COMMON           149123101     461    7675 SH       OTHER        001    7575        0     100
D  CELGENE CORP                COMMON           151020104     188    3695 SH       SOLE         001     200        0    3495
D  CELGENE CORP                COMMON           151020104      24     465 SH       OTHER        001     300        0     165
D  CENOVUS ENERGY INC          COMMON           15135U109     345   13364 SH       SOLE         001   13364        0       0
D  CENOVUS ENERGY INC          COMMON           15135U109      17     665 SH       OTHER        001     665        0       0






                                                                                    
D  CHEMBIO DIAGNOSTICS INC     COMMON           163572100      17   60960 SH       SOLE         002       0        0   60960
D  CHEVRON CORP                COMMON           166764100    3810   56144 SH       DEFINED      002       0    56144       0
D  CHEVRON CORP                COMMON           166764100    1256   18503 SH       SOLE         002     500        0   18003
D  CHEVRON CORP                COMMON           166764100   17061  251418 SH       SOLE         001  239873     3384    8161
D  CHEVRON CORP                COMMON           166764100    3146   46359 SH       OTHER        001   45042      967     350
D  CHICAGO BRIDGE & IRON CO    COMMON           167250109     525   27920 SH       DEFINED      002       0    27920       0
D  CHIMERA INVT CORP           COMMON           16934Q109     103   28500 SH       SOLE         001   28500        0       0
D  CHUBB CORP                  COMMON           171232101    1419   28373 SH       SOLE         001   27608      410     355
D  CHUBB CORP                  COMMON           171232101     147    2931 SH       OTHER        001    2777      154       0
D  CIGNA CORP                  COMMON           125509109     276    8892 SH       DEFINED      002       0     8892       0
D  CISCO SYS INC               COMMON           17275R102    1784   83708 SH       DEFINED      002       0    83708       0
D  CISCO SYS INC               COMMON           17275R102     266   12500 SH       SOLE         002       0        0   12500
D  CISCO SYS INC               COMMON           17275R102   14935  700828 SH       SOLE         001  674855    13375   12598
D  CISCO SYS INC               COMMON           17275R102    1460   68519 SH       OTHER        001   63272     2119    3128
D  CITIGROUP INC               COMMON           172967101     218   57881 SH       DEFINED      002       0    57881       0
D  CITIGROUP INC               COMMON           172967101     359   95464 SH       OTHER        001   94864        0     600
D  CITIGROUP INC               COMMON           172967101     114   30216 SH       OTHER        001   29377        0     839
D  CITRIX SYS INC              COMMON           177376100     346    8189 SH       SOLE         001    8010        0     179
D  CITRIX SYS INC              COMMON           177376100      54    1275 SH       OTHER        001    1275        0       0
D  CLECO CORP                  COMMON           12561W105     105    3990 SH       SOLE         001       0        0    3990
D  CLECO CORP                  COMMON           12561W105     231    8760 SH       OTHER        001    8500        0     260
D  CLOROX CO                   COMMON           189054109     455    7320 SH       SOLE         001    7320        0       0
D  CLOROX CO                   COMMON           189054109     137    2204 SH       OTHER        001    2104        0     100
D  COACH INC                   COMMON           189754104    2787   76259 SH       OTHER        001   76063        0     196
D  COACH INC                   COMMON           189754104      37    1000 SH       OTHER        001    1000        0       0
D  COCA COLA CO                COMMON           191216100    2001   39917 SH       DEFINED      002       0    39917       0
D  COCA COLA CO                COMMON           191216100     541   10800 SH       SOLE         002     500        0   10300
D  COCA COLA CO                COMMON           191216100    6199  123686 SH       SOLE         001  123117       70     499
D  COCA COLA CO                COMMON           191216100     824   16432 SH       OTHER        001   15539      893       0
D  COGNIZANT TECHNOLOGY SOLUTI COMMON           192446102     253    5058 SH       SOLE         001    1330        0    3728
D  COGNIZANT TECHNOLOGY SOLUTI COMMON           192446102      16     319 SH       OTHER        001     230        0      89
D  COLGATE PALMOLIVE CO        COMMON           194162103     764    9700 SH       DEFINED      002       0     9700       0
D  COLGATE PALMOLIVE CO        COMMON           194162103    1443   18316 SH       SOLE         002       0        0   18316
D  COLGATE PALMOLIVE CO        COMMON           194162103    4465   56687 SH       OTHER        001   53920      175    2592
D  COLGATE PALMOLIVE CO        COMMON           194162103     412    5229 SH       OTHER        001    3473     1646     110
D  COMCAST CORP                COMMON           20030N101     244   14048 SH       DEFINED      002       0    14048       0
D  COMCAST CORP                COMMON           20030N101     222   12788 SH       SOLE         001   12278        0     510
D  COMCAST CORP                COMMON           20030N101      27    1538 SH       OTHER        001    1538        0       0
D  COMCAST CORP CL A SPL       COMMON           20030N200     444   27000 SH       SOLE         001   27000        0       0
D  CON EDISON INC              COMMON           209115104    2120   49179 SH       OTHER        001   48971        0     208
D  CON EDISON INC              COMMON           209115104     445   10325 SH       OTHER        001   10125        0     200
D  CONOCOPHILLIPS              COMMON           20825C104     438    8916 SH       DEFINED      002       0     8916       0






                                                                                    
D  CONOCOPHILLIPS              COMMON           20825C104     842   17150 SH       SOLE         002       0      600   16550
D  CONOCOPHILLIPS              COMMON           20825C104   10093  205594 SH       SOLE         001  195328      660    9606
D  CONOCOPHILLIPS              COMMON           20825C104     410    8361 SH       OTHER        001    7770      321     270
D  COOPER INDUSTRIES PLC       SPONSORED ADR    G24140108     390    8858 SH       OTHER        001    4272        0    4586
D  COOPER INDUSTRIES PLC       SPONSORED ADR    G24140108       7     170 SH       OTHER        001       0        0     170
D  CORNING INC                 COMMON           219350105     824   51030 SH       DEFINED      002       0    51030       0
D  CORNING INC                 COMMON           219350105     174   10800 SH       SOLE         002       0        0   10800
D  CORNING INC                 COMMON           219350105   11251  696668 SH       SOLE         001  681214     6737    8717
D  CORNING INC                 COMMON           219350105     831   51439 SH       OTHER        001   49570     1869       0
D  CORPORATE PROPERTY ASSOCIAT COMMON           22002Y107     171   16000 SH       SOLE         001   16000        0       0
D  COSTCO WHSL CORP            COMMON           22160K105    1560   28455 SH       SOLE         001   25405        0    3050
D  COSTCO WHSL CORP            COMMON           22160K105     123    2240 SH       SOLE         001    2100        0     140
D  COVIDIEN PLC                SPONSORED ADR    G2554F105     608   15127 SH       OTHER        001   15127        0       0
D  COVIDIEN PLC                SPONSORED ADR    G2554F105       9     219 SH       OTHER        001     219        0       0
D  CRYSTAL ROCK HOLDINGS INC   COMMON           22940F103      15   20000 SH       DEFINED      002       0    20000       0
D  CSX CORP                    COMMON           126408103    1281   25811 SH       DEFINED      002       0    25811       0
D  CSX CORP                    COMMON           126408103    5529  111396 SH       SOLE         001  108077     1363    1956
D  CSX CORP                    COMMON           126408103    1343   27057 SH       OTHER        001   22030     1027    4000
D  CVS CAREMARK CORP           COMMON           126650100     434   14800 SH       DEFINED      002       0    14800       0
D  CVS CAREMARK CORP           COMMON           126650100     297   10136 SH       SOLE         002       0        0   10136
D  CVS CAREMARK CORP           COMMON           126650100    9630  328451 SH       OTHER        001  323403     1600    3448
D  CVS CAREMARK CORP           COMMON           126650100     605   20626 SH       OTHER        001   19796      830       0
D  DANAHER CORP                COMMON           235851102    6351  171088 SH       SOLE         001  161678     6848    2562
D  DANAHER CORP                COMMON           235851102     576   15506 SH       OTHER        001   14052     1454       0
D  DARDEN RESTAURANTS INC      COMMON           237194105    1125   28970 SH       SOLE         001   28811        0     159
D  DARDEN RESTAURANTS INC      COMMON           237194105     120    3100 SH       OTHER        001    3100        0       0
D  DEERE & CO                  COMMON           244199105    2917   52380 SH       DEFINED      002     100    52280       0
D  DEERE & CO                  COMMON           244199105    7686  138030 SH       SOLE         001  132500      359    5171
D  DEERE & CO                  COMMON           244199105     306    5490 SH       OTHER        001    5078       57     355
D  DELL INC                    COMMON           24702R101     263   21845 SH       OTHER        001   21845        0       0
D  DELL INC                    COMMON           24702R101      22    1840 SH       OTHER        001    1840        0       0
D  DEVON ENERGY CORP           COMMON           25179M103    4534   74423 SH       SOLE         001   71517       38    2868
D  DEVON ENERGY CORP           COMMON           25179M103     109    1783 SH       OTHER        001    1504      147     132
D  DIAGEO PLC                  SPONSORED ADR    25243Q205     559    8911 SH       SOLE         001     131        0    8780
D  DIAGEO PLC                  SPONSORED ADR    25243Q205     106    1685 SH       OTHER        001    1345        0     340
D  DISCOVER FINL SVCS          COMMON           254709108     144   10280 SH       SOLE         001   10280        0       0
D  DISNEY (WALT) CO            COMMON           254687106     941   29876 SH       DEFINED      002       0    29876       0
D  DISNEY (WALT) CO            COMMON           254687106   11274  357918 SH       OTHER        001  342537     2899   12482
D  DISNEY (WALT) CO            COMMON           254687106     667   21159 SH       OTHER        001   18814     1404     941
D  DOMINION RES INC VA         COMMON           25746U109    2514   64894 SH       OTHER        001   64146      103     645
D  DOMINION RES INC VA         COMMON           25746U109     391   10102 SH       OTHER        001    8947      955     200
D  DOVER CORP                  COMMON           260003108     131    3131 SH       SOLE         001    3108        0      23






                                                                                    
D  DOVER CORP                  COMMON           260003108     338    8090 SH       OTHER        001    6000     2090       0
D  DOW CHEM CO                 COMMON           260543103    2097   88422 SH       OTHER        001   83536        0    4886
D  DOW CHEM CO                 COMMON           260543103     387   16302 SH       OTHER        001   16184        0     118
D  DR PEPPER SNAPPLE GROUP INC COMMON           26138E109     224    5985 SH       SOLE         001       0        0    5985
D  DR PEPPER SNAPPLE GROUP INC COMMON           26138E109      10     280 SH       OTHER        001       0        0     280
D  DU PONT E I DE NEMOURS & CO COMMON           263534109     296    8543 SH       DEFINED      002       0     8543       0
D  DU PONT E I DE NEMOURS & CO COMMON           263534109    6888  199146 SH       SOLE         001  181601     1126   16419
D  DU PONT E I DE NEMOURS & CO COMMON           263534109    1009   29172 SH       OTHER        001   28000      642     530
D  DUKE ENERGY CORP            COMMON           26441C105     116    7241 SH       OTHER        001    6141        0    1100
D  DUKE ENERGY CORP            COMMON           26441C105      49    3050 SH       OTHER        001    3050        0       0
D  E M C CORP MASS             COMMON           268648102    1465   80081 SH       DEFINED      002       0    80081       0
D  E M C CORP MASS             COMMON           268648102    9988  545777 SH       SOLE         001  510345    16180   19252
D  E M C CORP MASS             COMMON           268648102     665   36337 SH       OTHER        001   33052     2875     410
D  EATON CORP                  COMMON           278058102     327    5000 SH       SOLE         001    5000        0       0
D  EBAY INC                    COMMON           278642103     168    8578 SH       SOLE         001    4846        0    3732
D  EBAY INC                    COMMON           278642103      52    2641 SH       SOLE         001    2550        0      91
D  ECOLAB INC                  COMMON           278865100     397    8841 SH       SOLE         001    8291        0     550
D  EDWARDS LIFESCIENCES CORP   COMMON           28176E108     213    3800 SH       DEFINED      002       0     3800       0
D  ELAN CORP PLC               SPONSORED ADR    284131208     377   83808 SH       DEFINED      002       0    83808       0
D  EMERSON ELEC CO             COMMON           291011104     403    9220 SH       DEFINED      002       0     9220       0
D  EMERSON ELEC CO             COMMON           291011104    4194   95995 SH       SOLE         001   95216      350     429
D  EMERSON ELEC CO             COMMON           291011104     828   18941 SH       SOLE         001   18347      194     400
D  ENCANA CORP                 COMMON           292505104     469   15449 SH       SOLE         001   15449        0       0
D  ENCANA CORP                 COMMON           292505104      20     665 SH       OTHER        001     665        0       0
D  ENERGY SELECT SECTOR SPDR   OTHER            81369Y506     792   15950 SH       SOLE         001    N.A.     N.A.    N.A.
D  ENERGY SELECT SECTOR SPDR   OTHER            81369Y506      16     320 SH       OTHER        001    N.A.     N.A.    N.A.
D  ENTERPRISE PRODS PARTNERS L COMMON           293792107     354   10017 SH       SOLE         001   10017        0       0
D  ENTERPRISE PRODS PARTNERS L COMMON           293792107     151    4267 SH       OTHER        001    4267        0       0
D  EXELON CORP                 COMMON           30161N101    7683  202349 SH       SOLE         001  195323     4267    2759
D  EXELON CORP                 COMMON           30161N101     495   13035 SH       OTHER        001   10977     2058       0
D  EXPRESS SCRIPTS INC         COMMON           302182100    1704   36240 SH       DEFINED      002       0    36240       0
D  EXPRESS SCRIPTS INC         COMMON           302182100    6556  139430 SH       SOLE         001  135598     1102    2730
D  EXPRESS SCRIPTS INC         COMMON           302182100     591   12567 SH       OTHER        001    9003      706    2858
D  EXXON MOBIL CORP            COMMON           30231G102    4325   75776 SH       DEFINED      002       0   75776        0
D  EXXON MOBIL CORP            COMMON           30231G102    1438   25199 SH       SOLE         002       0        0   25199
D  EXXON MOBIL CORP            COMMON           30231G102   19510  341869 SH       SOLE         001  328878     4787    8204
D  EXXON MOBIL CORP            COMMON           30231G102    8177  143280 SH       OTHER        001  126658    10222    6400
D  FEDERAL HOME LN MTG CORP    COMMON           313400624       5   14200 SH       DEFINED      002       0    14200       0
D  FEDEX CORP                  COMMON           31428X106     510    7275 SH       DEFINED      002       0     7275       0
D  FINANCIAL SELECT SECTOR SPD OTHER            81369Y605     257   18600 SH       DEFINED      002    N.A.     N.A.    N.A.
D  FIRST BANCORP INC ME        COMMON           31866P102      75    5724 SH       SOLE         001    5724        0       0
D  FIRST BANCORP INC ME        COMMON           31866P102      79    6000 SH       OTHER        001    6000        0       0






                                                                                    
D  FIRSTENERGY CORP            COMMON           337932107     262    7445 SH       SOLE         001    7445        0       0
D  FIRSTENERGY CORP            COMMON           337932107      46    1318 SH       OTHER        001    1318        0       0
D  FISERV INC                  COMMON           337738108     276    6054 SH       OTHER        001    6054        0       0
D  FISERV INC                  COMMON           337738108       5     120 SH       OTHER        001     120        0       0
D  FORTUNE BRANDS INC          COMMON           349631101     239    6111 SH       SOLE         001    6111        0       0
D  FORTUNE BRANDS INC          COMMON           349631101      38     980 SH       OTHER        001     980        0       0
D  FREEPORT-MCMORAN COPPER & G COMMON           35671D857    2608   44108 SH       DEFINED      002     155    43953       0
D  FREEPORT-MCMORAN COPPER & G COMMON           35671D857     214    3626 SH       SOLE         001    1432        0    2194
D  FREEPORT-MCMORAN COPPER & G COMMON           35671D857      49     835 SH       OTHER        001     301      429     105
D  FRONTIER OIL CORP           COMMON           35914P105     490   36417 SH       OTHER        001   35562        0     855
D  FRONTIER OIL CORP           COMMON           35914P105      22    1600 SH       OTHER        001    1600        0       0
D  GANNETT INC                 COMMON           364730101     190   14143 SH       SOLE         001   14030        0     113
D  GENERAL DYNAMICS CORP       COMMON           369550108    4334   74016 SH       SOLE         001   70469     2230    1317
D  GENERAL DYNAMICS CORP       COMMON           369550108     306    5217 SH       SOLE         001    4869      348       0
D  GENERAL ELEC CAP CORP       COMMON           369622519     230    9200 SH       SOLE         001    9200        0       0
D  GENERAL ELEC CAP CORP       COMMON           369622519      40    1600 SH       OTHER        001    1600        0       0
D  GENERAL ELECTRIC CO         COMMON           369604103    1615  112025 SH       DEFINED      002       0   112025       0
D  GENERAL ELECTRIC CO         COMMON           369604103     362   25107 SH       SOLE         002       0     1300   23807
D  GENERAL ELECTRIC CO         COMMON           369604103   14870 1031214 SH       SOLE         001  979637    21789   29788
D  GENERAL ELECTRIC CO         COMMON           369604103    2304  159772 SH       OTHER        001  148785     2917    8070
D  GENERAL MILLS INC           COMMON           370334104    2505   70520 SH       DEFINED      002       0    70520       0
D  GENERAL MILLS INC           COMMON           370334104    6906  194423 SH       SOLE         001  188630     1993    3800
D  GENERAL MILLS INC           COMMON           370334104    1105   31096 SH       OTHER        001   29722     1374       0
D  GENUINE PARTS CO            COMMON           372460105   11264  285523 SH       OTHER        001  264338     6001   15184
D  GENUINE PARTS CO            COMMON           372460105     658   16685 SH       OTHER        001   14768     1457     460
D  GILEAD SCIENCES INC         COMMON           375558103     588   17165 SH       DEFINED      002       0    17165       0
D  GILEAD SCIENCES INC         COMMON           375558103    7124  207818 SH       OTHER        001  198515     1961    7342
D  GILEAD SCIENCES INC         COMMON           375558103     401   11685 SH       OTHER        001   10620      880     185
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105     437   12850 SH       DEFINED      002       0    12850       0
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105     104    3062 SH       SOLE         001    2049        0    1013
D  GLAXOSMITHKLINE PLC         SPONSORED ADR    37733W105     164    4814 SH       OTHER        001    4540      274       0
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104     964    7340 SH       DEFINED      002       0     7340       0
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104    1455   11085 SH       SOLE         001   11078        0       7
D  GOLDMAN SACHS GROUP INC     COMMON           38141G104      23     174 SH       OTHER        001     174        0       0
D  GOOGLE INC                  COMMON           38259P508    2316    5206 SH       SOLE         001    4598       48     560
D  GOOGLE INC                  COMMON           38259P508     202     454 SH       OTHER        001     421       12      21
D  GREEN MTN COFFEE ROASTERS I COMMON           393122106     274   10650 SH       SOLE         001   10650        0       0
D  HALLIBURTON CO              COMMON           406216101     422   17200 SH       DEFINED      002       0    17200       0
D  HALLIBURTON CO              COMMON           406216101      58    2350 SH       SOLE         001    2350        0       0
D  HALLIBURTON CO              COMMON           406216101     162    6600 SH       OTHER        001    6600        0       0
D  HAMPDEN BANCORP INC         COMMON           40867E107     223   23436 SH       SOLE         001   23436        0       0
D  HARRIS CORP DEL             COMMON           413875105     447   10733 SH       SOLE         001   10733        0       0






                                                                                    
D  HARRIS CORP DEL             COMMON           413875105      12     279 SH       OTHER        001     195       84       0
D  HEALTH CARE REIT INC        COMMON           42217K106     399    9476 SH       SOLE         001       0        0    9476
D  HEALTH CARE REIT INC        COMMON           42217K106      15     350 SH       OTHER        001       0        0     350
D  HEINZ (H.J.) CO             COMMON           423074103     531   12285 SH       DEFINED      002       0    12285       0
D  HEINZ (H.J.) CO             COMMON           423074103     655   15160 SH       SOLE         001    3249        0   11911
D  HEINZ (H.J.) CO             COMMON           423074103     168    3890 SH       OTHER        001    3500        0     390
D  HEWLETT PACKARD CO          COMMON           428236103    1016   23467 SH       DEFINED      002       0    23467       0
D  HEWLETT PACKARD CO          COMMON           428236103    9136  211089 SH       SOLE         001  203601     1728    5760
D  HEWLETT PACKARD CO          COMMON           428236103    1448   33454 SH       OTHER        001   20068     9181    4205
D  HOME DEPOT INC              COMMON           437076102     932   33196 SH       DEFINED      002       0    33196       0
D  HOME DEPOT INC              COMMON           437076102   11989  427126 SH       SOLE         001  419516     2939    4671
D  HOME DEPOT INC              COMMON           437076102    1084   38627 SH       OTHER        001   37143     1484       0
D  HONEYWELL INTL INC          COMMON           438516106     581   14892 SH       DEFINED      002       0    14892       0
D  HONEYWELL INTL INC          COMMON           438516106    3962  101514 SH       SOLE         001  101345      140      29
D  HONEYWELL INTL INC          COMMON           438516106     404   10343 SH       OTHER        001   10012      331       0
D  HOSPIRA INC                 COMMON           441060100     202    3512 SH       SOLE         001     351        0    3161
D  HOSPIRA INC                 COMMON           441060100       9     160 SH       OTHER        001      10        0     150
D  HSBC HLDGS PLC              SPONSORED  ADR   404280406     391    8568 SH       SOLE         001       0        0    8568
D  HSBC HLDGS PLC              SPONSORED  ADR   404280406      16     342 SH       SOLE         001       0        0     342
D  HUBBELL INC CLASS B         COMMON           443510201     218    5502 SH       DEFINED      002       0     5502       0
D  IDEXX LABS INC              COMMON           45168D104     433    7111 SH       SOLE         001    6748        0     363
D  IDEXX LABS INC              COMMON           45168D104     111    1826 SH       OTHER        001    1486      340       0
D  ILLINOIS TOOL WKS INC       COMMON           452308109     215    5200 SH       SOLE         002       0        0    5200
D  ILLINOIS TOOL WKS INC       COMMON           452308109    1459   35332 SH       SOLE         001   35332        0       0
D  ILLINOIS TOOL WKS INC       COMMON           452308109     187    4531 SH       OTHER        001    4405      126       0
D  INTEL CORP                  COMMON           458140100     530   27224 SH       DEFINED      002       0    27224       0
D  INTEL CORP                  COMMON           458140100     205   10550 SH       SOLE         002       0        0   10550
D  INTEL CORP                  COMMON           458140100   16747  861046 SH       OTHER        001  828134     8276   24636
D  INTEL CORP                  COMMON           458140100    1455   74806 SH       OTHER        001   63409     3507    7890
D  INTERCONTINENTALEXCHANGE IN COMMON           45865V100     222    1962 SH       OTHER        001       0        0    1962
D  INTERCONTINENTALEXCHANGE IN COMMON           45865V100      13     111 SH       OTHER        001       0        0     111
D  INTL BUSINESS MACHS         COMMON           459200101    2060   16681 SH       DEFINED      002       0    16681       0
D  INTL BUSINESS MACHS         COMMON           459200101    2150   17414 SH       SOLE         002       0        0   17414
D  INTL BUSINESS MACHS         COMMON           459200101   13191  106828 SH       SOLE         001  105125      110    1593
D  INTL BUSINESS MACHS         COMMON           459200101    2572   20831 SH       OTHER        001   17968     1490    1373
D  INTUIT                      COMMON           461202103     201    5787 SH       SOLE         001       0        0    5787
D  INTUIT                      COMMON           461202103       9     250 SH       OTHER        001       0        0     250
D  ISHARES BARCLAYS 1-3 YR CRE OTHER            464288646    2890   27819 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES BARCLAYS 1-3 YR CRE OTHER            464288646    1424   13706 SH       SOLE         002    N.A.     N.A.    N.A.
D  ISHARES COMEX GOLD TR       OTHER            464285105     544   44710 SH       SOLE         001    N.A.     N.A.    N.A.
D  ISHARES COMEX GOLD TR       OTHER            464285105     120    9900 SH       OTHER        001    N.A.     N.A.    N.A.
D  ISHARES DJ US BASIC MATERIA OTHER            464287838     268    5010 SH       DEFINED      002    N.A.     N.A.    N.A.






                                                                                    
D  ISHARES DJ US BASIC MATERIA OTHER            464287838     811   15150 SH       SOLE         001    N.A.     N.A.    N.A.
D  ISHARES DJ US BASIC MATERIA OTHER            464287838      41     775 SH       OTHER        001    N.A.     N.A.    N.A.
D  ISHARES DJ US HEALTHCARE SE OTHER            464287762     221    3800 SH       SOLE         001    N.A.     N.A.    N.A.
D  ISHARES INC MSCI BRAZIL IND OTHER            464286400     218    3520 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES INCMSCI CANADA      OTHER            464286509    2917  117308 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES INCMSCI PACIFIC EX  OTHER            464286665     202    5647 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES LEHMAN 1-3 YR TRS B OTHER            464287457    1523   18111 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES LEHMAN 1-3 YR TRS B OTHER            464287457     409    4862 SH       SOLE         002    N.A.     N.A.    N.A.
D  ISHARES LEHMAN TRES INF PR  OTHER            464287176    9144   85534 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES LEHMAN TRES INF PR  OTHER            464287176     973    9100 SH       SOLE         002    N.A.     N.A.    N.A.
D  ISHARES NASDAQ BIOTECH INDE OTHER            464287556     333    4300 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES RUSSELL 1000 GROWTH OTHER            464287614     230    5015 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES RUSSELL 1000 INDEX  OTHER            464287622     605   10594 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES RUSSELL 2000 INDEX  OTHER            464287655     789   12910 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES RUSSELL MIDCAP INDE OTHER            464287499    1513   18806 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL ENERGY OTHER            464287341     395   13497 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL HEALTH OTHER            464287325     489   10673 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL HEALTH OTHER            464287325     436    9500 SH       OTHER        001    N.A.     N.A.    N.A.
D  ISHARES S & P GLOBAL HEALTH OTHER            464287325      48    1040 SH       OTHER        001    N.A.     N.A.    N.A.
D  ISHARES S&P 500 BARRA VALUE OTHER            464287408    1372   27635 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES S&P 500 GROWTH INDE OTHER            464287309    1328   25082 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES S&P 500 INDEX       OTHER            464287200    1358   13121 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES S&P GSSI NATRL RES  OTHER            464287374     203    6590 SH       SOLE         001    N.A.     N.A.    N.A.
D  ISHARES S&P GSSI NATRL RES  OTHER            464287374      96    3100 SH       OTHER        001    N.A.     N.A.    N.A.
D  ISHARES TR                  OTHER            464287689      91    1493 SH       SOLE         001    N.A.     N.A.    N.A.
D  ISHARES TR                  OTHER            464287689     490    8030 SH       OTHER        001    N.A.     N.A.    N.A.
D  ISHARES TR DJ US OIL & GAS  OTHER            464288851    1096   22873 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES TR DJ US OIL & GAS  OTHER            464288851     332    6937 SH       SOLE         002    N.A.     N.A.    N.A.
D  ISHARES TR MSCI EAFE INDEX  OTHER            464287465     667   14340 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES TR MSCI EMERGING MK OTHER            464287234     656   17577 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES TR MSCI EMERGING MK OTHER            464287234     264    7062 SH       SOLE         002    N.A.     N.A.    N.A.
D  ISHARES TR S&P MIDCAP 400 G OTHER            464287606     219    2855 SH       DEFINED      002    N.A.     N.A.    N.A.
D  ISHARES VANGUARD SMALLCAP   COMMON           922908751     471    8320 SH       DEFINED      002       0     8320       0
D  ITT CORP                    COMMON           450911102    4878  108589 SH       SOLE         001  101892     1134    5563
D  ITT CORP                    COMMON           450911102     221    4913 SH       OTHER        001    4278      480     155
D  JOHNSON & JOHNSON           COMMON           478160104    2783   47115 SH       DEFINED      002       0    47115       0
D  JOHNSON & JOHNSON           COMMON           478160104    2134   36141 SH       SOLE         002       0        0   36141
D  JOHNSON & JOHNSON           COMMON           478160104   23374  395765 SH       SOLE         001  380001     6255    9509
D  JOHNSON & JOHNSON           COMMON           478160104    4210   71286 SH       OTHER        001   61898     4224    5164
D  JOHNSON CONTROLS INC        COMMON           478366107     302   11234 SH       SOLE         001    3400        0    7834
D  JOHNSON CONTROLS INC        COMMON           478366107     146    5427 SH       OTHER        001    5100        0     327
D  JP MORGAN CHASE & CO        COMMON           46625H100    2299   62809 SH       DEFINED      002       0    62809       0






                                                                                    
D  JP MORGAN CHASE & CO        COMMON           46625H100     250    6818 SH       SOLE         002       0        0    6818
D  JP MORGAN CHASE & CO        COMMON           46625H100   11903  325127 SH       SOLE         001  315216     6279    3632
D  JP MORGAN CHASE & CO        COMMON           46625H100    1947   53171 SH       OTHER        001   51337     1484     350
D  JPMORGAN TR II              COMMON           4812C0357     211   18370 SH       DEFINED      002       0   18370        0
D  KELLOGG CO                  COMMON           487836108     362    7205 SH       SOLE         001    7170       35       0
D  KELLOGG CO                  COMMON           487836108     134    2657 SH       OTHER        001    2557        0     100
D  KEYCORP                     COMMON           493267108      75    9739 SH       SOLE         001    9739        0       0
D  KEYCORP                     COMMON           493267108      15    1970 SH       OTHER        001    1970        0       0
D  KIMBERLY CLARK CORP         COMMON           494368103     261    4300 SH       DEFINED      002       0     4300       0
D  KIMBERLY CLARK CORP         COMMON           494368103    3633   59920 SH       OTHER        001   51349        0    8571
D  KIMBERLY CLARK CORP         COMMON           494368103     665   10964 SH       OTHER        001   10594        0     370
D  KIMCO REALTY CORP           COMMON           49446R109     202   15000 SH       SOLE         001   15000        0       0
D  KIMCO REALTY CORP           COMMON           49446R109      30    2250 SH       OTHER        001    2250        0       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106     398    6114 SH       DEFINED      002       0     6114       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106     326    5010 SH       SOLE         001    5010        0       0
D  KINDER MORGAN ENERGY PARTNE COMMON           494550106     124    1900 SH       OTHER        001    1900        0       0
D  KRAFT FOODS INC             COMMON           50075N104    1141   40743 SH       OTHER        001   13341        0   27402
D  KRAFT FOODS INC             COMMON           50075N104     387   13812 SH       OTHER        001   10094        0    3718
D  L-3 COMMUNICATIONS HLDGS IN COMMON           502424104     223    3150 SH       DEFINED      002       0     3150       0
D  L-3 COMMUNICATIONS HLDGS IN COMMON           502424104    2439   34423 SH       SOLE         001   33453      665     305
D  L-3 COMMUNICATIONS HLDGS IN COMMON           502424104     262    3701 SH       OTHER        001    3298      379      24
D  LABORATORY CORP AMER HLDGS  COMMON           50540R409    3120   41402 SH       SOLE         001   40077      886     439
D  LABORATORY CORP AMER HLDGS  COMMON           50540R409     270    3581 SH       OTHER        001    3137      444       0
D  LEGACY RESERVES LP          COMMON           524707304     191    8500 SH       SOLE         001    8500        0       0
D  LEGACY RESERVES LP          COMMON           524707304       9     400 SH       OTHER        001     400        0       0
D  LIFE TECHNOLOGIES CORP      COMMON           53217V109      60    1260 SH       SOLE         001    1260        0       0
D  LIFE TECHNOLOGIES CORP      COMMON           53217V109     302    6400 SH       OTHER        001    6400        0       0
D  LILLY ELI & CO              COMMON           532457108    1332   39757 SH       SOLE         001   26408        0   13349
D  LILLY ELI & CO              COMMON           532457108     158    4721 SH       OTHER        001    4120      111     490
D  LINN ENERGY LLC             COMMON           536020100     587   22120 SH       SOLE         001   22120        0       0
D  LINN ENERGY LLC             COMMON           536020100     179    6737 SH       OTHER        001    6500      237       0
D  LOCKHEED MARTIN CORP        COMMON           539830109    1327   17817 SH       SOLE         001   16424       45    1348
D  LOCKHEED MARTIN CORP        COMMON           539830109      95    1269 SH       OTHER        001    1146       89      34
D  LOWES COMPANIES             COMMON           548661107     419   20543 SH       DEFINED      002       0    20543       0
D  LOWES COMPANIES             COMMON           548661107    1023   50100 SH       SOLE         001   42525        0    7575
D  LOWES COMPANIES             COMMON           548661107     112    5465 SH       OTHER        001    5060        0     405
D  MACDERMID HOLDINGS LLC      COMMON           99Z161772     248  247851 SH       SOLE         002       0        0  247851
D  MACDERMID HOLDINGS LLC PFD  PREFERRED STOCK  99Z161780    1684    1684 SH       SOLE         002       0        0    1684
D  MARATHON OIL CORP           COMMON           565849106    1081   34768 SH       DEFINED      002       0    34768       0
D  MARATHON OIL CORP           COMMON           565849106     259    8343 SH       OTHER        001    8026        0     317
D  MARATHON OIL CORP           COMMON           565849106      66    2127 SH       OTHER        001    2127        0       0
D  MARKET VECTORS ETF TR       COMMON           57060U605     566   15612 SH       DEFINED      002       0    15612       0






                                                                                    
D  MARKET VECTORS ETF TR       COMMON           57060U100     171    3285 SH       SOLE         001    1450        0    1835
D  MARKET VECTORS ETF TR       COMMON           57060U100      34     645 SH       OTHER        001     600        0      45
D  MARSH & MCLENNAN COS INC    COMMON           571748102     216    9600 SH       SOLE         001    9600        0       0
D  MATERIALS SELECT SECTOR SPD OTHER            81369Y100     325   11455 SH       SOLE         001    N.A.     N.A.    N.A.
D  MATERIALS SELECT SECTOR SPD OTHER            81369Y100     121    4250 SH       OTHER        001    N.A.     N.A.    N.A.
D  MATTEL INC                  COMMON           577081102     233   11000 SH       SOLE         001   11000        0       0
D  MCCORMICK & CO INC COM NON  COMMON           579780206    2427   63939 SH       SOLE         001   63694        0     245
D  MCCORMICK & CO INC COM NON  COMMON           579780206     183    4815 SH       SOLE         001    4473      342       0
D  MCDONALDS CORP              COMMON           580135101    2229   33833 SH       DEFINED      002       0    33833       0
D  MCDONALDS CORP              COMMON           580135101     352    5346 SH       SOLE         002     850        0    4496
D  MCDONALDS CORP              COMMON           580135101   12529  190203 SH       OTHER        001  181284     3643    5276
D  MCDONALDS CORP              COMMON           580135101    1134   17217 SH       OTHER        001   14284      838    2095
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102     492    8928 SH       DEFINED      002       0     8928       0
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102     303    5506 SH       SOLE         002       0        0    5506
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102     233    4222 SH       OTHER        001    4222        0       0
D  MEDCO HEALTH SOLUTIONS INC  COMMON           58405U102     117    2120 SH       OTHER        001    2120        0       0
D  MEDTRONIC INC               COMMON           585055106     588   16200 SH       DEFINED      002       0    16200       0
D  MEDTRONIC INC               COMMON           585055AL0    4914 4945000 PRN      DEFINED      002       0  4945000       0
D  MEDTRONIC INC               COMMON           585055106    2886   79558 SH       OTHER        001   79558        0       0
D  MEDTRONIC INC               COMMON           585055106     213    5873 SH       OTHER        001    5873        0       0
D  MERCK & CO INC              COMMON           58933Y105    1599   45727 SH       OTHER        001   45037      260     430
D  MERCK & CO INC              COMMON           58933Y105     934   26712 SH       OTHER        001   25308      904     500
D  METLIFE INC                 COMMON           59156R108     359    9520 SH       DEFINED      002       0     9520       0
D  METLIFE INC                 COMMON           59156R108    6524  172781 SH       SOLE         001  171455      755     571
D  METLIFE INC                 COMMON           59156R108     514   13623 SH       OTHER        001   13623        0       0
D  METLIFE INC 5.875           COMMON           59156R405     276   10900 SH       DEFINED      002       0    10900       0
D  MICROSOFT CORP              COMMON           594918104     991   43057 SH       DEFINED      002       0    43057       0
D  MICROSOFT CORP              COMMON           594918104     537   23349 SH       SOLE         002       0        0   23349
D  MICROSOFT CORP              COMMON           594918104   15473  672430 SH       SOLE         001  652020     6725   13685
D  MICROSOFT CORP              COMMON           594918104    1298   56425 SH       OTHER        001   52691     3004     730
D  MONSANTO CO                 COMMON           61166W101     525   11350 SH       DEFINED      002       0    11350       0
D  MONSANTO CO                 COMMON           61166W101     222    4794 SH       SOLE         002       0      600    4194
D  MONSANTO CO                 COMMON           61166W101    1231   26623 SH       SOLE         001   25855      324     444
D  MONSANTO CO                 COMMON           61166W101     294    6366 SH       OTHER        001    6056      310       0
D  MORGAN STANLEY              COMMON           617446448     675   29099 SH       SOLE         001   29046        0      53
D  MORGAN STANLEY              COMMON           617446448       8     350 SH       OTHER        001     350        0       0
D  NASDAQ OMX GROUP INC        COMMON           631103108      27    1500 SH       SOLE         002    1500        0       0
D  NATIONAL FUEL GAS CO N J    COMMON           636180101     195    4248 SH       SOLE         001    1730        0    2518
D  NATIONAL FUEL GAS CO N J    COMMON           636180101      42     912 SH       OTHER        001     850        0      62
D  NAUGATUCK VY FINL CORP      COMMON           639067107     120   19280 SH       SOLE         002       0        0   19280
D  NESTLE S A                  SPONSORED ADR    641069406     935   19313 SH       OTHER        001   13843        0    5470
D  NESTLE S A                  SPONSORED ADR    641069406      68    1412 SH       OTHER        001    1137        0     275






                                                                                    
D  NEWALLIANCE BANCSHARES      COMMON           650203102     566   50500 SH       DEFINED      002       0    50500       0
D  NEWMONT MINING CORP         COMMON           651639106     215    3475 SH       DEFINED      002       0     3475       0
D  NEXTERA ENERGY INC          COMMON           65339F101    2199   45090 SH       SOLE         001   37085      106    7899
D  NEXTERA ENERGY INC          COMMON           65339F101     449    9205 SH       OTHER        001    8690      275     240
D  NOBLE CORPORATION BAAR      COMMON           H5833N103     212    6850 SH       OTHER        001     325        0    6525
D  NOBLE CORPORATION BAAR      COMMON           H5833N103       9     290 SH       OTHER        001       0        0     290
D  NOKIA CORP                  SPONSORED ADR    654902204     193   23641 SH       DEFINED      002       0    23641       0
D  NOKIA CORP                  SPONSORED ADR    654902204    1904  233673 SH       SOLE         001  204887      650   28136
D  NOKIA CORP                  SPONSORED ADR    654902204     114   13940 SH       OTHER        001   12689      288     963
D  NORFOLK SOUTHERN CORP       COMMON           655844108    1001   18869 SH       SOLE         002       0        0   18869
D  NORFOLK SOUTHERN CORP       COMMON           655844108      42     800 SH       OTHER        001     800        0       0
D  NORFOLK SOUTHERN CORP       COMMON           655844108     756   14245 SH       OTHER        001   13745        0     500
D  NORTHROP GRUMMAN CORP       COMMON           666807102     311    5714 SH       SOLE         001    5502        0     212
D  NORTHROP GRUMMAN CORP       COMMON           666807102      31     571 SH       OTHER        001     235      336       0
D  NORWOOD RES LTD             SPONSORED ADR    669958100       1   31470 SH       SOLE         001   31470        0       0
D  NOVARTIS AG                 SPONSORED ADR    66987V109    1943   40215 SH       SOLE         001   38227        0    1988
D  NOVARTIS AG                 SPONSORED ADR    66987V109     136    2819 SH       OTHER        001    2675       69      75
D  NUVEEN FLAG CONN MUNI BOND  COMMON           67065N886     123   11679 SH       DEFINED      002       0    11679       0
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105    5692   73781 SH       DEFINED      002     100    73681       0
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105     272    3520 SH       SOLE         002    1200        0    2320
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105    5753   74568 SH       OTHER        001   69770      768    4030
D  OCCIDENTAL PETROLEUM CORP   COMMON           674599105     431    5583 SH       OTHER        001    5139      331     113
D  OMNICOM GROUP INC           COMMON           681919106    3603  105058 SH       SOLE         001  101201     1042    2815
D  OMNICOM GROUP INC           COMMON           681919106     318    9274 SH       OTHER        001    7779      425    1070
D  OPPENHEIMER DEVELOPING MK   COMMON           683974109     388   13995 SH       DEFINED      002       0    13995       0
D  ORACLE CORP                 COMMON           68389X105     876   40823 SH       DEFINED      002       0    40823       0
D  ORACLE CORP                 COMMON           68389X105    2036   94888 SH       SOLE         001   94688        0     200
D  ORACLE CORP                 COMMON           68389X105     346   16116 SH       OTHER        001   15437      479     200
D  PARKER HANNIFIN CORP        COMMON           701094104     561   10120 SH       DEFINED      002       0    10120       0
D  PATTERSON COS INC           COMMON           703395103    1670   58518 SH       OTHER        001   58518        0       0
D  PATTERSON COS INC           COMMON           703395103      58    2050 SH       OTHER        001    2050        0       0
D  PEABODY ENERGY CORP         COMMON           704549104     233    5951 SH       DEFINED      002       0     5951       0
D  PENGROWTH ENERGY TRUST      COMMON           706902509      37    4000 SH       SOLE         001    4000        0       0
D  PENGROWTH ENERGY TRUST      COMMON           706902509      55    6000 SH       OTHER        001    6000        0       0
D  PEOPLE'S UNITED FINANCIAL   COMMON           712704105     904   66966 SH       DEFINED      002       0    66966       0
D  PEOPLE'S UNITED FINANCIAL   COMMON           712704105     358   26531 SH       SOLE         001   26531        0       0
D  PEPCO HLDGS INC             COMMON           713291102     110    7000 SH       SOLE         001    7000        0       0
D  PEPCO HLDGS INC             COMMON           713291102     114    7300 SH       OTHER        001    7300        0       0
D  PEPSICO INC                 COMMON           713448108    1542   25305 SH       DEFINED      002       0    25305       0
D  PEPSICO INC                 COMMON           713448108     312    5125 SH       SOLE         002       0        0    5125
D  PEPSICO INC                 COMMON           713448108   10925  179241 SH       SOLE         001  175589     1974    1678
D  PEPSICO INC                 COMMON           713448108    1407   23080 SH       OTHER        001   18869     1111    3100






                                                                                    
D  PETROCHINA CO LTD           SPONSORED  ADR   71646E100     201    1832 SH       SOLE         001      15        0    1817
D  PETROCHINA CO LTD           SPONSORED  ADR   71646E100      10      90 SH       OTHER        001       0        0      90
D  PETROLEO BRASILEIRO S.A.    SPONSORED  ADR   71654V408     211    6150 SH       DEFINED      002       0     6150       0
D  PFIZER INC                  COMMON           717081103    1110   77810 SH       DEFINED      002       0    77810       0
D  PFIZER INC                  COMMON           717081103     693   48617 SH       SOLE         002       0     1800   46817
D  PFIZER INC                  COMMON           717081103    8892  623590 SH       SOLE         001  590587     5011   27992
D  PFIZER INC                  COMMON           717081103    1403   98408 SH       OTHER        001   87481    10777     150
D  PHILIP MORRIS INTL INC      COMMON           718172109     347    7562 SH       DEFINED      002       0     7562       0
D  PHILIP MORRIS INTL INC      COMMON           718172109    1159   25275 SH       OTHER        001   16583        0    8692
D  PHILIP MORRIS INTL INC      COMMON           718172109     770   16800 SH       OTHER        001   12600        0    4200
D  PLUM CREEK TIMBER CO INC    COMMON           729251108     866   25078 SH       SOLE         001   25078        0       0
D  PLUM CREEK TIMBER CO INC    COMMON           729251108     127    3680 SH       OTHER        001    3574      106       0
D  POWERSHARES DB BASE METALS  COMMON           73936B705     192   10660 SH       DEFINED      002       0    10660       0
D  POWERSHARES QQQ(TM)         COMMON           73935A104     308    7215 SH       DEFINED      002       0     7215       0
D  POWERSHARES WATER RESOURCES COMMON           73935X575     276   18350 SH       SOLE         001   18350        0       0
D  POWERSHARES WATER RESOURCES COMMON           73935X575       5     325 SH       OTHER        001       0      325       0
D  PRAXAIR INC                 COMMON           74005P104    2474   32552 SH       SOLE         001   28813     1017    2722
D  PRAXAIR INC                 COMMON           74005P104     436    5736 SH       OTHER        001    5096      520     120
D  PRICE T ROWE GROUP INC      COMMON           74144T108    1481   33374 SH       SOLE         001   28358      255    4761
D  PRICE T ROWE GROUP INC      COMMON           74144T108     171    3862 SH       OTHER        001    2871      816     175
D  PROCTER & GAMBLE CO         COMMON           742718109     966   16104 SH       DEFINED      002       0    16104       0
D  PROCTER & GAMBLE CO         COMMON           742718109    1659   27651 SH       SOLE         002       0        0   27651
D  PROCTER & GAMBLE CO         COMMON           742718109   10847  180847 SH       SOLE         001  177358     3081     408
D  PROCTER & GAMBLE CO         COMMON           742718109    2438   40644 SH       OTHER        001   39789      360     495
D  PROGRESS ENERGY INC         COMMON           743263105    1665   42465 SH       SOLE         001   41081      500     884
D  PROGRESS ENERGY INC         COMMON           743263105     180    4579 SH       OTHER        001    4480       99       0
D  PROVIDENT ENERGY TR         COMMON           74386K104     105   15247 SH       OTHER        001   15247        0       0
D  PRUDENTIAL FINANCIAL INC    COMMON           744320102    5368  100034 SH       SOLE         001   95793     1469    2772
D  PRUDENTIAL FINANCIAL INC    COMMON           744320102     271    5041 SH       OTHER        001    4496      545       0
D  PUBLIC SVC ENTERPRISE GROUP COMMON           744573106     165    5253 SH       SOLE         001    5253        0       0
D  PUBLIC SVC ENTERPRISE GROUP COMMON           744573106      63    2000 SH       OTHER        001    2000        0       0
D  QUALCOMM INC                COMMON           747525103     729   22203 SH       SOLE         001   17253        0    4950
D  QUALCOMM INC                COMMON           747525103      23     695 SH       OTHER        001     480        0     215
D  RAYTHEON CO                 COMMON           755111507      11     221 SH       SOLE         001     221        0       0
D  RAYTHEON CO                 COMMON           755111507     201    4150 SH       OTHER        001    3200      450     500
D  RBS CAPITAL FND TRUST VII   PREFERRED STOCK  74928P207     158   13000 SH       DEFINED      002       0    13000       0
D  RESEARCH IN MOTION LTD      SPONSORED ADR    760975102    6423  130383 SH       SOLE         001  126927     1031    2425
D  RESEARCH IN MOTION LTD      SPONSORED ADR    760975102     231    4695 SH       OTHER        001    4279      416       0
D  RIO TINTO PLC               SPONSORED ADR    767204100     192    4408 SH       OTHER        001       0        0    4408
D  RIO TINTO PLC               SPONSORED ADR    767204100      95    2180 SH       OTHER        001    2000        0     180
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR    780259206    1290   25684 SH       SOLE         001   24531      335     818
D  ROYAL DUTCH SHELL PLC       SPONSORED ADR    780259206     657   13083 SH       OTHER        001    8804     4222      57






                                                                                    
D  ROYCE VALUE TRUST INC       COMMON           780910105     408   38563 SH       DEFINED      002       0    38563       0
D  SARA LEE CORP               COMMON           803111103     120    8490 SH       SOLE         001    8490        0       0
D  SARA LEE CORP               COMMON           803111103      32    2300 SH       OTHER        001    2300        0       0
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108     634   11450 SH       DEFINED      002       0    11450       0
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108    7290  131723 SH       SOLE         001  120540     2007    9176
D  SCHLUMBERGER LTD            SPONSORED ADR    806857108     905   16346 SH       OTHER        001   11487      539    4320
D  SCHWAB CHARLES CORP         COMMON           808513105     605   42692 SH       SOLE         001   42607        0      85
D  SCHWAB CHARLES CORP         COMMON           808513105      19    1362 SH       OTHER        001    1362        0       0
D  SELECT SECTOR SPDR TR       OTHER            81369Y886    1337   47325 SH       SOLE         001    N.A.     N.A.    N.A.
D  SEMPRA ENERGY               COMMON           816851109     285    6098 SH       DEFINED      002       0     6098       0
D  SHERWIN WILLIAMS CO         COMMON           824348106     359    5185 SH       SOLE         001    5185        0       0
D  SIGMA-ALDRICH CORP          COMMON           826552101     793   15924 SH       SOLE         002       0        0   15924
D  SMUCKER J M CO COM          COMMON           832696405     331    5491 SH       OTHER        001    2034        0    3457
D  SMUCKER J M CO COM          COMMON           832696405      17     288 SH       OTHER        001     100        0     188
D  SOUTHERN CO                 COMMON           842587107    2349   70568 SH       OTHER        001   69073      400    1095
D  SOUTHERN CO                 COMMON           842587107     735   22075 SH       OTHER        001   21625        0     450
D  SPDR GOLD TRUST             OTHER            78463V107    3003   24680 SH       DEFINED      002    N.A.     N.A.    N.A.
D  SPDR METALS & MINING ETF    COMMON           78464A755     607   13285 SH       DEFINED      002       0    13285       0
D  SPDR SER TRST MS TECHNOLOGY OTHER            78464A102     781   15198 SH       DEFINED      002    N.A.     N.A.    N.A.
D  SPECTRA ENERGY CORP         COMMON           847560109     265   13226 SH       SOLE         001   13226        0       0
D  SPECTRA ENERGY CORP         COMMON           847560109      10     500 SH       OTHER        001     500        0       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101     416    8244 SH       DEFINED      002       0     8244       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101     622   12320 SH       SOLE         001   12320        0       0
D  STANLEY BLACK & DECKER INC  COMMON           854502101      51    1000 SH       OTHER        001    1000        0       0
D  STAPLES INC                 COMMON           855030102     304   15983 SH       DEFINED      002       0    15983       0
D  STAPLES INC                 COMMON           855030102    3802  199598 SH       SOLE         001  197309      137    2152
D  STAPLES INC                 COMMON           855030102     381   19982 SH       OTHER        001   18385     1597       0
D  STATE STREET CORP           COMMON           857477103     249    7348 SH       DEFINED      002       0     7348       0
D  STATE STREET CORP           COMMON           857477103    3407  100747 SH       SOLE         001   99497      557     693
D  STATE STREET CORP           COMMON           857477103     238    7041 SH       OTHER        001    7041        0       0
D  STRYKER CORP                COMMON           863667101    6355  126939 SH       SOLE         001  125712      702     525
D  STRYKER CORP                COMMON           863667101     569   11361 SH       OTHER        001   11011      350       0
D  SUMITOMO MITSUI FINL GROUP  SPONSORED ADR    86562M100      27    9443 SH       SOLE         001       0        0    9443
D  SUMITOMO MITSUI FINL GROUP  SPONSORED ADR    86562M100       2     655 SH       OTHER        001       0        0     655
D  SUNCOR ENERGY INC           COMMON           867224107     910   30916 SH       SOLE         001   23855        0    7061
D  SUNCOR ENERGY INC           COMMON           867224107      80    2710 SH       OTHER        001    2650        0      60
D  SYSCO CORP                  COMMON           871829107     717   25100 SH       DEFINED      002       0    25100       0
D  SYSCO CORP                  COMMON           871829107     224    7850 SH       SOLE         002       0        0    7850
D  SYSCO CORP                  COMMON           871829107    3307  115742 SH       SOLE         001  109864     2590    3288
D  SYSCO CORP                  COMMON           871829107     310   10854 SH       OTHER        001    9871      883     100
D  T ROWE PRICE TAX FREE INC   COMMON           779576107     191   19286 SH       DEFINED      002       0    19286       0
D  T ROWE PRICE TAX FREE SHT   COMMON           779902105     351   62851 SH       DEFINED      002       0    62851       0






                                                                                    
D  T ROWE PRICE TAX FREE SHT   COMMON           779902105     116   20775 SH       SOLE         002       0        0   20775
D  TARGET CORP                 COMMON           87612E106    4830   98230 SH       SOLE         001   97980        0     250
D  TARGET CORP                 COMMON           87612E106     437    8878 SH       OTHER        001    8878        0       0
D  TELEPHONE & DATA SYS INC    COMMON           879433860     203    7634 SH       SOLE         001    7634        0       0
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR    881624209    8440  162334 SH       SOLE         001  156026     2005    4303
D  TEVA PHARMACEUTICAL INDS LT SPONSORED ADR    881624209     658   12663 SH       SOLE         001   11651      880     132
D  TEXAS INSTRUMENTS INC       COMMON           882508104     864   37094 SH       DEFINED      002       0    37094       0
D  TEXAS INSTRUMENTS INC       COMMON           882508104    1360   58431 SH       SOLE         001   58431        0       0
D  TEXAS INSTRUMENTS INC       COMMON           882508104     160    6862 SH       OTHER        001    5862     1000       0
D  THE HERSHEY COMPANY         COMMON           427866108     247    5150 SH       SOLE         001    5150        0       0
D  THE HERSHEY COMPANY         COMMON           427866108     470    9800 SH       OTHER        001    9800        0       0
D  THERMO FISHER SCIENTIFIC, I COMMON           883556102     326    6641 SH       SOLE         002       0        0    6641
D  TIDEWATER INC               COMMON           886423102    2824   72925 SH       SOLE         001   72925        0       0
D  TIDEWATER INC               COMMON           886423102      29     750 SH       OTHER        001     750        0       0
D  TJX COS INC                 COMMON           872540109     224    5340 SH       OTHER        001    1065        0    4275
D  TJX COS INC                 COMMON           872540109       8     200 SH       OTHER        001       0        0     200
D  TORONTO-DOMINION BANK       SPONSORED ADR    891160509     233    3582 SH       DEFINED      002       0     3582       0
D  TRANSOCEAN INC              COMMON           893830AU3    5527 5705000 PRN      DEFINED      002       0  5705000       0
D  TRANSOCEAN INC              COMMON           893830AU3     480  495000 PRN      SOLE         002       0    25000  470000
D  TRANSOCEAN LTD              SPONSORED ADR    H8817H100     364    7846 SH       DEFINED      002       0     7846       0
D  TRAVELERS COMPANIES INC     COMMON           89417E109     313    6359 SH       SOLE         001     839        0    5520
D  TRAVELERS COMPANIES INC     COMMON           89417E109       8     170 SH       OTHER        001       0        0     170
D  TYCO ELECTRONICS LTD SWITZE SPONSORED ADR    H8912P106     380   14965 SH       OTHER        001   14965        0       0
D  TYCO ELECTRONICS LTD SWITZE SPONSORED ADR    H8912P106       6     219 SH       OTHER        001     219        0       0
D  TYCO INTERNATIONAL LTD      SPONSORED  ADR   H89128104     620   17604 SH       OTHER        001   13840        0    3764
D  TYCO INTERNATIONAL LTD      SPONSORED  ADR   H89128104      11     310 SH       OTHER        001     219        0      91
D  UNIGENE LABS INC            COMMON           904753100      14   17500 SH       DEFINED      002       0    17500       0
D  UNILEVER N V                SPONSORED ADR    904784709     592   21661 SH       SOLE         001    1461        0   20200
D  UNILEVER N V                SPONSORED ADR    904784709      21     760 SH       OTHER        001       0        0     760
D  UNION PAC CORP              COMMON           907818108     436    6273 SH       SOLE         001    6273        0       0
D  UNION PAC CORP              COMMON           907818108     306    4397 SH       OTHER        001    1597        0    2800
D  UNITED NAT FOODS INC        COMMON           911163103    1194   39975 SH       SOLE         001   39750        0     225
D  UNITED PARCEL SERVICE INC   COMMON           911312106     518    9105 SH       DEFINED      002       0     9105       0
D  UNITED PARCEL SERVICE INC   COMMON           911312106    2141   37641 SH       SOLE         001   37492      129      20
D  UNITED PARCEL SERVICE INC   COMMON           911312106     369    6488 SH       OTHER        001    6303      135      50
D  UNITED TECHNOLOGIES CORP    COMMON           913017109    1203   18528 SH       DEFINED      002       0    18528       0
D  UNITED TECHNOLOGIES CORP    COMMON           913017109     622    9588 SH       SOLE         002       0        0    9588
D  UNITED TECHNOLOGIES CORP    COMMON           913017109   12147  187129 SH       SOLE         001  179775     2542    4812
D  UNITED TECHNOLOGIES CORP    COMMON           913017109    2034   31341 SH       OTHER        001   29496      992     853
D  US BANCORP                  COMMON           902973304    8264  369759 SH       OTHER        001  359845     3558    6356
D  US BANCORP                  COMMON           902973304     309   13825 SH       OTHER        001   12346     1479       0
D  USA VIDEO INTERACTIVE CORP  COMMON           902924208       0   15400 SH       DEFINED      002       0    15400       0






                                                                                    
D  V F CORP                    COMMON           918204108     437    6140 SH       SOLE         001    5947        0     193
D  V F CORP                    COMMON           918204108       6      86 SH       OTHER        001      11       49      26
D  VALE S A                    SPONSORED  ADR   91912E105     279   11442 SH       SOLE         001    3900        0    7542
D  VALE S A                    SPONSORED  ADR   91912E105      16     640 SH       OTHER        001       0        0     640
D  VANGUARD EMERGING MARKETS E OTHER            922042858     653   17200 SH       SOLE         002    N.A.     N.A.    N.A.
D  VANGUARD INFORMATION TECHNO OTHER            92204A702     267    5400 SH       SOLE         001    N.A.     N.A.    N.A.
D  VANGUARD LTD TERM T/E FD-   SPONSORED ADR    922907704     451   40724 SH       DEFINED      002       0    40724       0
D  VANGUARD SHORT TERM BD INDE OTHER            921937827    2768   34163 SH       DEFINED      002    N.A.     N.A.    N.A.
D  VANGUARD SHORT TERM BD INDE OTHER            921937827     582    7181 SH       SOLE         002    N.A.     N.A.    N.A.
D  VERIZON COMMUNICATIONS      COMMON           92343V104     975   34812 SH       DEFINED      002       0    34812       0
D  VERIZON COMMUNICATIONS      COMMON           92343V104    8881  316969 SH       SOLE         001  288713     5681   22575
D  VERIZON COMMUNICATIONS      COMMON           92343V104    1295   46200 SH       OTHER        001   43552     1692     956
D  VISA INC                    COMMON           92826C839     391    5525 SH       DEFINED      002       0     5525       0
D  VODAFONE GROUP PLC          SPONSORED ADR    92857W209     787   38098 SH       SOLE         001   13349        0   24749
D  VODAFONE GROUP PLC          SPONSORED ADR    92857W209     102    4925 SH       OTHER        001    4014        0     911
D  WAL MART STORES INC         COMMON           931142103     739   15372 SH       DEFINED      002       0    15372       0
D  WAL MART STORES INC         COMMON           931142103    9920  206360 SH       OTHER        001  202014     1814    2532
D  WAL MART STORES INC         COMMON           931142103     607   12620 SH       OTHER        001   11735      885       0
D  WALGREEN CO                 COMMON           931422109     266    9950 SH       DEFINED      002       0     9950       0
D  WALGREEN CO                 COMMON           931422109     796   29800 SH       SOLE         002       0        0   29800
D  WALGREEN CO                 COMMON           931422109    1092   40884 SH       SOLE         001   39739      525     620
D  WALGREEN CO                 COMMON           931422109     499   18685 SH       OTHER        001   13001      934    4750
D  WASHINGTON POST CO CL B     COMMON           939640108     205     500 SH       SOLE         001     500        0       0
D  WEATHERFORD INTERNATIONAL L COMMON           H27013103     170   12970 SH       OTHER        001    1000        0   11970
D  WEATHERFORD INTERNATIONAL L COMMON           H27013103       6     420 SH       OTHER        001       0        0     420
D  WEBSTER FINANCL CP WATERBUR COMMON           947890109     328   18310 SH       DEFINED      002       0    18310       0
D  WELLS FARGO CO              COMMON           949746101     965   37694 SH       SOLE         002       0        0   37694
D  WELLS FARGO CO              COMMON           949746101   10303  402459 SH       SOLE         001  388584     8809    5066
D  WELLS FARGO CO              COMMON           949746101     674   26328 SH       SOLE         001   22362     1720    2246
D  WELLS FARGO CPA TR IV  D    COMMON           94976Y207     213    8600 SH       DEFINED      002       0     8600       0
D  WESTERN UNION CO            COMMON           959802109     217   14550 SH       DEFINED      002       0    14550       0
D  WHIRLPOOL CORP              COMMON           963320106      56     632 SH       SOLE         001       0        0     632
D  WHIRLPOOL CORP              COMMON           963320106     353    4015 SH       OTHER        001    4000        0      15
D  WILLIAMS COS INC            COMMON           969457100    3408  186452 SH       DEFINED      002       0   186452       0
D  YUM BRANDS INC              COMMON           988498101     248    6360 SH       DEFINED      002       0     6360       0