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

                                   FORM 13F

                              FORM 13F COVER PAGE

     Report for the Calendar Year or Quarter Ended: September 30, 2002

     Check here if Amendment [   ]; Amendment Number ________________

     This Amendment (Check only one):           [   ] is a restatement
                                                [   ] adds new holdings entries.
     Institutional Investment Manager Filing this Report:

     Name:           BancorpSouth, Inc.

     Address:        One Mississippi Plaza, 201 South Spring Street

                     Tupelo, MS 38804

     Form 13F File Number:           28-10453
                                     --------

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


     Person Signing this Report on Behalf of Reporting Manager:

     Name: James C. Kelly, Jr.

     Title: Vice President and Trust Operations Manager

     Phone: (601) 944-3583

     Signature, Place, and Date of Signing:

/s/ James C. Kelly, Jr.         Jackson, Mississippi            May 9, 2003
-----------------------         --------------------            -----------
       [Signature]                  [City, State]                  [Date]

     EXPLANATORY NOTE:

          This Form 13F was timely filed by BancorpSouth, Inc. on October 28,
     2002 for the three months ended September 30, 2002, but was inadvertently
     filed as an amendment and under the Form 13F File Number ("File Number")
     of First United Bancshares, Inc. rather than under BancorpSouth's File
     Number. First United Bancshares was merged with and into BancorpSouth on
     August 31, 2000. BancorpSouth is re-filing this Form 13F under the correct
     File Number of BancorpSouth.

     Report Type (Check only one.):

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

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

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

     List of Other Managers Reporting for this Manager: None.







                             FORM 13F SUMMARY PAGE

     Report Summary:

     Number of Other Included Managers:              0

     Form 13F Information Table Entry Total:         537

     Form 13F Information Table Value Total:         $314,920(thousands)

LIST OF OTHER INCLUDED MANAGERS:

     Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report. NONE.


                           FORM 13F INFORMATION TABLE



                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
DAIMLERCHRYSLER AG         ORD               D1668R123      1          49   SH          SOLE                      49     0        0
GLOBAL SANTAFE CORP                          G3930E101    219        9845   SH          SOLE                    6315     0     3530
INGSOLL-RAND CO            CL A BERMUDA      G4776G101    108        3150   SH          SOLE                    3150     0        0
NOBLE CORP                                   G65422100      9         300   SH          SOLE                     300     0        0
TRANSOCEAN SEDCO
FOREX INC                                    G90078109      6         296   SH          SOLE                     196     0      100
TRANSOCEAN SEDCO
FOREX INC                                    G90078109      1          77   SH          DEFINED                   77     0        0
ROYAL CARIBBEAN
CRUISES                                      V7780T103      3         200   SH          SOLE                     200     0        0
A F L A C INC                                001055102    147        4800   SH          SOLE                    4800     0        0
AGL RESOURCES, INC                           001204106     24        1090   SH          SOLE                    1090     0        0
AES CORPORATION                              00130H105      2        1000   SH          SOLE                    1000     0        0
AOL TIME WARNER                              00184A105     68        5895   SH          SOLE                    5520     0      375
AOL TIME WARNER                              00184A105     10         900               DEFINED                  900     0        0
AT&T CORP                                    001957109    418       34840               SOLE                   33840   400      600
AT&T CORP                                    001957109      7         599               DEFINED                  599     0        0
AT&T WIRELESS SVCS
INC                                          00209A106     33        8073   SH          SOLE                    7545   128      400
AT&T WIRELESS SVCS
INC                                          00209A106      0         192   SH          DEFINED                  192     0        0
ABBOTT LAB                                   002824100   1303       32264   SH          SOLE                   29254     0     3010
ABBOTT LAB                                   002824100    205        5088   SH          DEFINED                  200  4288      600
ADAMS EXPRESS CO           COM               006212104     99        9692   SH          SOLE                    9692     0        0
ADAPTEC INC                                  00651F108      1         400   SH          SOLE                     400     0        0
ADVANCED MICRO
DEVICES INC                                  007903107     10        2000   SH          SOLE                    2000     0        0
ADVANCED MICRO
DEVICES INC                                  007903107      1         200   SH          DEFINED                  200     0        0
ADVANCED ENVIRON
RECYCLING                  TCL A             007947104      9        7000   SH          SOLE                    7000     0        0
AETNA INC                  COM               00817Y108      7         200   SH          DEFINED                    0     0      200
AGERE SYSTEM
INC-A                                        00845V100      0         218   SH          SOLE                     206    10        2
AGERE SYSTEM INC
-A                                           00845V100      0          22   SH          DEFINED                   22     0        0
AGERE SYS INC              CL B              00845V209      5        5908   SH          SOLE                    5591   265       52
AGERE SYS INC              CL B              00845V209      0         580   SH          DEFINED                  580     0        0
AGILENT
TECHNOLOGIES, INC                            00846U101     47        3633   SH          SOLE                    3365   268        0
AGILENT
TECHNOLOGIES, INC                            00846U101      1         100   SH          DEFINED                    0     0      100
AGNICO EAGLE MINES                           008474108      8         500   SH          SOLE                     500     0        0
ALCOA INC                                    013817101    111        5786   SH          SOLE                    4036     0     1750
ALCOA INC                                    013817101      7         400   SH          DEFINED                  400     0        0
ALLEGHENY ENERGY INC                         017361106      2         200   SH          SOLE                     200     0        0
ALLIANCE CAP MGMT
HLDG L P                                     01855A101     55        2000   SH          DEFINED                 2000     0        0


                                       1





                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
ALLIED CAP CORP             NEW COM          01903Q108      6         300   SH          SOLE                     300        0      0
ALLSTATE CORP COMMON                         020002101    212        5992   SH          SOLE                    5992        0      0
ALLSTATE CORP COMMON                         020002101     21         604   SH          DEFINED                  310        0    294
ALLTEL CORP                                  020039103    203        5064   SH          SOLE                    5064        0      0
ALLTEL CORP                                  020039103    437       10900   SH          DEFINED                10900        0      0
AMERICAN ELECTRIC
POWER                                        025537101    127        4460   SH          SOLE                    3060        0   1400
AMERICAN ELECTRIC
POWER                                        025537101      9         318   SH          DEFINED                  318        0      0
AMER EXPRESS CO                              025816109     87        2800   SH          SOLE                    2800        0      0
AMERICAN
INTERNATIONAL
GROUP, INC                                   026874107     15         284   SH          SOLE                     284        0      0
AMERICAN
INTERNATIONAL
GROUP, INC                                   026874107      9         175   SH          DEFINED                  175        0      0
AMERUS LIFE HOLDINGS                         03072M108     20         712   SH          SOLE                     712        0      0
AMGEN INC                                    031162100      4         100   SH          SOLE                     100        0      0
AMGEN INC                                    031162100      8         200   SH          DEFINED                  200        0      0
AMSOUTH
BANCORPORATION                               032165102   3020      145722   SH          SOLE                  145722        0      0
ANADARKO PETE CORP                           032511107     65        1464   SH          DEFINED                    0     1464      0
ANALOG DEVICES INC          COM              032654105      1         100   SH          SOLE                     100        0      0
ANHEUSER-BUSCH
COMPANIES                                    035229103   1497       29599   SH          SOLE                   25429        0   4170
ANHEUSER-BUSCH
COMPANIES                                    035229103    182        3600   SH          DEFINED                 3600        0      0
ANTHEM INC                                   03674B104    212        3265   SH          SOLE                    2075        0   1190
APARTMENT INVT &
MGMT CO                     CL A             03748R101     42        1100   SH          SOLE                    1100        0      0
APPLE COMP INC                               037833100     46        3200   SH          DEFINED                 3200        0      0
APPLIED MATERIALS
INC                                          038222105    133       11600   SH          SOLE                   11600        0      0
AQUILA INC                                   03840P102     10        2500   SH          SOLE                    2500        0      0
ARCHER-DANIELS-MIDLAND
COMPANY                                      039483102      3         279   SH          SOLE                     279        0      0
ARVINMERITOR                                 043353101      3         168   SH          SOLE                     168        0      0
AUTO DATA PROCESS                            053015103    180        5200   SH          SOLE                    5200        0      0
AUTO DATA PROCESS                            053015103    111        3200   SH          DEFINED                 3200        0      0
AUTOZONE                                     053332102     59         750   SH          SOLE                     750        0      0
AUTOZONE                                     053332102     41         530   SH          DEFINED                  530        0      0
AVAYA INC                                    053499109      0         318   SH          SOLE                     235       83      0
AVOCENT CORP USD            COM              053893103     25        1900   SH          SOLE                       0     1900      0
AVON PRODUCTS INC           COM              054303102     32         700   SH          SOLE                     700        0      0
AXA-UAP ADR                                  054536107      2         236   SH          SOLE                     236        0      0
AXCELIS
TECHNOLOGIES INC                             054540109      6        1414   SH          SOLE                    1414        0      0
BP AMOCO PLC                SPONSORED ADR    055622104    460       11534   SH          SOLE                   10534        0   1000
BP AMOCO PLC                SPONSORED ADR    055622104    188        4736   SH          DEFINED                 4736        0      0


                                       2







                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
BANCORP MS                                   05969210X     275      14000   SH         SOLE                    14000      0        0
BANCORPSOUTH INC                             059692103   16200     822791   SH         SOLE                   821791      0     1000
BANCORPSOUTH INC                             059692103    2745     139457   SH         DEFINED                136191   2592      674
BANKAMERICA CORP           NEW COM           060505104    1120      17560   SH         SOLE                    16040      0     1520
BANKAMERICA CORP           NEW COM           060505104      45        710   SH         DEFINED                   710      0        0
BANK OF THE OZARKS,
INC                                          063904106    1055      46100   SH         DEFINED                 46100      0        0
BANK OF NEW YORK                             064057102     250       8725   SH         SOLE                     5740      0     2985
BANK ONE CORP              COM               06423A103     122       3268   SH         SOLE                     3268      0        0
BANK ONE CORP              COM               06423A103      55       1482   SH         DEFINED                     0   1482        0
BAXTER INTL INC                              071813109     270       8845   SH         SOLE                     6725      0     2120
BEAR STEARNS COS INC                         073902108     435       7717   SH         SOLE                     5537      0     2180
BED BATH & BEYOND                            075896100       6        200   SH         SOLE                      200      0        0
BELLSOUTH CORP                               079860102     782      42627   SH         SOLE                    39567      0     3060
BELLSOUTH CORP                               079860102       9        532   SH         DEFINED                   532      0        0
BERKSHIRE HATHAWAY
"A"                                          084670108      73          1   SH         SOLE                        1      0        0
BERKSHIRE HATHAWAY
INC                        DEL CL B          084670207       7          3   SH         DEFINED                     3      0        0
BIOGEN N V                                   090597105       7        250   SH         SOLE                      250      0        0
BIOMARIN
PHARMACEUTICAL             COM               09061G101      11       2000   SH         SOLE                        0   2000        0
BIOTRANSPLANT INC          COM               09066Y107       7       4400   SH         SOLE                        0   4400        0
BLACKROCK INVT
QUALITY MUNI TR INC                          09247D105      43       3000   SH         SOLE                     3000      0        0
MF BLACKROCK INCOME
TRUST                                        09247F100      24       3000              SOLE                     3000      0        0
BLACKSTONE
INVESTMENT                 QUALITY TERM      09247J102      39       4155   SH         SOLE                     4155      0        0
                           TRUST
BLOCK H & R INC            COM               093671105     203       4835              SOLE                     4735      0      100
BOEING INC                                   097023105     125       3680   SH         SOLE                     3080      0      600
BOWATER INC                                  102183100     259       7365   SH         SOLE                     4810      0     2555
BRISTOL MYERS
SQUIBB CO                                    110122108     556      23403   SH         SOLE                    23403      0        0
BRISTOL MYERS
SQUIBB CO                                    110122108      35       1500   SH         DEFINED                  1500      0        0
BUCKEYE TECHNOLOGY
INC                                          118255108      22       3100   SH         SOLE                        0   3100        0
BURLINGTON
NORTHERN/SANTA FE
CORP                                         12189T104      22        930   SH         SOLE                      930      0        0
CBRL GROUP INC             COM               12489V106      66       2900   SH         SOLE                     2900      0        0
CEC ENTMT INC                                125137109      28        850   SH         SOLE                        0    850        0
CIGNA CORPORATION                            125509109      31        450   SH         SOLE                      450      0        0
CNET NETWORKS INC                            12613R104       0        118   SH         SOLE                      118      0        0
CADBURY SCHWEPPES
PLC                        ADR               127209302      31       1200   SH         SOLE                     1200      0        0
CALLAWAY GOLF CO                             131193104       2        200   SH         SOLE                        0      0      200
CAMPBELL SOUP CO           COM               134429109       8        400   SH         SOLE                      400      0        0
CAPITAL ONE FINL
CORP                       COM               14040H105     160       4600   SH         SOLE                     4600      0        0


                                       3








                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
CARDINAL HEALTH INC        COM               14149Y108     27        447   SH         SOLE                       447      0        0
CATERPILLAR INC                              149123101    133       3600   SH         SOLE                      3100      0      500
CELL PATHWAYS INC                            15114R101      0        100   SH         SOLE                       100      0        0
CENDANT CORP               COM               151313103     10       1000   SH         SOLE                      1000      0        0
CENTURYTEL, INC                              156700106     95       4250   SH         SOLE                      4250      0        0
CERTEGY INC                                  156880106      2        100   SH         SOLE                       100      0        0
CHARTER
COMMUNICATIONS INC         DEL CL A          16117M107      1        600   SH         SOLE                       600      0        0
CHECKPOINT SYSTEMS                           162825103     12       1000   SH         SOLE                      1000      0        0
CHEVRONTEXACO CORP                           166764100   1210      17485   SH         SOLE                     16195      0     1290
CHEVRONTEXACO CORP                           166764100     91       1327   SH         DEFINED                   1327      0        0
CHOICEPOINT INC                              170388102      2         80   SH         SOLE                        80      0        0
CHRONIMED INC              COM               171164106     32       6800   SH         SOLE                         0   6800        0
CHUBB CORPORATION                            171232101    301       5500   SH         SOLE                      5500      0        0
CISCO SYS INC                                17275R102    340      32445   SH         SOLE                     32045      0      400
CISCO SYS INC                                17275R102     14       1400   SH         DEFINED                    800      0      600
CITIGROUP, INC                               172967101    650      21939   SH         SOLE                     19489      0     2450
CITIGROUP, INC                               172967101    240       8117   SH         DEFINED                   8117      0        0
CLEAR CHANNEL
COMMUNICATIONS                               184502102      3        100   SH         SOLE                       100      0        0
COCA COLA BOTTLING
CO CONS                    COM               191098102     22        470   SH         SOLE                       470      0        0
COCA COLA CO                                 191216100   1548      32287   SH         SOLE                     29762    200     2325
COCA COLA CO                                 191216100     71       1500   SH         DEFINED                    500      0     1000
COCA COLA
ENTERPRISES INC            COM               191219104     82       3900   SH         SOLE                      3900      0        0
COLGATE-PALMOLIVE CO                         194162103    147       2725   SH         SOLE                      2725      0        0
COLGATE-PALMOLIVE CO                         194162103     10        200   SH         DEFINED                      0      0      200
COLONIAL HIGH INCOME       MUNICIPAL TRUST   195743109      1        200              SOLE                       200      0        0
COMCAST                                      200300200     16        800   SH         DEFINED                    800      0        0
COMMSCOPE INC                                203372107      6       1000   SH         SOLE                      1000      0        0
COMPUTER ASSOC INTL
INC                        COM               204912109      7        800   SH         SOLE                       800      0        0
COMPUTER SCIENCES
CORPORATION                COMMON            205363104      2         99   SH         DEFINED                      0      0       99
CONAGRA FOODS INC          COM               205887102     42       1700   SH         SOLE                      1700      0        0
CONAGRA FOODS INC          COM               205887102      4        200   SH         DEFINED                    200      0        0
CONEXANT SYS INC           COM               207142100      0        176   SH         SOLE                       176      0        0
CONSECO                                      208464107      0        560   SH         DEFINED                    560      0        0
CONSECO STRATEGIC
INC                        FD SH BEN INT      20847A102     6        866   SH         SOLE                       866      0        0
CONSOLIDATED EDISON
INC                        COM               209115104     40       1000   SH         SOLE                      1000      0        0
COOPER TIRE &
RUBBER CO                                    216831107    337      20953   SH         SOLE                     19953      0     1000
COOPER TIRE &
RUBBER CO                                    216831107      1        100   SH         DEFINED                    100      0        0
CYBERGUARD CORP                              231910100      0        105   SH         SOLE                       105      0        0



                                       4






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----
                                                                                              
CYPRESS
SEMICONDUCTOR                                232806109       3        500   SH         SOLE                      500       0      0
DNP SELECT INCOME
FD INC                                       23325P104      10       1100   SH         DEFINED                  1100       0      0
DPL INC                   COM                233293109      24       1485   SH         SOLE                     1485       0      0
DANKA BUSINESS SYS
PLC                       SPONSORED ADR      236277109      10       5000   SH         SOLE                     5000       0      0
DEERE & CO                                   244199105     577      12715   SH         SOLE                     8800       0   3915
DELL COMPUTER                                247025109     452      19235   SH         SOLE                    19235       0      0
DELL COMPUTER                                247025109      25       1100   SH         DEFINED                  1100       0      0
DELPHI AUTO SYSTEMS                          247126105       2        343   SH         SOLE                      343       0      0
DELTA & PINE LD CO        COM                247357106      13        709   SH         SOLE                      709       0      0
DELTA AIRLINES INC                           247361108       1        200   SH         SOLE                      200       0      0
DELTIC TIMBER INC                            247850100     319      14524   SH         SOLE                    14524       0      0
DELTIC TIMBER INC                            247850100   14191     645971   SH         DEFINED                242423  403548      0
DIAMOND OFFSHORE
DRILLING                  INC                25271C102       0         50   SH         SOLE                       50       0      0
WALT DISNEY CO                               254687106      32       2131   SH         SOLE                      760    1371      0
WALT DISNEY CO                               254687106       9        600   SH         DEFINED                   600       0      0
DOMINION RES INC          VA NEW             25746U109     168       3315   SH         SOLE                     3315       0      0
DONNELLEY RR & SONS                          257867101      18        800   SH         SOLE                      800       0      0
DOW CHEMICAL CO                              260543103     443      16263   SH         SOLE                    16263       0      0
DOW CHEMICAL CO                              260543103      13        483   SH         DEFINED                   483       0      0
DREYFUS STRATEGIC
MUNICIPALS INC                               261932107      21       2086              SOLE                     2086       0      0
DREYFUS MUNICIPAL
INCOME INC                                   26201R102      17       1832              SOLE                     1832       0      0
DREYFUS STRATEGIC
MUN BD FD INC                                26202F107      25       2841   SH         SOLE                     2841       0      0
DU PONT EI D
NEMOURS & CO                                 263534109     176       4897   SH         SOLE                     4897       0      0
DU PONT EI D
NEMOURS & CO                                 263534109       9        250   SH         DEFINED                   250       0      0
DUKE ENERGY CORP          COM                264399106     113       5814   SH         SOLE                     5814       0      0
DUN & BRADSTREET NW                          26483E100      10        300   SH         SOLE                      300       0      0
DYNEX CAP INC             COM NEW            26817Q506       0        106   SH         DEFINED                   106       0      0
EEX CORP                  COM NEW            26842V207       0         66   SH         SOLE                       66       0      0
E-LOAN INC                                   26861P107       1       1000   SH         SOLE                     1000       0      0
EMC CORP                                     268648102      19       4200   SH         SOLE                     4200       0      0
EMC CORP                                     268648102      18       4000   SH         DEFINED                  4000       0      0
ENI S P A                 SPONSORED ADR      26874R108      13        200   SH         SOLE                      200       0      0
E TRADE GROUP INC                            269246104      17       4000   SH         SOLE                     4000       0      0
EASTMAN KODAK CO                             277461109      27       1000   SH         SOLE                     1000       0      0
EASTMAN KODAK CO                             277461109       3        125   SH         DEFINED                   125       0      0
EATON CORP                COM                278058102      95       1500   SH         SOLE                     1500       0      0
ECHOSTAR COMMUN                              278762109       8        500   SH         SOLE                      500       0      0
EDWARDS
LIFESCIENCES CORP                            28176E108       6        240   SH         SOLE                      240       0      0
A. G. EDWARDS INC                            281760108     265       8305   SH         SOLE                     5480       0   2825


                                       5






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
EL PASO CORPORATION                          28336L109     26        3149   SH         SOLE                     3149     0        0
EL PASO CORPORATION                          28336L109      1         200   SH         DEFINED                     0     0      200
ELAN CORP PLC ADR                            284131208      0         300   SH         SOLE                      300     0        0
ELECTRONIC DATA SYS
CORP NEW                                     285661104     10         750   SH         SOLE                      750     0        0
EMERSON ELECTRIC CO                          291011104    105        2400   SH         SOLE                     2400     0        0
ENCORE WIRE CORP          COM                292562105    183       20900   SH         SOLE                    13900     0     7000
ENERGY EAST CORP          COM                29266M109      3         200   SH         SOLE                      200     0        0
ENGELHARD CORP                               292845104      6         253   SH         DEFINED                     0     0      253
ENTERASYS NETWORKS
INC                                          293637104      0         200   SH         SOLE                      200     0        0
ENTERGY CORP                                 29364G103    217        5231   SH         SOLE                     4231     0     1000
ENTERGY CORP                                 29364G103     24         593   SH         DEFINED                   593     0        0
EQUIFAX INC                                  294429105      4         200   SH         SOLE                      200     0        0
EQUITY INNS, INC                             294703103      9        1500   SH         DEFINED                  1500     0        0
EQUITY RESIDENTIAL
PPTYS SBI                                    29476L107     10         436   SH         SOLE                      436     0        0
EXELON CORP                                  30161N101      9         200   SH         SOLE                      200     0        0
EXXON MOBIL CORP                             30231G102   6555      205572   SH         SOLE                   203627     0     1945
EXXON MOBIL CORP                             30231G102    987       30976   SH         DEFINED                 20576  4800     5600
FED HMN LN MTG CORP       VOTING COM         313400301     13         250   SH         SOLE                      250     0        0
FNMA                      COM                313586109     71        1200   SH         SOLE                     1200     0        0
FEDERAL REALTY INVT
TR                        SH BEN INT NEW     313747206     27        1000   SH         SOLE                     1000     0        0
FEDEX CORPORATION                            31428X106     50        1000   SH         SOLE                     1000     0        0
FEDEX CORPORATION                            31428X106     12         250   SH         DEFINED                   250     0        0
FIRST INDL RLTY TR
INC                                          32054K103     13         450   SH         SOLE                      450     0        0
FIRST M & F CORP                             320744105     33        1293   SH         SOLE                     1293     0        0
FIRST TENNESSEE
NATIONAL CORP                                337162101   2499       72128   SH         SOLE                    72128     0        0
FISERV INC                                   337738108    152        5425   SH         SOLE                     3535     0     1890
FLEET BOSTON CORP                            339030108     38        1877   SH         SOLE                     1877     0        0
FLUOR CORP                                   343412102      7         300   SH         SOLE                      300     0        0
FLUOR CORP                                   343412102      2          96   SH         DEFINED                    96     0        0
FOAMEX INT'L INC                             344123104    110       20050   SH         SOLE                    20050     0        0
FORD MOTOR COMPANY        COMMON             345370860     64        6562   SH         SOLE                     6562     0        0
FORD MOTOR COMPANY        COMMON             345370860      6         700   SH         DEFINED                   700     0        0
GSI COMMERCE INC                             36238G102      0          29   SH         SOLE                       29     0        0
GALLAGHER ARTHUR J
& CO                                         363576109    198        8055   SH         SOLE                     5180     0     2875
GAP INC                   DEL COM            364760108     16        1500   SH         SOLE                     1500     0        0
GENERAL ELECTRIC CO                          369604103   3146      127718   SH         SOLE                   125793  1255      670
GENERAL ELECTRIC CO                          369604103     71        2900   SH         DEFINED                  1700     0     1200
GENERAL MLS INC           COM                370334104     23         520   SH         SOLE                      520     0        0
GENERAL MLS INC           COM                370334104      0          20   SH         DEFINED                     0     0       20
GEN MTR CORP                                 370442105     26         673   SH         SOLE                      673     0        0
GENOME THERAPEUTICS
CORP                      COM                372430108      1        1000   SH         SOLE                        0     0     1000


                                       6






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
GEORGIA PAC CORP                             373298108      19       1490   SH         SOLE                    1490       0        0
GERON CORP                 COM               374163103       1        300   SH         SOLE                     300       0        0
GILLETTE CO                                  375766102      88       3006   SH         SOLE                    2806       0      200
GILLETTE CO                                  375766102     103       3485   SH         DEFINED                 3485       0        0
GLAXO WELLCOME PLC         SPONSORED ADR     37733W105      25        669   SH         SOLE                       0       0      669
GLAXO WELLCOME PLC         SPONSORED ADR     37733W105      23        600   SH         DEFINED                  600       0        0
GOODYEAR TIRE &
RUBBER                                       382550101       5        618   SH         SOLE                     618       0        0
GREAT LAKES CHEM
CORP                       COM               390568103      42       1785   SH         DEFINED                 1785       0        0
GREAT PLAINS ENERGY
INC                                          391164100      35       1855   SH         SOLE                    1855       0        0
GUIDANT CORP               COM               401698105      93       2900   SH         SOLE                    2900       0        0
HCA- THE HEALTHCARE
CO                                           404119109       7        150   SH         SOLE                     150       0        0
HCA- THE HEALTHCARE
CO                                           404119109      59       1250   SH         DEFINED                 1250       0        0
HCB BANCSHARES INC         COM               40413N106      18       1200   SH         SOLE                    1200       0        0
HALLIBURTON CO             COM               406216101      10        850   SH         SOLE                     850       0        0
HALLIBURTON CO             COM               406216101       7        600   SH         DEFINED                  600       0        0
HANCOCK FABRICS                              409900107      25       1600   SH         SOLE                    1600       0        0
HANCOCK HLDG CO CAP
VALUE                                        410120109     204       4345   SH         SOLE                    4345       0        0
JOHN HANCOCK                                 41014S106       0         34   SH         SOLE                      34       0        0
HARRIS CORP                                  413875105      50       1494   SH         SOLE                    1494       0        0
HARTFORD FNCL SV
GRP INC                    COM               416515104       8        200   SH         DEFINED                  200       0        0
HASBRO, INC                                  418056107       8        787   SH         DEFINED                  787       0        0
HEALTHSOUTH CORP                             421924101     165      39850   SH         SOLE                   26090       0    13760
HEINZ H J CO               COM               423074103       9        273   SH         SOLE                     273       0        0
HEWLETT PACKARD CO                           428236103     243      20882   SH         SOLE                   19466    1416        0
HEWLETT PACKARD CO                           428236103       4        400   SH         DEFINED                    0       0      400
HIBERNIA CORP                                428656102    6241     312400   SH         SOLE                  311500       0      900
HIBERNIA CORP                                428656102      17        900   SH         DEFINED                  900       0        0
HIGH INCOME
OPPORTUNITY FD                               42967Q105      15       2500   SH         SOLE                    2500       0        0
HOME DEPOT                                   437076102     510      19572   SH         SOLE                   19572       0        0
HOME DEPOT                                   437076102      39       1532   SH         DEFINED                 1532       0        0
HONEYWELL INTL INC                           438516106     121       5620   SH         SOLE                    5620       0        0
HUBBELL INC                CL B              443510201      29       1000   SH         SOLE                    1000       0        0
ICN PHARMACEUTICALS
INC                        NEW COM           448924100       4        525   SH         SOLE                       0       0      525
ING PRIME RATE TR
SH BEN INT                                   44977W106      82      13907   SH         SOLE                       0   13907        0
ILLINOIS TOOL WORKS
INC                                          452308109       4         76   SH         SOLE                      76       0        0
ILLINOIS TOOL WORKS
INC                                          452308109      14        250   SH         DEFINED                  250       0        0
IMATION CORP                                 45245A107       1         46   SH         SOLE                      46       0        0


                                       7






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----
                                                                                              
INSIGHT ENTERPRISES
INC                        COM               45765U103      28      2775     SH        SOLE                       0   2775        0
INTEL CORP                 CAP               458140100     502     36143     SH        SOLE                   36143      0        0
INTEL CORP                 CAP               458140100      66      4780     SH        DEFINED                 3980      0      800
IBM CORP                                     459200101    1856     31844     SH        SOLE                   30084      0     1760
IBM CORP                                     459200101      74      1275     SH        DEFINED                  475    800        0
INTL PAPER CO                                460146103      58      1742     SH        SOLE                    1742      0        0
INTL PAPER CO                                460146103      48      1450     SH        DEFINED                  150   1100      200
JDS UNIPHASE CORP          COM               46612J101       0       120     SH        SOLE                     120      0        0
J P MORGAN CHASE &
CO                                           46625H100      46      2432     SH        SOLE                    2432      0        0
J P MORGAN CHASE &
CO                                           46625H100      35      1875     SH        DEFINED                 1875      0        0
JEFFERSON PILOT
CORPORATION                                  475070108       7       187     SH        SOLE                     187      0        0
JOHNSON & JOHNSON                            478160104    2741     50686     SH        SOLE                   49686      0     1000
JOHNSON & JOHNSON                            478160104     481      8900     SH        DEFINED                 5000   1200     2700
JOHNSON CONTROLS INC                         478366107     236      3085     SH        SOLE                    2130      0      955
KLA TENCOR CORP                              482480100       2       100     SH        SOLE                     100      0        0
K MART CORP                COM               482584109       0      1000     SH        SOLE                    1000      0        0
KELLOGG CO                                   487836108       6       200     SH        SOLE                     200      0        0
KERR-MCGEE
CORPORATION INC                              492386107       0         8     SH        SOLE                       8      0        0
KIMBERLY-CLARK CORP                          494368103      11       200     SH        SOLE                     200      0        0
KIMBERLY-CLARK CORP                          494368103      22       400     SH        DEFINED                  400      0        0
KINDER MORGAN
ENERGY PARTNERS,
L.P.                                         494550106       7       232     SH        SOLE                     232      0        0
KROGER CO                                    501044101      12       908     SH        SOLE                     908      0        0
LSI LOGIC CORP             COM               502161102       2       400     SH        SOLE                     400      0        0
LACLEDE GROUP INC                            505597104       6       300     SH        SOLE                     300      0        0
LACLEDE GROUP INC                            505597104      20       900     SH        DEFINED                  900      0        0
ESTEE LAUDER CO                              518439104      17       600     SH        DEFINED                  600      0        0
LEHMAN BROTHERS
HOLDINGS                   COM               524908100     330      6740     SH        SOLE                    4605      0     2135
LEVEL 3
COMMUNICATIONS INC                           52729N100      23      6037     SH        SOLE                    6037      0        0
LEXMARK INTL               NEW CL A          529771107     256      5460     SH        SOLE                    3615      0     1845
THE LIBERTY
CORPORATION                                  530370105     103      2900     SH        SOLE                    2900      0        0
LIFEPOINT HOSPS INC                          53219L109       2        65     SH        DEFINED                   65      0        0
ELI LILLY & CO                               532457108     448      8100     SH        SOLE                    8100      0        0
ELI LILLY & CO                               532457108      83      1500     SH        DEFINED                 1500      0        0
LOUISIANA PAC CORP         COM               546347105       2       338     SH        SOLE                     338      0        0
LOWES CO INC                                 548661107     703     16985     SH        SOLE                   12685      0     4300
LUCENT TECHNOLOGIES                          549463107      20     27233     SH        SOLE                   26029   1004      200
LUCENT TECHNOLOGIES                          549463107       1      2200     SH        DEFINED                 2200      0        0
M & T BANK CORP                              55261F104     157      2000     SH        SOLE                    2000      0        0
MFS INTER INCOME TR        SH BEN INT        55273C107      42      5900     SH        SOLE                    5900      0        0


                                       8






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
MGNA ENTMT CORP                              559211107       0         20    SH        SOLE                       20      0       0
MANULIFE FINANCIAL
CORP                                         56501R106     462      22019    SH        SOLE                    22019      0       0
MARSH & MCLENNAN                             571748102      41       1000    SH        SOLE                     1000      0       0
MASCO CORPORATION                            574599106       0         28    SH        SOLE                       28      0       0
MASSEY ENERGY CORP                           576206106       2        396    SH        SOLE                      396      0       0
MCCORMICK & CO                               579780206     365      16045    SH        SOLE                    10105      0    5940
MCDATA CORP                CLASS A           580031201      10       1875    SH        SOLE                        0   1875       0
MCDATA CORP                CLASS A           580031201       0         73    SH        DEFINED                    73      0       0
MCDONALD'S CORP                              580135101      63       3600    SH        SOLE                     3600      0       0
MCGRAW HILL COS INC                          580645109      15        250    SH        DEFINED                   250      0       0
MEADWESTVACO CORP                            583334107      29       1547    SH        SOLE                     1547      0       0
MEDTRONIC INC              COM               585055106      40        960    SH        SOLE                      960      0       0
MELLON FINL CORP                             58551A108      25       1000    SH        SOLE                     1000      0       0
MERCK & CO INC                               589331107    1380      30210    SH        SOLE                    30210      0       0
MERCK & CO INC                               589331107     178       3900    SH        DEFINED                  3400      0     500
MERRILL LYNCH &
CO., INC                                     590188108      10        320    SH        SOLE                      320      0       0
METLIFE INC                COM               59156R108      84       3709    SH        SOLE                     3709      0       0
MICROSOFT CORP                               594918104     691      15805    SH        SOLE                    15240      0     565
MICROSOFT CORP                               594918104      17        400    SH        DEFINED                     0      0     400
MICRON TECHNOLOGY                            595112103     112       9120    SH        SOLE                     6675      0    2445
MID-AMERICA
APARTMENT CMNTYS                             59522J103      24       1000    SH        DEFINED                  1000      0       0
MIDAS GROUP INC                              595626102       3        666    SH        SOLE                      666      0       0
MILLER HERMAN INC          COM               600544100      63       3560    SH        SOLE                     3560      0       0
MIRANT CORP                                  604675108       7       3531    SH        SOLE                     3531      0       0
MIRANT CORP                                  604675108       0        143    SH        DEFINED                   143      0       0
MISSISSIPPI
CHEMICAL CORP                                605288208       1       1492    SH        SOLE                     1492      0       0
MONSANTO CO                (NEW)             61166W101      31       2046    SH        SOLE                     1961      0      85
MONSANTO CO                (NEW)             61166W101       5        371    SH        DEFINED                   286      0      85
MOODYS CORP                                  615369105      14        300    SH        SOLE                      300      0       0
MORGAN STANLEY DEAN
WITTER DISCOVER &
CO                                           617446448     136       4040    SH        SOLE                     4040      0       0
MORGAN STANLEY DEAN
WITTER DISCOVER &
CO                                           617446448       8        260    SH        DEFINED                   260      0       0
MORGAN STANLEY DEAN
WITTER                     HI INCOME ADV     61745P304       1       1700    SH        SOLE                     1700      0       0
                           TR II
MOTOROLA INC                                 620076109     177      17418    SH        SOLE                    17318      0     100
MOTOROLA INC                                 620076109      76       7466    SH        DEFINED                  7166      0     300
MULTIMEDIA GAMES INC                         625453105       8        450    SH        SOLE                      450      0       0
MUNICIPAL MORTGAGE
& EQUITY LLC               GROWTH SH         62624B101     101       4000    SH        SOLE                     4000      0       0
MUNIVEST FD INC            COM               626295109      46       5000              SOLE                     5000      0       0
MURPHY OIL CORP            COM               626717102    4042      49259    SH        SOLE                    49259      0       0


                                       9






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
MURPHY OIL CORP            COM               626717102   190678   2323653    SH        DEFINED              1032683   1290970     0
MYLAN LABORATORIES
INC                                          628530107      435     13308    SH        SOLE                    8993         0  4315
NBC CAP CORP                                 628729105      100      4000    SH        SOLE                    4000         0     0
NCR CORP NEW                                 62886E108        1        64    SH        SOLE                      64         0     0
NASDAQ 100 TRUST                             631100104        4       200    SH        SOLE                     200         0     0
NATIONAL COMM FINL
CORP                                         63545P104       65      2600    SH        SOLE                       0      2600     0
NELSON, THOMAS INC                           640376109        1       187    SH        SOLE                     187         0     0
NICOR INC                  COM               654086107       15       550    SH        SOLE                     550         0     0
NIKE INC                   CLASS B           654106103      415      9630    SH        SOLE                    6600         0  3030
NOKIA CORP                 SPND ADR          654902204       31      2400    SH        SOLE                    2400         0     0
NOBLE ENERGY INC                             655044105       33      1000    SH        SOLE                    1000         0     0
NORFOLK SO CORP                              655844108       39      1934    SH        SOLE                    1934         0     0
NORTEL NETWORK CORP        NEW               656568102        2      5000    SH        SOLE                    5000         0     0
NORTHERN TRUST
COMPANY NTRS                                 665859104       67      1780    SH        SOLE                    1780         0     0
NORTHERN TRUST
COMPANY NTRS                                 665859104      150      4000    SH        DEFINED                 3600         0   400
NORTHWESTERN
CORPORATION                                  668074107        3       330    SH        SOLE                     330         0     0
NOVELLUS SYSTEMS                             670008101      152      7340    SH        SOLE                    4770         0  2570
NUVEEN INSD PREMIUM
INCOME                     MUNI FD           6706D8104        4       338              SOLE                     338         0     0
NUVEEN MUNICIPAL
MARKET OPP                                   67062W103       52      3529              SOLE                    3529         0     0
OKLAHOMA GAS & ELEC
ENERGY CORP                                  670837103       72      4300    SH        SOLE                    4300         0     0
OKLAHOMA GAS & ELEC
ENERGY CORP                                  670837103       11       700    SH        DEFINED                  700         0     0
NUVEEN MUN VALUE FD
INC                                          670928100       22      2300              SOLE                    2300         0     0
NUVEEN QUALITY
INCOME MUNI                                  670977107        7       500    SH        SOLE                     500         0     0
NUVEEN PREMIER
MUNICIPAL INC                                670988104       24      1565    SH        SOLE                    1565         0     0
OAKWOOD HOMES CORP                           674098207        0       200    SH        SOLE                     200         0     0
OCCIDENTAL PETE COR
DEL                                          674599105       14       500    SH        SOLE                     500         0     0
OCEAN ENERGY INC TEX                         67481E106        3       200    SH        SOLE                     200         0     0
OFFICEMAX INC                                67622M108        4      1000    SH        SOLE                    1000         0     0
OLIN CORP                                    680665205        2       166    SH        DEFINED                  166         0     0
OMNICOM GROUP                                681919106       16       300    SH        SOLE                     300         0     0
ORACLE SYSTEMS CORP                          68389X105       32      4110    SH        SOLE                    4110         0     0
PPG INDUSTRIES INC                           693506107       26       600    SH        SOLE                     600         0     0
PACTIV COPR                                  695257105       28      1747    SH        SOLE                    1747         0     0
PALM INC                                     696642107        0       519    SH        DEFINED                    0         0   519
PAYCHEX INC                                  704326107        3       150    SH        SOLE                     150         0     0
PENNEY J C INC             COM               708160106        9       582    SH        SOLE                     582         0     0


                                       10







                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----

                                                                                              
PEOPLES ENERGY CORP         COM              711030106       6        200    SH        SOLE                      200       0      0
PEOPLES ENERGY CORP         COM              711030106      16        500    SH        DEFINED                   500       0      0
PEOPLES HLDG CO             COM              711148106      14        367    SH        SOLE                      367       0      0
PEOPLES HLDG CO             COM              711148106      40       1000    SH        DEFINED                  1000       0      0
PEPSIAMERICAS INC                            71343P200      56       4000    SH        SOLE                     4000       0      0
PEPSICO INC                 COM              713448108    1347      36468    SH        SOLE                    36353       0    115
PEPSICO INC                 COM              713448108      78       2130    SH        DEFINED                   430    1100    600
PFIZER INC                                   717081103    2496      86015    SH        SOLE                    85830       0    185
PFIZER INC                                   717081103      89       3100    SH        DEFINED                  2200       0    900
PHARMACIA CORP                               71713U102     496      12776    SH        SOLE                    12276       0    500
PHARMACIA CORP                               71713U102      84       2180    SH        DEFINED                  1680       0    500
PHELPS DODGE CORP           COM              717265102       0         20    SH        SOLE                       20       0      0
PHELPS DODGE CORP           COM              717265102      12        500    SH        DEFINED                   500       0      0
PHILIP MORRIS COS
INC                         COM              718154107     225       5825    SH        SOLE                     5825       0      0
THE PHOENIX
COMPANIES                                    71902E109      14       1051    SH        SOLE                     1051       0      0
PLACER DOME INC                              725906101       1        170    SH        SOLE                      170       0      0
PLUM CREEK TIMBER
CO INC                                       729251108      26       1164    SH        SOLE                     1164       0      0
POTLATCH CORP               COM              737628107       4        150    SH        SOLE                      150       0      0
PRAXAIR INC                 COM              74005P104      15        300    SH        DEFINED                   300       0      0
PRINCIPAL FINANCIAL
GROUP                                        74251V102      40       1542    SH        SOLE                     1542       0      0
PROCTER & GAMBLE CO         COM              742718109    1060      11861    SH        SOLE                    11261       0    600
PROCTER & GAMBLE CO         COM              742718109     182       2040    SH        DEFINED                  2040       0      0
PROGRESS ENERGY INC         COM              743263105       5        132    SH        SOLE                      132       0      0
PRUDENTIAL FINANCIAL                         744320102     127       4462    SH        SOLE                     4462       0      0
PUBLIC STORAGE, INC
REIT                                         74460D109       5        180    SH        SOLE                      180       0      0
PUTNAM HIGH INCOME
CONV                        BD FD            746779107       2        400    SH        SOLE                      400       0      0
PUTNAM MANAGED
MUNICIPAL                   INCOME TRUST     746823103       4        500              DEFINED                     0       0    500
QLOGIC CORP                 COM              747277101      33       1303    SH        SOLE                      250    1053      0
QUALCOMM INC                                 747525103       5        200    SH        SOLE                      200       0      0
QWEST
COMMUNICATIONS INTL
INC                         COM              749121109       4       2097    SH        SOLE                     2097       0      0
RFS HOTEL INVESTORS                          74955J108      10       1000    SH        SOLE                        0    1000      0
RH DONNELLEY CORP                            74955W307       1         60    SH        SOLE                       60       0      0
RALCORP HOLDINGS NEW        COM              751028101       1         66    SH        DEFINED                     0       0     66
RAYTHEON CO NEW                              755111507      17        600    SH        SOLE                      600       0      0
REGIONS FNCL CORP                            758940100     701      21490    SH        SOLE                    10740    9550   1200
REGIONS FNCL CORP                            758940100      58       1786    SH        DEFINED                     0    1786      0
RELIANt ENERGY INC                           75952J108      40       3500    SH        SOLE                     2700       0    800
RELIANT ENERGY INC                           75952J108      71       6201    SH        DEFINED                  5863     300     38
REMINGTON OIL & GAS
CORP                        COM              759594302      22       1600    SH        SOLE                        0    1600      0


                                       11






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----
                                                                                              
REYNOLDS R J TOB
HLDGS INC                                    76182K105    191        4761    SH        SOLE                      3181      0   1580
RIVERSTONE NETWORKS
INC                                          769320102      0         102    SH        SOLE                       102      0      0
ROCKWELL INTL CORP         NEW               773903109      2         177    SH        SOLE                       177      0      0
ROCKWELL COLLINS INC                         774341101      3         177    SH        SOLE                       177      0      0
ROHM & HAAS CO             COM               775371107      6         200    SH        SOLE                       200      0      0
ROXIE INC                                    780008108      0          65    SH        SOLE                        65      0      0
ROYAL DUTCH PETE CO        NY REG GLD1.25    780257804    312        7786    SH        SOLE                      5791      0   1995
ROYAL DUTCH PETE CO        NY REG GLD1.25    720857804    128        3200    SH        DEFINED                   3200      0      0
RUBY TUESDAY INC                             781182100     23        1260    SH        DEFINED                      0      0   1260
SBC COMMUNICATIONS,
INC                                          78387G103   1040       51793    SH        SOLE                     48318      0   3475
SBC COMMUNICATIONS,
INC                                          78387G103     15         780    SH        DEFINED                    780      0      0
SCP POOL CORP              COM               784028102     55        2025    SH        SOLE                         0   2025      0
SAFECO CORP                COM               786429100     31        1000    SH        SOLE                      1000      0      0
ST JUDE MEDICAL                              790849103    380       10650    SH        SOLE                      6930      0   3720
SARA LEE CORP              COM               803111103     14         800    SH        SOLE                       800      0      0
SCANA CORP                 NEW               80589M102    347       13342    SH        SOLE                      8772      0   4570
SCHERING PLOUGH CORP       COM               806605101    393       18484    SH        SOLE                     18484      0      0
SCHERING PLOUGH CORP       COM               806605101    417       19600    SH        DEFINED                    100  19500      0
SCHLUMBERGER LTD           COM               806857108     59        1550    SH        SOLE                      1350      0    200
THE CHARLES SCHWAB
CORP                                         808513105     13        1500    SH        SOLE                      1500      0      0
SCRIPPS EW INC             NEW CL A          811054204     34         500    SH        SOLE                       500      0      0
SEARS ROEBUCK & CO         COM               812387108     74        1920    SH        SOLE                      1920      0      0
SEARS ROEBUCK & CO         COM               812387108      6         167    SH        DEFINED                    167      0      0
SELIGMAN SELECT MUN
FD INC                                       816344105     13        1250    SH        SOLE                      1250      0      0
SEMPRA ENERGY                                816851109      2         135    SH        SOLE                       135      0      0
SERVICEMASTER
COMPANY                    COM               81760N109     82        7593    SH        SOLE                      7593      0      0
SHELL TRANS &
TRADING PLC                NEW YRK SH NEW    822703609     64        1800    SH        DEFINED                   1800      0      0
SHERWIN WILLIAMS CO        COM               824348106     26        1100    SH        SOLE                      1100      0      0
SIMMONS 1ST NATL
CORP                       CL A $5 PAR       828730200    245        6600    SH        SOLE                      6600      0      0
SIMMONS 1ST NATL
CORP                       CL A $5 PAR       828730200      9         250    SH        DEFINED                    250      0      0
SIMON PROPERTY
GROUP INC                                    828806109    236        6610    SH        SOLE                      4260      0   2350
SIRIUS SATTELITE
RADIO                                        82966U103     10       10000    SH        SOLE                     10000      0      0
SMUCKER J M CO                               832696405      0          15    SH        SOLE                        15      0      0
SMUCKER J M CO                               832696405      0          12    SH        DEFINED                     12      0      0
SMURFIT-STONE
CONTAINER CORP                               832727101      6         495    SH        SOLE                       495      0      0


                                       12





                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----
                                                                                              
SOLUTIA INC                 COM              834376105     17        3312    SH        SOLE                      3312      0      0
SONY CORP                                    835699307     41        1000    SH        DEFINED                   1000      0      0
SOUTHERN CO                 COM              842587107    536       18639    SH        SOLE                     18639      0      0
SOUTHERN CO                 COM              842587107     94        3275    SH        DEFINED                   3275      0      0
SPRINT CORP                 COM FON GROUP    852061100    510       56000    SH        SOLE                     56000      0      0
STEWART ENTERPRISES                          860370105     20        4000    SH        SOLE                      4000      0      0
STILLWELL FINANCIAL
INC                                          860831106      7         600    SH        SOLE                       600      0      0
SUN LIFE FINANCIAL                           866796105    226       14305    SH        SOLE                     14305      0      0
SUN MICROSYSTEMS                             866810104      4        1700    SH        SOLE                      1700      0      0
SUNGARD DATA SYSTEMS                         867363103    168        8650    SH        SOLE                      8445      0    205
SUNOCO INC                                   86764P109     47        1582    SH        SOLE                      1582      0      0
SUNTRUST BANKS INC          COM              867914103     94        1545    SH        SOLE                      1545      0      0
SWIFT TRANSN INC            COM              870756103     21        1350    SH        SOLE                         0   1350      0
SYNOVUS FINL CORP                            87161C105     23        1125    SH        SOLE                      1125      0      0
TECO ENERGY INC             COM              872375100     12         800    SH        SOLE                       800      0      0
TECO ENERGY INC             COM              872375100     12         800    SH        DEFINED                    800      0      0
TJX COMPANIES                                872540109      1         100    SH        SOLE                       100      0      0
TXU CORP                                     873168108    125        3000    SH        SOLE                      3000      0      0
TARGET CORP                                  87612E106    389       13180    SH        SOLE                      9275      0   3905
TARGET CORP                                  87612E106     11         400    SH        DEFINED                    400      0      0
TELLABS INC DELAWARE                         879664100      3         800    SH        SOLE                       800      0      0
TELLABS INC DELAWARE                         879664100      0         200    SH        DEFINED                    200      0      0
TEMPLE INLAND INC                            879868107     15         400    SH        SOLE                       400      0      0
TENET HEALTHCARE
CORP                                         88033G100    338        6840    SH                                  4520      0   2320
TENNECO AUTOMOTIVE
NW                                           880349105      0         150    SH        SOLE                       150      0      0
TEXAS BIOTECH                                88221T104      0         100    SH        SOLE                       100      0      0
TEXAS INSTRUMENTS                            882508104     17        1200    SH        SOLE                      1200      0      0
THOMAS & BETTS CORP         COM              884315102      2         200    SH        SOLE                       200      0      0
THORNBURG MORTGAGE
INC                                          885218107     11         600    SH        SOLE                       600      0      0
3 COM CORP                                   885535104      1         350    SH        DEFINED                      0      0    350
3M CO                                        88579Y101    172        1566    SH        SOLE                      1566      0      0
TIFFANY & CO                NEW              886547108     47        2200    SH        SOLE                      2200      0      0
TRAVELERS PROPERTY
CASUALTY CORP               CL A             89420G109      7         532    SH        SOLE                       532      0      0
TRAVELERS PROPERTY
CASUALTY CORP               CL A             89420G109      4         350    SH        DEFINED                    350      0      0
TRIAD HOSPS INC                              89579K109      2          65    SH        DEFINED                     65      0      0
TRIANGLE
PHARMACEUTICALS INC                          89589H104      2        1000    SH        SOLE                      1000      0      0
TRIBUNE COMPANY                              896047107     50        1200    SH        SOLE                      1200      0      0
TRIQUINT
SEMICONDUCTOR                                89674K103     10        2950    SH        SOLE                         0   2950      0


                                       13






                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----
                                                                                              
TRUSTMARK CORP              COM              898402102     629      27498    SH        SOLE                    27498       0       0
TRUSTMARK CORP              COM              898402102      45       2000    SH        DEFINED                  2000       0       0
TYCO INTL LTD               NEW COM          902124106       4        350    SH        SOLE                      350       0       0
TYCO INTL LTD               NEW COM          902124106       2        200    SH        DEFINED                   200       0       0
TYSON FOODS INC             CL A             902494103       8        750    SH        SOLE                        0       0     750
TYSON FOODS INC             CL A             902494103     174      15000    SH        DEFINED                 15000       0       0
USA TRUCK INC
-RESTRICTED                                  902925106     605      86498    SH        SOLE                    86498       0       0
US BANCORP DEL              NEW              902973304      52       2822    SH        SOLE                     2822       0       0
US UNWIRED INC                               90338R104       3       5000    SH        SOLE                        0    5000       0
UNION PACIFIC CORP                           907818108     212       3680    SH        SOLE                     2430       0    1250
UNION PACIFIC CORP                           907818108     228       3950    SH        DEFINED                   150    3800       0
UNION PLANTERS CORP                          908068109    1102      40164    SH        SOLE                    40164       0       0
UNION PLANTERS CORP         CONV PFD
                            SER E 8%         908068307      49       1000    SH        SOLE                     1000       0       0
UNITED AUTO GROUP
INC                         COM              909440109     141      10105    SH        SOLE                    10105       0       0
UNITED STS STL CORP         NEW              912909108       5        500    SH        SOLE                      500       0       0
VAN KAMPEN INCOME TR                         920957107       2        450              SOLE                      450       0       0
VERIZON
COMMUNICATIONS                               92343V104    1006      36710    SH        SOLE                    32835       0    3875
VERIZON
COMMUNICATIONS                               92343V104      83       3028    SH        DEFINED                  2628       0     400
VIACOM INC                  CL B             925524308      95       2355    SH        SOLE                     2305       0      50
VIACOM INC                  CL B             925524308      13        325    SH        DEFINED                   325       0       0
VISTEON CORP                                 92839U107       0         89    SH        SOLE                       89       0       0
VODAFONE GROUP PLC          NEW              92857W100      53       4164    SH        SOLE                     4164       0       0
W.P. CAREY & CO.,
LLC                                          92930Y107      61       2474    SH        SOLE                     2474       0       0
WACHOVIA CORP 2ND           NEW              929903102     361      11069    SH        SOLE                    11069       0       0
WACHOVIA CORP 2ND           NEW              929903102      16        500    SH        DEFINED                   500       0       0
WAL MART STORES INC         COM              931142103    2931      59545    SH        SOLE                    56495       0    3050
WAL MART STORES INC         COM              931142103     230       4686    SH        DEFINED                  1586    3000     100
WALGREEN CO                 COM              931422109     150       4900    SH        SOLE                     4900       0       0
WASHINGTON MUTUAL
INC                                          939322103      18        600    SH        SOLE                      600       0       0
WASTE MANAGEMENT INC        NEW              94106L109     309      13282    SH        SOLE                     7662       0    5620
WASTE MANAGEMENT INC        NEW              94106L109       0          1    SH        DEFINED                     0       0       1
WEBMD CORP                                   94769M105       5       1000    SH        DEFINED                  1000       0       0
WEINGARTEN RLTY INVS        SH BEN INT       948741103      54       1500    SH        SOLE                     1500       0       0
WELLS FARGO & CO            NEW              949746101     323       6710    SH        SOLE                     6600       0     110
WELLS FARGO & CO            NEW              949746101       9        200    SH        DEFINED                   200       0       0
WEYERHAEUSER CO             COM              962166104     166       3800    SH        SOLE                     3800       0       0
WHITNEY HOLDING CORP        COMMON           966612103     101       3180    SH        SOLE                     3180       0       0
WILLIAMS COMPANY            COMMON           969457100       5       2657    SH        SOLE                     2657       0       0
WORLDCOM, INC                                98157D106      33     367147    SH        SOLE                   367147       0       0


                                       14





                                                                                                                 VOTING AUTHORITY
                           TITLE OF                      VALUE     SHRS OR  SH/ PCT/  INVESTMENT     OTHER     --------------------
    NAMES OF ISSUER        CLASS               CUSIP   [X$1000]    PRN AMT  PRN CALL  DISCRETION    MANAGERS   SOLE   SHARED   NONE
    ---------------        --------          --------- --------   --------  --- ----  ----------   ---------   ----   ------   ----
                                                                                              
WORLDCOM, INC                                98157D106       0       1300    SH        DEFINED                  1000       0     300
WORLDCOM INC GA
NW MCI GROUP                                 98157D304       2      17209    SH        SOLE                    13687    3522       0
WORLDCOM INC GA
NW MCI GROUP                                 98157D304       0         40    SH        DEFINED                    40       0       0
WE WRIGLEY JR.
COMPANY                                      982526105       9        200    SH        SOLE                      200       0       0
WYETH                                        983024100     257       8090    SH        SOLE                     6850       0    1240
WYETH                                        983024100       9        300    SH        DEFINED                   300       0       0
XM SATELLITE                                 983759101      97      25000    SH        SOLE                    25000       0       0
XCEL ENERGY INC                              98389B100      20       2154    SH        SOLE                     2154       0       0
YUM BRANDS INC                               988498101      70       2546    SH        SOLE                     2546       0       0
ZIMMER HLDGS INC                             98956P102       7        200    SH        DEFINED                   200       0       0
                                                         -----     ------                                     ------  ------- ------
    GRAND TOTALS                                         314920   7715489                                    5720795  1816387 178307
                                                         ======   =======                                    =======  ======= ======


                                      15