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

                                    FORM 13F

                              FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: 09/30/2007

Check here if Amendment       [ ]             Amendment Number:

This Amendment                [ ]             is a restatement

Institutional Investment Manager Filing this Report:

Name:       TRUSTCO BANK
Address:    3 SARNOWSKI DRIVE
            GLENVILLE, NY 12302


13F File Number: 28-10307

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:  Richard W. Provost
Title: Trust Officer
Phone: 518-381-3699
Signature, Place, and Date of Signing:

        10/04/2007

Report Type     (Check only one)
                [X]            13F HOLDINGS REPORT
                [ ]            13F COMBINATION REPORT


                                     Page 1




                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
AT&T INC           COMMON STOCK      00206R102    2841     67150 SH          DEFINED                    66385
                                                                                                                              765

                                     00206R102     952     22507 SH          DEF/OTH                    14001
                                                                                                                   8506

ABBOTT             COMMON STOCK      002824100    2425     45222 SH          DEFINED                    42572
                                                                                                                    450
                                                                                                                             2200
LABORATORIES

                                     002824100     430      8026 SH          DEF/OTH                     4426
                                                                                                                   2800
                                                                                                                              800

AIR PRODUCTS &     COMMON STOCK      009158106     973      9957 SH          DEFINED                     9957
CHEMICALS INC

ALCOA INC          COMMON STOCK      013817101     775     19800 SH          DEFINED                    19500
                                                                                                                    200
                                                                                                                              100

                                     013817101      31       800 SH          DEF/OTH                      500
                                                                                                                              300

ALLSTATE CORP      COMMON STOCK      020002101    1547     27042 SH          DEFINED                    27042

                                     020002101     155      2708 SH          DEF/OTH                     1270
                                                                                                                   1338
                                                                                                                              100

ALTRIA GROUP INC   COMMON STOCK      02209S103      60       870 SH          DEFINED                      870

                                     02209S103    3011     43300 SH          DEF/OTH                    37800
                                                                                                                   5500

AMERICAN EXPRESS   COMMON STOCK      025816109    1711     28815 SH          DEFINED                    27115
                                                                                                                    200
                                                                                                                             1500
CO

                                     025816109     510      8584 SH          DEF/OTH                     6784
                                                                                                                   1800

COLUMN TOTALS                                    15421


                                     Page 2




                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
AMERICAN           COMMON STOCK      026874107     206      3042 SH          DEFINED                     2942
                                                                                                                              100
INTERNATIONAL
GROUP

                                     026874107      88      1300 SH          DEF/OTH                     1300

ANHEUSER BUSCH     COMMON STOCK      035229103     726     14521 SH          DEFINED                    12921
                                                                                                                    800
                                                                                                                              800
COS INC

                                     035229103     160      3200 SH          DEF/OTH                      200
                                                                                                                   3000

APPLIED            COMMON STOCK      038222105     476     23000 SH          DEFINED                    19800
                                                                                                                             3200
MATERIALS INC

                                     038222105       4       200 SH          DEF/OTH                      200

AUTOMATIC DATA     COMMON STOCK      053015103     906     19725 SH          DEFINED                    18225
                                                                                                                             1500
PROCESSING INC

                                     053015103      60      1300 SH          DEF/OTH                      500
                                                                                                                    700
                                                                                                                              100

BP PLC             FOREIGN STOCK     055622104    2594     37398 SH          DEFINED                    33098
                                                                                                                   3100
                                                                                                                             1200

                                     055622104     486      7004 SH          DEF/OTH                     3200
                                                                                                                   3704
                                                                                                                              100

BAKER HUGHES INC   COMMON STOCK      057224107     239      2650 SH          DEFINED                     2650

                                     057224107      41       450 SH          DEF/OTH                      150
                                                                                                                              300

COLUMN TOTALS                                     5986


                                     Page 3



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
BANK OF AMERICA    COMMON STOCK      060505104    2353     46799 SH          DEFINED                    45816
                                                                                                                    950
                                                                                                                               33
CORP

                                     060505104    1020     20296 SH          DEF/OTH                    16442
                                                                                                                   3454
                                                                                                                              400

THE BANK OF NEW    COMMON STOCK      064058100     825     18696 SH          DEFINED                    18696
YORK COMPANY INC

BRISTOL-MYERS      COMMON STOCK      110122108     153      5300 SH          DEFINED                     1700
                                                                                                                   3600
SQUIBB CO

                                     110122108     340     11800 SH          DEF/OTH                     3200
                                                                                                                   8600

CHEVRON CORP NEW   COMMON STOCK      166764100    3728     39834 SH          DEFINED                    36784
                                                                                                                    650
                                                                                                                             2400

                                     166764100    1296     13847 SH          DEF/OTH                    11260
                                                                                                                   1787
                                                                                                                              800

CISCO SYSTEMS INC  COMMON STOCK      17275R102    2300     69435 SH          DEFINED                    68385
                                                                                                                    600
                                                                                                                              450

                                     17275R102      96      2900 SH          DEF/OTH                     1200
                                                                                                                   1200
                                                                                                                              500

CITIGROUP INC      COMMON STOCK      172967101    3128     67017 SH          DEFINED                    66067
                                                                                                                    950

                                     172967101     205      4400 SH          DEF/OTH                     1600
                                                                                                                   2400
                                                                                                                              400

COLUMN TOTALS                                    15444


                                     Page 4



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
CITIGROUP          PREFERRED STOCK   17310L201     234     10000 SH          DEF/OTH                    10000
CAPITAL XVI

COCA COLA CO       COMMON STOCK      191216100    3397     59117 SH          DEFINED                    58217
                                                                                                                    900

                                     191216100     713     12400 SH          DEF/OTH                     8200
                                                                                                                   4200

COLGATE            COMMON STOCK      194162103    2283     32011 SH          DEFINED                    31461
                                                                                                                    550
PALMOLIVE CO

                                     194162103     285      4000 SH          DEF/OTH                      100
                                                                                                                   3400
                                                                                                                              500

CURTISS WRIGHT     COMMON STOCK      231561101    3057     64352 SH          DEFINED                    64352
CORP

DISNEY WALT CO     COMMON STOCK      254687106    1891     54983 SH          DEFINED                    52333
                                                                                                                    250
                                                                                                                             2400

                                     254687106     248      7200 SH          DEF/OTH                     4100
                                                                                                                   3000
                                                                                                                              100

DOMINION           COMMON STOCK      25746U109      46       543 SH          DEFINED                      543
RESOURCES INC VA
NEW

                                     25746U109     271      3209 SH          DEF/OTH                     3209

DOW CHEMICAL CO    COMMON STOCK      260543103     482     11200 SH          DEFINED                    10350
                                                                                                                    850

                                     260543103     126      2925 SH          DEF/OTH                     1825
                                                                                                                   1100

DU PONT E I DE     COMMON STOCK      263534109    1047     21126 SH          DEFINED                    17540
                                                                                                                   1686
                                                                                                                             1900

COLUMN TOTALS                                    14080


                                     Page 5



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
NEMOURS & CO

                                     263534109     169      3410 SH          DEF/OTH                      760
                                                                                                                   2450
                                                                                                                              200

ECOLAB INC         COMMON STOCK      278865100     340      7200 SH          DEFINED                     6200
                                                                                                                             1000

                                     278865100      19       400 SH          DEF/OTH                      200
                                                                                                                              200

EMERSON ELECTRIC   COMMON STOCK      291011104     458      8600 SH          DEFINED                     8100
                                                                                                                    100
                                                                                                                              400
CO

                                     291011104     149      2800 SH          DEF/OTH                     1000
                                                                                                                   1800

EQUITABLE          COMMON STOCK      294549100     211      4060 SH          DEFINED                     4060
RESOURCES INC

EXCELSIOR TAX      MUTUAL            300861408     131     15212 SH          DEFINED                    15212
EXEMPT FUNDS INC   FUNDS/MUNI
                   BONDS

EXELON CORP        COMMON STOCK      30161N101    1010     13400 SH          DEFINED                    12800
                                                                                                                    600

                                     30161N101     158      2090 SH          DEF/OTH                     1590
                                                                                                                    500

EXXON MOBIL CORP   COMMON STOCK      30231G102   14503    156687 SH          DEFINED                   138289
                                                                                                                  14884
                                                                                                                             3514

                                     30231G102    3298     35634 SH          DEF/OTH                    21856
                                                                                                                  12422
                                                                                                                             1356

FPL GROUP INC      COMMON STOCK      302571104     731     12004 SH          DEFINED                    12004

COLUMN TOTALS                                    21177


                                     Page 6



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
FORTUNE BRANDS     COMMON STOCK      349631101     668      8200 SH          DEFINED                     7800
                                                                                                                    200
                                                                                                                              200
INC

                                     349631101     277      3400 SH          DEF/OTH                     2800
                                                                                                                    500
                                                                                                                              100

FRANKLIN N Y TAX   MUTUAL            354130106     138     11795 SH          DEFINED                    11795
FREE INCOME        FUNDS/MUNI
                   BONDS

                                     354130106     132     11334 SH          DEF/OTH                    11334

GENERAL ELECTRIC   COMMON STOCK      369604103   31663    764811 SH          DEFINED                   721662
                                                                                                                  32189
                                                                                                                            10960
CO

                                     369604103   11974    289224 SH          DEF/OTH                   213463
                                                                                                                  62361
                                                                                                                            13400

GENERAL MILLS INC  COMMON STOCK      370334104     425      7333 SH          DEFINED                     6433
                                                                                                                    700
                                                                                                                              200

                                     370334104     261      4500 SH          DEF/OTH                     4300
                                                                                                                    200

GENERAL MOTORS     CORPORATE BONDS   3704A0SV5     186    200000 PRN         DEF/OTH                   200000
ACCEPTANCE CORP

GLAXOSMITHKLINE    FOREIGN STOCK     37733W105     593     11150 SH          DEFINED                    10500
                                                                                                                    650
PLC

                                     37733W105     236      4427 SH          DEF/OTH                     3227
                                                                                                                   1100
                                                                                                                              100

COLUMN TOTALS                                    46553


                                     Page 7



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
HEWLETT PACKARD    COMMON STOCK      428236103     640     12856 SH          DEFINED                    12856
CO

HOME DEPOT INC     COMMON STOCK      437076102     650     20037 SH          DEFINED                    18187
                                                                                                                    350
                                                                                                                             1500

                                     437076102      53      1625 SH          DEF/OTH                      625
                                                                                                                    600
                                                                                                                              400

HONEYWELL          COMMON STOCK      438516106      70      1180 SH          DEFINED                     1180
INTERNATIONAL INC

                                     438516106     143      2400 SH          DEF/OTH                     2400

ITT CORP           COMMON STOCK      450911102     214      3150 SH          DEFINED                     3150

INTEL CORP         COMMON STOCK      458140100    3129    120982 SH          DEFINED                   118582
                                                                                                                             2400

                                     458140100     171      6600 SH          DEF/OTH                     3600
                                                                                                                   2500
                                                                                                                              500

INTERNATIONAL      COMMON STOCK      459200101    4689     39802 SH          DEFINED                    39002
                                                                                                                    800
BUSINESS MACHINES

                                     459200101     436      3700 SH          DEF/OTH                      400
                                                                                                                   3300

JPMORGAN CHASE &   COMMON STOCK      46625H100    1633     35637 SH          DEFINED                    34359
                                                                                                                   1014
                                                                                                                              264
CO

                                     46625H100     619     13516 SH          DEF/OTH                     9750
                                                                                                           3766

JACOBS             COMMON STOCK      469814107     310      4100 SH          DEFINED                     4000
                                                                                                                    100

COLUMN TOTALS                                    12757


                                     Page 8



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
ENGINEERING
GROUP INC

                                     469814107      30       400 SH          DEF/OTH                      400

JOHNSON & JOHNSON  COMMON STOCK      478160104    6540     99543 SH          DEFINED                    96543
                                                                                                                   3000

                                     478160104     691     10525 SH          DEF/OTH                     6225
                                                                                                                   3200
                                                                                                                             1100

JOHNSON CONTROLS   COMMON STOCK      478366107     626      5300 SH          DEFINED                     5300
INC

                                     478366107     159      1350 SH          DEF/OTH                      300
                                                                                                                   1000
                                                                                                                               50

KEYCORP            COMMON STOCK      493267108    2342     72450 SH          DEFINED                    72450

KRAFT FOODS INC    COMMON STOCK      50075N104      21       602 SH          DEFINED                      602

                                     50075N104    1034     29964 SH          DEF/OTH                    26158
                                                                                                                   3806

LILLY ELI & CO     COMMON STOCK      532457108     803     14100 SH          DEFINED                    13200
                                                                                                                    900

                                     532457108      40       700 SH          DEF/OTH                      400
                                                                                                                    300

LINCOLN NATIONAL   COMMON STOCK      534187109     400      6064 SH          DEFINED                     6064
CORP IN

                                     534187109     185      2800 SH          DEF/OTH                               2800

LOCKHEED MARTIN    COMMON STOCK      539830109     217      2000 SH          DEF/OTH                     1600
                                                                                                                    400
CORP

LOWES COS INC      COMMON STOCK      548661107     653     23300 SH          DEFINED                    23300

COLUMN TOTALS                                    13741


                                     Page 9



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
                                     548661107      67      2400 SH          DEF/OTH                     1000
                                                                                                                   1400

MARATHON OIL CORP  COMMON STOCK      565849106      94      1652 SH          DEFINED                     1652

                                     565849106     114      2000 SH          DEF/OTH                     2000

MASCO CORP         COMMON STOCK      574599106     293     12650 SH          DEFINED                    11600
                                                                                                                   1050

                                     574599106      46      2000 SH          DEF/OTH                      900
                                                                                                                    900
                                                                                                                              200

MCGRAW HILL COS    COMMON STOCK      580645109     509     10000 SH          DEFINED                    10000
INC

                                     580645109      51      1000 SH          DEF/OTH                      400
                                                                                                                    600

MEDTRONIC INC      COMMON STOCK      585055106    3358     59526 SH          DEFINED                    52026
                                                                                                                    700
                                                                                                                             6800

                                     585055106      56      1000 SH          DEF/OTH                      400
                                                                                                                    300
                                                                                                                              300

MICROSOFT CORP     COMMON STOCK      594918104    5525    187545 SH          DEFINED                   176095
                                                                                                                    850
                                                                                                                            10600

                                     594918104     563     19100 SH          DEF/OTH                    15400
                                                                                                                   3000
                                                                                                                              700

MOTOROLA INC       COMMON STOCK      620076109     382     20595 SH          DEFINED                    19895
                                                                                                                    100
                                                                                                                              600

                                     620076109      56      3000 SH          DEF/OTH                     2400
                                                                                                                    600

COLUMN TOTALS                                    11114


                                   Page 10



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
NBT BANCORP INC    COMMON STOCK      628778102     525     24158 SH          DEFINED                      672
                                                                                                                  23486

NIKE INC           COMMON STOCK      654106103     270      4600 SH          DEFINED                     4600

                                     654106103      12       200 SH          DEF/OTH                      200

NUVEEN             MUTUAL            67065N670     161     15152 SH          DEFINED                    15152
MULTISTATE TRUST   FUNDS/MUNI
II                 BONDS

PEPSICO INC        COMMON STOCK      713448108    4819     65773 SH          DEFINED                    62523
                                                                                                                   1250
                                                                                                                             2000

                                     713448108     476      6500 SH          DEF/OTH                     1900
                                                                                                                   4300
                                                                                                                              300

PFIZER INC         COMMON STOCK      717081103     788     32269 SH          DEFINED                    29369
                                                                                                                    800
                                                                                                                             2100

                                     717081103     250     10226 SH          DEF/OTH                     3466
                                                                                                                   6760

PRIVATE EXPORT     CORPORATE BONDS   742651DC3     253    250000 PRN         DEFINED                   250000
FUNDING CORP

PROCTER & GAMBLE   COMMON STOCK      742718109    7190    102217 SH          DEFINED                    98177
                                                                                                                    840
                                                                                                                             3200
CO

                                     742718109     929     13203 SH          DEF/OTH                     3200
                                                                                                                   8708
                                                                                                                             1295

ROCHESTER FUND     MUTUAL            771362100     349     19337 SH          DEFINED                    19337
MUNICIPALS INC     FUNDS/MUNI
                   BONDS

COLUMN TOTALS                                    16022


                                   Page 11



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
                                     771362100     153      8490 SH          DEF/OTH                     8490

SLM CORP           CORPORATE BONDS   78490FKQ1     316    400000 PRN         DEF/OTH                   400000

SCHERING PLOUGH    COMMON STOCK      806605101     509     16100 SH          DEFINED                    11800
                                                                                                                   4300
CORP

SCHLUMBERGER LTD   COMMON STOCK      806857108     793      7550 SH          DEFINED                     6650
                                                                                                                    200
                                                                                                                              700

                                     806857108      21       200 SH          DEF/OTH                      200

SOUTHERN CO        COMMON STOCK      842587107    2885     79508 SH          DEFINED                    77758
                                                                                                                   1450
                                                                                                                              300

                                     842587107     210      5800 SH          DEF/OTH                     1700
                                                                                                                   3300
                                                                                                                              800

TARGET CORP        COMMON STOCK      87612E106    1488     23400 SH          DEFINED                    22550
                                                                                                                    150
                                                                                                                              700

                                     87612E106     114      1800 SH          DEF/OTH                      700
                                                                                                                   1100

TEXAS              COMMON STOCK      882508104     616     16830 SH          DEFINED                    16830
INSTRUMENTS INC

                                     882508104      11       300 SH          DEF/OTH                      100
                                                                                                                              200

3M CO              COMMON STOCK      88579Y101    1713     18300 SH          DEFINED                    18300

                                     88579Y101     443      4730 SH          DEF/OTH                      580
                                                                                                                   4150

TRUSTCO BANK       COMMON STOCK      898349105   10792    987365 SH          DEFINED                   720020
                                                                                                                  83842
                                                                                                                           183503

COLUMN TOTALS                                    20064


                                   Page 12



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
CORP NY

                                     898349105    7567    692276 SH          DEF/OTH                   618628
                                                                                                                  35342
                                                                                                                            38306

UNITED PARCEL      COMMON STOCK      911312106     584      7775 SH          DEFINED                     7325
                                                                                                                    400
                                                                                                                               50
SERVICE

                                     911312106      19       250 SH          DEF/OTH                      100
                                                                                                                    100
                                                                                                                               50

UNITED             COMMON STOCK      913017109    4466     55489 SH          DEFINED                    50289
                                                                                                                    400
                                                                                                                             4800
TECHNOLOGIES CORP

                                     913017109     298      3700 SH          DEF/OTH                     1900
                                                                                                                   1400
                                                                                                                              400

UNITRIN INC        COMMON STOCK      913275103   11186    225568 SH          DEFINED                   225568

VANGUARD           MUTUAL            922021308     274     25136 SH          DEFINED                    25136
CALIFORNIA TAX     FUNDS/MUNI
FREE               BONDS

VANGUARD NEW       MUTUAL            92204H103     169     15285 SH          DEFINED                    15285
YORK TAX FREE      FUNDS/MUNI
FUNDS              BONDS

VANGUARD NEW       MUTUAL            92204H301    3279    296461 SH          DEFINED                   296461
YORK TAX FREE      FUNDS/MUNI
FUNDS              BONDS

                                     92204H301     353     31876 SH          DEF/OTH                    31876

VERIZON            COMMON STOCK      92343V104    2111     47671 SH          DEFINED                    45821
                                                                                                                   1350
                                                                                                                              500

COLUMN TOTALS                                    30306


                                   Page 13



                                                      FORM 13F INFORMATION TABLE

                                                VALUE    SHS                 INVSTMT    OTHER              VOTING AUTHORITY
NAME OF ISSUER     TITLE                          X      PRN     SH   PUT    DISCRTN    MANAGERS        SOLE      SHARED    NONE
SECURITY NAME      OF CLASS          CUSIP      $1000    AMOUNT  PRN  CALL
                                                                                          
COMMUNICATIONS
INC

                                     92343V104     503     11360 SH          DEF/OTH                     6086
                                                                                                                   5074
                                                                                                                              200

WAL-MART STORES    COMMON STOCK      931142103    1592     36475 SH          DEFINED                    35475
                                                                                                                             1000
INC

                                     931142103     127      2900 SH          DEF/OTH                     2500
                                                                                                                    200
                                                                                                                              200

WELLS FARGO & CO   COMMON STOCK      949746101    1931     54205 SH          DEFINED                    53405
                                                                                                                    800
NEW

                                     949746101     217      6100 SH          DEF/OTH                     2000
                                                                                                                   3500
                                                                                                                              600

WYETH              COMMON STOCK      983024100     423      9500 SH          DEFINED                     9500

                                     983024100     125      2815 SH          DEF/OTH                     1415
                                                                                                                   1400

ARGO GROUP INTL    FOREIGN STOCK     G0464B107    1516     34849 SH          DEFINED                    34849
HOLDINGS LTD

NOBLE CORP         COMMON STOCK      G65422100    1040     21200 SH          DEFINED                    21200

                                     G65422100      10       200 SH          DEF/OTH                      200

COLUMN TOTALS                                     7484

AGGREGATE TOTAL                                 230149


                                   Page 14

                                          FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                0

Form 13F Information Table Entry Total:           159

Form 13F Information Table Value Total:           $ 230,149

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.


NONE


                                    Page 15