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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 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 January 30, 2003
for the three months ended December 31, 2002, but was inadvertently filed 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: 518

      Form 13F Information Table Value Total: $386,960
                                             (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



                       TITLE                                                                         VOTING AUTHORITY
                        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      267      10995   SH           SOLE                  7465       0     3530
INGSOLL-RAND CO CL A
BERMUDA                         G4776G101      135       3150   SH           SOLE                  3150       0        0
NOBLE CORP                      G65422100       10        300   SH           SOLE                   300       0        0
TRANSOCEAN SEDCO
FOREX                           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      144       4800   SH           SOLE                  4800       0        0
AGL RESOURCES, INC              001204106       26       1090   SH           SOLE                  1090       0        0
AES CORPORATION                 00130H105        3       1000   SH           SOLE                  1000       0        0
AOL TIME WARNER                 00184A105       64       4895   SH           SOLE                  4520       0      375
AT&T WIRELESS SVCS
INC                             00209A106       43       7755   SH           SOLE                  7227     128      400
AT&T WIRELESS SVCS
INC                             00209A106        1        192   SH         DEFINED                  192       0        0
ABBOTT LAB                      002824100     1320      33019   SH           SOLE                 30009       0     3010
ABBOTT LAB                      002824100      200       5000   SH         DEFINED                  200    4200      600
ADAMS EXPRESS CO         COM    006212104      102       9692   SH           SOLE                  9692       0        0
ADAPTEC INC                     00651F108        2        400   SH           SOLE                   400       0        0
ADVANCED MICRO
DEVICES INC                     007903107        6       1000   SH           SOLE                  1000       0        0
ADVANCED MICRO
DEVICES INC                     007903107        1        200   SH         DEFINED                  200       0        0
ADVANCED ENVIRON
RECYCLING               TCL A   007947104        8       7000   SH           SOLE                  7000       0        0
AETNA INC                COM    00817Y108        8        200   SH         DEFINED                    0       0      200
AGILENT
TECHNOLOGIES, INC               00846U101       47       2633   SH           SOLE                  2365     268        0
AGILENT
TECHNOLOGIES, INC               00846U101        1        100   SH         DEFINED                    0       0      100
AGNICO EAGLE MINES              008474108        7        500   SH           SOLE                   500       0        0
ALCOA INC                       013817101      146       6456   SH           SOLE                  4706       0     1750
ALCOA INC                       013817101        9        400   SH         DEFINED                  400       0        0
ALLEGHENY ENERGY
INC                             017361106        1        200   SH           SOLE                   200       0        0
ALLIANCE CAP MGMT
HLDG L P                        01855A101       62       2000   SH         DEFINED                 2000       0        0
                       NEW
ALLIED CAP CORP        COM      01903Q108        6        315   SH           SOLE                   315       0        0
ALLSTATE CORP
COMMON                          020002101      221       5992   SH           SOLE                  5992       0        0
ALLSTATE CORP
COMMON                          020002101       22        604   SH         DEFINED                  310       0      294
ALLTEL CORP                     020039103      235       4614   SH           SOLE                  4614       0        0
ALLTEL CORP                     020039103      555      10900   SH         DEFINED                10900       0        0


                                      1






                      TITLE                                                                       VOTING AUTHORITY
                       OF                 VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS     CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----     -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                 
AMERICAN ELECTRIC
POWER                         025537101      113      4160  SH             SOLE                 2760        0      1400
AMERICAN ELECTRIC
POWER                         025537101        8       318  SH           DEFINED                 318        0         0
AMER EXPRESS CO               025816109       98      2800  SH             SOLE                 2800        0         0
AMERICAN              GROUP,
INTERNATIONAL         INC     026874107       16       284  SH             SOLE                  284        0         0
AMERICAN              GROUP,
INTERNATIONAL         INC     026874107       10       175  SH           DEFINED                 175        0         0
AMERUS LIFE HOLDINGS          03072M108       20       712  SH             SOLE                  712        0         0
AMERISOURCEBERGEN
CORP                          03073E105      259      4780  SH             SOLE                 3290        0      1490
AMGEN INC                     031162100        4       100  SH             SOLE                  100        0         0
AMGEN INC                     031162100        9       200  SH           DEFINED                 200        0         0
AMSOUTH
BANCORPORATION                032165102     2441    127222  SH             SOLE               127222        0         0
ANADARKO PETE CORP            032511107       70      1464  SH           DEFINED                   0     1464         0
ANALOG DEVICES INC     COM    032654105        2       100  SH             SOLE                  100        0         0
ANHEUSER-BUSCH
COMPANIES                     035229103     1423     29404  SH             SOLE                25234        0      4170
ANHEUSER-BUSCH
COMPANIES                     035229103      174      3600  SH           DEFINED                3600        0         0
ANTHEM INC                    03674B104      230      3660  SH             SOLE                 2470        0      1190
APARTMENT INVT &
MGMT CO                CL A   03748R101       41      1100  SH             SOLE                 1100        0         0
APPLE COMP INC                037833100       45      3200  SH           DEFINED                3200        0         0
APPLIED MATERIALS
INC                           038222105      140     10800  SH             SOLE                10800        0         0
AQUILA INC                    03840P102        4      2500  SH             SOLE                 2500        0         0
ARCHER-DANIELS-
MIDLAND COMPANY               039483102        3       279  SH             SOLE                  279        0         0
ARVINMERITOR                  043353101        2       168  SH             SOLE                  168        0         0
AUTO DATA PROCESS             053015103      204      5200  SH             SOLE                 5200        0         0
AUTO DATA PROCESS             053015103      125      3200  SH           DEFINED                3200        0         0
AUTOZONE                      053332102       52       750  SH             SOLE                  750        0         0
AUTOZONE                      053332102       37       530  SH           DEFINED                 530        0         0
AVAYA INC                     053499109        0       318  SH             SOLE                  235       83         0
AVOCENT CORP USD       COM    053893103       42      1900  SH             SOLE                    0     1900         0
AVON PRODUCTS INC      COM    054303102       37       700  SH             SOLE                  700        0         0
AXA-UAP ADR                   054536107        3       236  SH             SOLE                  236        0         0
AXCELIS
TECHNOLOGIES INC              054540109        7      1414  SH             SOLE                 1414        0         0
BP AMOCO PLC
SPONSORED ADR                 055622104      468     11534  SH             SOLE                10534        0      1000
BP AMOCO PLC
SPONSORED ADR                 055622104      192      4736  SH           DEFINED                4736        0         0
BAKER HUGHES INC       COM    057224107       16       506  SH             SOLE                  506        0         0
BALDOR ELEC CO         COM    057741100    58507   2962387  SH           DEFINED             2962387        0         0
BANCORP MS                    05969210X      271     14000  SH             SOLE                14000        0         0
BANCORPSOUTH INC              059692103    15928    820627  SH             SOLE               813739     5888      1000



                                      2






                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
BANCORPSOUTH INC               059692103    2725    140423   SH          DEFINED              137157     2592        674
BANK OF AMERICA CORP  NEW COM  060505104     595      8555   SH            SOLE                 7035        0       1520
BANK OF AMERICA CORP  NEW COM  060505104      49       710   SH          DEFINED                 710        0          0
BANK OF THE OZARKS,
INC                            063904106    1080     46100   SH          DEFINED               46100        0          0
BANK OF NEW YORK               064057102     235      9815   SH            SOLE                 6830        0       2985
BANK ONE CORP           COM    06423A103     119      3268   SH            SOLE                 3268        0          0
BANK ONE CORP           COM    06423A103      54      1482   SH          DEFINED                   0     1482          0
BAXTER INTL INC                071813109     269      9625   SH            SOLE                 7505        0       2120
BEAR STEARNS COS INC           073902108     505      8507   SH            SOLE                 6327        0       2180
BED BATH & BEYOND              075896100       6       200   SH            SOLE                  200        0          0
BELLSOUTH CORP                 079860102    1072     41468   SH            SOLE                38408        0       3060
BELLSOUTH CORP                 079860102      13       532   SH          DEFINED                 532        0          0
BERKSHIRE
HATHAWAY "A"                   084670108      72         1   SH            SOLE                    1        0          0
BERKSHIRE               DEL
HATHAWAY INC            CL B   084670207       7         3   SH          DEFINED                   3        0          0
BIOGEN N V                     090597105      10       250   SH            SOLE                  250        0          0
BIOMARIN
PHARMACEUTICAL          COM    09061G101      14      2000   SH            SOLE                    0     2000          0
BIOTRANSPLANT INC       COM    09066Y107       1      4400   SH            SOLE                    0     4400          0
BLACKROCK INVT
QUALITY
MUNI TR INC                    09247D105      41      3000   SH            SOLE                 3000        0          0
MF BLACKROCK INCOME
TRUST                          09247F100      18      2400   SH            SOLE                 2400        0          0
                      QUALITY
BLACKSTONE             TERM
INVESTMENT             TRUST   09247J102      40      4155   SH            SOLE                 4155        0          0
BOEING INC                     097023105      48      1480   SH            SOLE                  880        0        600
BOWATER INC                    102183100     346      8270   SH            SOLE                 5715        0       2555
BRISTOL MYERS
SQUIBB CO                      110122108     503     21753   SH            SOLE                21753        0          0
BRISTOL MYERS
SQUIBB CO                      110122108      27      1200   SH          DEFINED                1200        0          0
BUCKEYE TECHNOLOGY
INC                            118255108      19      3100   SH            SOLE                    0     3100          0
BURLINGTON
NORTHERN/SANTA
FE CORP                        12189T104      24       930   SH            SOLE                  930        0          0
CBRL GROUP INC          COM    12489V106      87      2900   SH            SOLE                 2900        0          0
CEC ENTMT INC                  125137109      26       850   SH            SOLE                    0      850          0
CLECO CORP              COM    12561W105       4       296   SH            SOLE                  296        0          0
CNET NETWORKS INC              12613R104       0       118   SH            SOLE                  118        0          0
CADBURY
SCHWEPPES PLC           ADR    127209302      30      1200   SH            SOLE                 1200        0          0
CALLAWAY GOLF CO               131193104       2       200   SH            SOLE                    0        0        200
CAMPBELL SOUP CO        COM    134429109       9       400   SH            SOLE                  400        0          0
CAPITAL ONE
FINL CORP               COM    14040H105     136      4600   SH            SOLE                 4600        0          0
CARDINAL HEALTH INC     COM    14149Y108      26       447   SH            SOLE                  447        0          0



                                            3




                        TITLE                                                                        VOTING AUTHORITY
                         OF                   VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER         CLASS       CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------         -----       -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                     
CATERPILLAR INC                   149123101     137      3000   SH             SOLE                2500         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     124      4250   SH             SOLE                4250         0         0
CERTEGY INC                       156880106       2       100   SH             SOLE                 100        00         0
CHARTER                   DEL
COMMUNICATIONS INC        CL A    16117M107       0       600   SH             SOLE                 600         0         0
CHECKPOINT SYSTEMS                162825103      10      1000   SH             SOLE                1000         0         0
CHEVRONTEXACO CORP                166764100    1100     16553   SH             SOLE               15263         0      1290
CHEVRONTEXACO CORP                166764100      88      1327   SH           DEFINED               1327         0         0
CHOICEPOINT INC                   170388102       3        80   SH             SOLE                  80         0         0
CHRONIMED INC             COM     171164106      41      6800   SH             SOLE                   0      6800         0
CISCO SYS INC                     17275R102     398     30395   SH             SOLE               29995         0       400
CISCO SYS INC                     17275R102      18      1400   SH           DEFINED                800         0       600
CITIGROUP, INC                    172967101     778     22140   SH             SOLE               19690         0      2450
CITIGROUP, INC                    172967101     285      8117   SH           DEFINED               8117         0         0
CLEAR CHANNEL
COMMUNICATIONS                    184502102       3       100   SH             SOLE                 100         0         0
COCA COLA BOTTLING
CO CONS                   COM     191098102      27       420   SH             SOLE                 420         0         0
COCA COLA CO                      191216100    1395     31832   SH             SOLE               29307       200      2325
COCA COLA CO                      191216100      65      1500   SH           DEFINED                500         0      1000
COCA COLA
ENTERPRISES INC           COM     191219104      84      3900   SH             SOLE                3900         0         0
COLGATE-PALMOLIVE CO              194162103     142      2725   SH             SOLE                2725         0         0
COLGATE-PALMOLIVE CO              194162103      10       200   SH           DEFINED                  0         0       200
                       MUNICIPAL
COLONIAL HIGH INCOME     TRUST    195743109       1       200                  SOLE                 200         0         0
COMMSCOPE INC                     203372107       7      1000   SH             SOLE                1000         0         0
COMPUTER ASSOC
INTL INC                  COM     204912109      10       800   SH             SOLE                 800         0         0
COMPUTER SCIENCES
CORPORATION COMMON                205363104       3        99   SH           DEFINED                  0         0        99
CONAGRA FOODS INC                 205887102       5       200   SH           DEFINED                200         0         0
CONEXANT SYS INC COM              207142100       0       176   SH             SOLE                 176         0         0
CONOCO PHILLIPS                   20825C104     105      2186   SH             SOLE                2186         0         0
CONSECO                           208464107       0       560   SH           DEFINED                560         0         0
CONSECO                   FD SH
STRATEGIC INC            BEN INT  20847A102       7       866   SH             SOLE                 866         0         0
CONSOLIDATED
EDISON INC                COM     209115104      42      1000   SH             SOLE                1000         0         0
CONSTELLATION ENERGY
CORP                              210371100       4       150   SH             SOLE                 150         0         0
COOPER TIRE &
RUBBER CO                         216831107     321     20953   SH             SOLE               19953         0      1000
COOPER TIRE &
RUBBER CO                         216831107       1       100   SH           DEFINED                100         0         0


                                          4





                        TITLE                                                                         VOTING AUTHORITY
                         OF                    VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER         CLASS        CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------         -----        -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                      
COX
COMMUNICATIONS CL A                224044107       2       100   SH          DEFINED                 100         0         0
CYPRESS
SEMICONDUCTOR                      232806109       2       500   SH            SOLE                  500         0         0
DNP SELECT
INCOME FD INC                      23325P104      10      1100   SH          DEFINED                1100         0         0
DPL INC                   COM      233293109      22      1485   SH            SOLE                 1485         0         0
DANKA                  SPONSORED
BUSINESS SYS PLC          AD R     236277109      21      5000   SH            SOLE                 5000         0         0
DEERE & CO                         244199105      68      1500   SH            SOLE                 1500         0         0
DEL MONTE FOODS           COM      24522P103       0       121   SH            SOLE                  121         0         0
DELL COMPUTER                      247025109     423     15860   SH            SOLE                15860         0         0
DELL COMPUTER                      247025109      29      1100   SH          DEFINED                1100         0         0
DELPHI AUTO SYSTEMS                247126105       2       343   SH            SOLE                  343         0         0
DELTA & PINE LD CO        COM      247357106      14       709   SH            SOLE                  709         0         0
DELTIC TIMBER INC                  247850100     382     14324   SH            SOLE                14324         0         0
DELTIC TIMBER INC                  247850100   17247    645971   SH          DEFINED              242423    403548         0
WALT DISNEY CO                     254687106      34      2131   SH            SOLE                  760      1371         0
WALT DISNEY CO                     254687106       3       200   SH          DEFINED                 200         0         0
DOMINION RES INC         VA NEW    25746U109     165      3015   SH            SOLE                 3015         0         0
DONNELLEY RR & SONS                257867101      17       800   SH            SOLE                  800         0         0
DOW CHEMICAL CO                    260543103     483     16263   SH            SOLE                16263         0         0
DOW CHEMICAL CO                    260543103      14       483   SH          DEFINED                 483         0         0
DREYFUS STRATEGIC
MUNICIPALS INC                     261932107      20      2086                 SOLE                 2086         0
DREYFUS MUNICIPAL
INCOME INC                         26201R102      16      1832                 SOLE                 1832         0
DREYFUS STRATEGIC
MUN BD FD INC                      26202F107      22      2841   SH            SOLE                 2841         0         0
DU PONT EI D
NEMOURS & CO                       263534109     207      4897   SH            SOLE                 4897         0         0
DU PONT EI D
NEMOURS & CO                       263534109       4       100   SH          DEFINED                 100         0         0
DUKE ENERGY CORP           COM     264399106     113      5814   SH            SOLE                 5814         0         0
DUN & BRADSTREET NW                26483E100       5       150   SH            SOLE                  150         0         0
DYNEX CAP INC            COM NEW   26817Q506       0       106   SH          DEFINED                 106         0         0
E-LOAN INC                         26861P107       1      1000   SH            SOLE                 1000         0         0
EMC CORP                           268648102      25      4200   SH            SOLE                 4200         0         0
EMC CORP                           268648102      24      4000   SH          DEFINED                4000         0         0
E TRADE GROUP INC                  269246104      19      4000   SH            SOLE                 4000         0         0
EASTMAN KODAK CO                   277461109      35      1000   SH            SOLE                 1000         0         0
EASTMAN KODAK CO                   277461109       4       125   SH          DEFINED                 125         0         0
EATON CORP                 COM     278058102     117      1500   SH            SOLE                 1500         0         0
ECHOSTAR COMMUN                    278762109      11       500   SH            SOLE                  500         0         0
EDWARDS
LIFESCIENCES CORP                  28176E108       6       240   SH            SOLE                  240         0         0
A. G. EDWARDS INC                  281760108     309      9385   SH            SOLE                 6560         0      2825
EL PASO CORPORATION                28336L109       5       812   SH            SOLE                  812         0         0
EL PASO CORPORATION                28336L109       1       200   SH          DEFINED                   0         0       200


                                        5




                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
ELAN CORP PLC ADR              284131208       0       100   SH           SOLE                   100         0         0
ELECTRONIC DATA SYS
CORP NEW                       285661104      10       550   SH           SOLE                   550         0         0
EMERSON ELECTRIC CO            291011104     122      2400   SH           SOLE                  2400         0         0
ENCORE WIRE CORP        COM    292562105     189     20900   SH           SOLE                 13900         0      7000
ENERGY EAST CORP        COM    29266M109       4       200   SH           SOLE                   200         0         0
ENGELHARD CORP                 292845104       5       253   SH          DEFINED                   0        00       253
ENTERASYS NETWORKS
INC                            293637104       0       200   SH           SOLE                   200         0         0
ENTERGY CORP                   29364G103     233      5131   SH           SOLE                  4131         0      1000
ENTERGY CORP                   29364G103      27       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      10       200   SH           SOLE                   200         0         0
EXXON MOBIL CORP               30231G102    6984    199964   SH           SOLE                198019         0      1945
EXXON MOBIL CORP               30231G102    1078     30876   SH          DEFINED               20576      4700      5600
FPL GROUP INC                  302571104     243      4050   SH           SOLE                  2815         0      1235
FED HMN LN             VOTING
MTG CORP                COM    313400301      14       250   SH           SOLE                   250         0         0
FMNA                    COM    313586109      77      1200   SH           SOLE                  1200         0         0
FEDERAL REALTY        SH BEN
INVT TR               INT NEW  313747206      28      1000   SH           SOLE                  1000         0         0
FEDEX CORPORATION              31428X106      54      1000   SH           SOLE                  1000         0         0
FEDEX CORPORATION              31428X106       5       100   SH          DEFINED                 100         0         0
FIRST INDL RLTY TR
INC                            32054K103      12       450   SH           SOLE                   450         0         0
FIRST M & F CORP               320744105      35      1293   SH           SOLE                  1293         0         0
FIRST TENNESSEE
NATIONAL CORP                  337162101    2583     71896   SH           SOLE                 71896         0         0
FISERV INC                     337738108     209      6185   SH           SOLE                  4295         0      1890
FLEET BOSTON CORP              339030108      19       812   SH           SOLE                   812         0         0
FLUOR CORP                     343412102       2        96   SH          DEFINED                  96         0         0
FORD MOTOR COMPANY
COMMON                         345370860      61      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     264      9015   SH           SOLE                  6140         0      2875
                        DEL
GAP INC                 COM    364760108      23      1500   SH           SOLE                  1500         0         0
GENERAL ELECTRIC CO            369604103    3113    127898   SH           SOLE                125973      1255       670
GENERAL ELECTRIC CO            369604103      70      2900   SH          DEFINED                1700         0      1200
GENERAL MLS INC         COM    370334104      24       520   SH           SOLE                   520         0         0
GENERAL MLS INC         COM    370334104       0        20   SH          DEFINED                   0         0        20
GEN MTR CORP                   370442105      24       673   SH           SOLE                   673         0         0
GENOME THERAPEUTICS
CORP                    COM    372430108       1      1000   SH           SOLE                     0         0      1000
GEORGIA PAC CORP               373298108      24      1490   SH           SOLE                  1490         0         0


                                        6




                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
GERON CORP              COM    374163103       1        300  SH           SOLE                    300        0         0
GILLETTE CO                    375766102      91       3006  SH           SOLE                   2806        0       200
GILLETTE CO                    375766102     105       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      22        600  SH         DEFINED                   600        0         0
GOODYEAR TIRE
& RUBBER                       382550101       4        618  SH           SOLE                    618        0         0
GREAT LAKES
CHEM CORP               COM    390568103      42       1785  SH         DEFINED                  1785        0         0
GREAT PLAINS
ENERGY INC                     391164100      42       1855  SH           SOLE                   1855        0         0
GUIDANT CORP            COM    401698105      89       2900  SH           SOLE                   2900        0         0
HCA- THE
HEALTHCARE CO                  404119109     143       3450  SH           SOLE                   3450        0         0
HCB BANCSHARES INC      COM    40413N106      19       1200  SH           SOLE                   1200        0         0
HALLIBURTON CO          COM    406216101      15        850  SH           SOLE                    850        0         0
HALLIBURTON CO          COM    406216101      11        600  SH         DEFINED                   600        0         0
HANCOCK FABRICS                409900107      24       1600  SH           SOLE                   1600        0         0
HANCOCK HLDG CO
CAP VALUE                      410120109     194       4345  SH           SOLE                   4345        0         0
JOHN HANCOCK                   41014S106      15        572  SH           SOLE                    572        0         0
HARRIS CORP                    413875105      39       1494  SH           SOLE                   1494        0         0
HARTFORD FNCL
SV GRP INC              COM    416515104       9        200  SH         DEFINED                   200        0         0
HASBRO, INC                    418056107       9        787  SH         DEFINED                   787        0         0
HEINZ H J CO            COM    423074103       8        273  SH           SOLE                    273        0         0
HEWLETT PACKARD CO             428236103     332      19143  SH           SOLE                  17727     1416         0
HEWLETT PACKARD CO             428236103       6        400  SH         DEFINED                     0        0       400
HIBERNIA CORP                  428656102    6037     313628  SH           SOLE                 312728        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     436      18172  SH           SOLE                  18172        0         0
HOME DEPOT                     437076102      36       1532  SH         DEFINED                  1532        0         0
HONEYWELL INTL INC             438516106      74       3120  SH           SOLE                   3120        0         0
HUBBELL INC             CL B   443510201      35       1000  SH           SOLE                   1000        0         0
ICN PHARMACEUTICALS
INC                   NEW COM  448924100       5        525  SH           SOLE                      0        0       525
ING PRIME RATE
TR SH BEN INT                  44977W106      84      13907  SH           SOLE                      0    13907         0
ILLINOIS TOOL
WORKS INC                      452308109       4         76  SH           SOLE                     76        0         0
ILLINOIS TOOL
WORKS INC                      452308109      16        250  SH         DEFINED                   250        0         0
INSIGHT
ENTERPRISES INC         COM    45765U103      23       2775  SH           SOLE                      0     2775         0
INTEL CORP              CAP    458140100     479      30794  SH           SOLE                  30794        0         0
INTEL CORP              CAP    458140100      74       4780  SH         DEFINED                  3980        0       800
IBM CORP                       459200101    2325      30009  SH           SOLE                  28249        0      1760


                                        7




                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
IBM CORP                       459200101      98      1275   SH          DEFINED                 475       800         0
INTL PAPER CO                  460146103      59      1692   SH            SOLE                 1692         0         0
INTL PAPER CO                  460146103      50      1450   SH          DEFINED                 150      1100       200
JDS UNIPHASE CORP       COM    46612J101       0       120   SH            SOLE                  120         0         0
J P MORGAN
CHASE & CO                     46625H100      58      2432   SH            SOLE                 2432         0         0
J P MORGAN
CHASE & CO                     46625H100      36      1500   SH          DEFINED                1500         0         0
JOHNSON & JOHNSON              478160104    2362     43986   SH            SOLE                42986         0      1000
JOHNSON & JOHNSON              478160104     477      8900   SH          DEFINED                5000      1200      2700
JOHNSON CONTROLS INC           478366107     274      3425   SH            SOLE                 2470         0       955
KLA TENCOR CORP                482480100       3       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       9       200   SH            SOLE                  200         0         0
KIMBERLY-CLARK CORP            494368103      18       400   SH          DEFINED                 400         0         0
KINDER MORGAN
ENERGY PARTNERS, L.P.          494550106       8       232   SH            SOLE                  232         0         0
KNIGHT RIDDER INC              499040103     428      6770   SH            SOLE                 4655         0      2115
KROGER CO                      501044101      14       908   SH            SOLE                  908         0         0
LSI LOGIC CORP          COM    502161102       2       400   SH            SOLE                  400         0         0
LACLEDE GROUP INC              505597104       7       300   SH            SOLE                  300         0         0
LACLEDE GROUP INC              505597104      21       900   SH          DEFINED                 900         0         0
ESTEE LAUDER CO                518439104      15       600   SH          DEFINED                 600         0         0
LEHMAN BROTHERS
HOLDINGS                COM    524908100     399      7505   SH            SOLE                 5370         0      2135
LEVEL 3
COMMUNICATIONS INC             52729N100      29      6037   SH            SOLE                 6037         0         0
                       NEW
LEXMARK INTL           CL A    529771107     368      6095   SH            SOLE                 4250         0      1845
THE LIBERTY
CORPORATION                    530370105     112      2900   SH            SOLE                 2900         0         0
ELI LILLY & CO                 532457108     642     10120   SH            SOLE                 8875         0      1245
ELI LILLY & CO                 532457108      95      1500   SH          DEFINED                1500         0         0
LOUISIANA PAC CORP      COM    546347105       2       338   SH            SOLE                  338         0
LOWES CO INC                   548661107     679     18125   SH            SOLE                13825         0      4300
LUCENT TECHNOLOGIES            549463107      30     24225   SH            SOLE                23021      1004       200
LUCENT TECHNOLOGIES            549463107       2      2200   SH          DEFINED                2200         0         0
M & T BANK CORP                55261F104     158      2000   SH            SOLE                 2000         0         0
MFS INTER INCOME
TR SH BEN               INT    55273C107      41      5900   SH            SOLE                 5900         0         0
MGNA ENTMT CORP                559211107       0        20   SH            SOLE                   20         0         0
MANULIFE FINANCIAL
CORP                           56501R106     917     42300   SH            SOLE                42300         0         0
MARSH & MCLENNAN               571748102      46      1000   SH            SOLE                 1000         0         0
MASSEY ENERGY CORP             576206106       0        96   SH            SOLE                   96         0         0
MCCORMICK & CO                 579780206     417     17980   SH            SOLE                12040         0      5940



                                        8




                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
MCDATA CORP
CLASS A                        580031201       13      1875  SH           SOLE                      0      1875         0
MCDATA CORP
CLASS A                        580031201        0        73  SH          DEFINED                   73         0         0
MCDONALD'S
CORP                           580135101       51      3200  SH           SOLE                   3200         0         0
MCGRAW HILL
COS INC                        580645109       15       250  SH          DEFINED                  250         0         0
MEADWESTVACO
CORP                           583334107       38      1547  SH           SOLE                   1547         0         0
MEDTRONIC INC          COM     585055106       43       960  SH           SOLE                    960         0         0
MELLON FINL CORP               58551A108       20       800  SH           SOLE                    800         0         0
MERCK & CO INC                 589331107     1712     30254  SH           SOLE                  28829         0      1425
MERCK & CO INC                 589331107      220      3900  SH          DEFINED                 3400         0       500
MERRILL LYNCH
& CO., INC                     590188108       12       320  SH           SOLE                    320         0         0
METLIFE INC            COM     59156R108      100      3729  SH           SOLE                   3729         0         0
MICROSOFT CORP                 594918104      718     13895  SH           SOLE                  13330         0       565
MICROSOFT CORP                 594918104       20       400  SH          DEFINED                    0         0       400
MICRON
TECHNOLOGY                     595112103       98     10140  SH           SOLE                   7695         0      2445
MID-AMERICA
APARTMENT
CMNTYS                         59522J103       24      1000  SH          DEFINED                 1000         0         0
MIDAS GROUP INC                595626102        4       666  SH           SOLE                    666         0         0
MILLER
HERMAN INC             COM     600544100       63      3460  SH           SOLE                   3460         0         0
MIRANT CORP                    604675108        5      3213  SH           SOLE                   3213         0         0
MIRANT CORP                    604675108        0       143  SH          DEFINED                  143         0         0
MISSISSIPPI
CHEMICAL CORP                  605288208        0      1492  SH           SOLE                   1492         0         0
MONSANTO CO           (NEW)    61166W101       32      1705  SH           SOLE                   1620         0        85
MONSANTO CO           (NEW)    61166W101        4       235  SH          DEFINED                  150         0        85
MOODYS CORP                    615369105       12       300  SH           SOLE                    300         0         0
MORGAN STANLEY
DEAN WITTER
DISCOVER & CO                  617446448      161      4040  SH           SOLE                   4040         0         0
MORGAN STANLEY
DEAN WITTER
DISCOVER & CO                  617446448       10       260  SH          DEFINED                  260         0         0
MOTOROLA INC                   620076109      130     15063  SH           SOLE                  14963         0       100
MOTOROLA INC                   620076109       64      7466  SH          DEFINED                 7166         0       300
MULTIMEDIA
GAMES INC                      625453105       12       450  SH           SOLE                    450         0         0
MUNICIPAL
MORTGAGE &            GROWTH
EQUITY LLC              SH     62624B101      102      4000  SH           SOLE                   4000         0         0
MUNIVEST
FD INC                 COM     626295109       44      5000               SOLE                   5000         0         0
MURPHY OIL CORP        COM     626717102     4191     48909  SH           SOLE                  48909         0         0
MURPHY OIL CORP        COM     626717102   199137   2323653  SH          DEFINED              1032683   1290970         0
MYLAN
LABORATORIES
INC                            628530107      273      7848  SH           SOLE                   5688        00      2160
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       61      2600  SH           SOLE                      0      2600         0
NELSON,
THOMAS INC                     640376109        1       187  SH           SOLE                    187         0         0



                                       9




                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
NEWELL
RUBBERMAID INC                 651229106      12       400   SH             SOLE                 400       0            0
NICOR INC              COM     654086107      18       550   SH             SOLE                 550       0            0
NIKE INC CLASS B               654106103      38       860   SH             SOLE                 860       0            0
NOKIA CORP
SPND ADR                       654902204      37      2400   SH             SOLE                2400       0            0
NOBLE ENERGY INC               655044105      37      1000   SH             SOLE                1000       0            0
NORFOLK SO CORP                655844108      38      1934   SH             SOLE                1934       0            0
NORTEL NETWORK
CORP NEW                       656568102       8      5000   SH             SOLE                5000       0            0
NORTHERN TRUST
COMPANY NTRS                   665859104      62      1780   SH             SOLE                1780       0            0
NORTHERN TRUST
COMPANY NTRS                   665859104     140      4000   SH           DEFINED               3600       0          400
NORTHRUP
GRUMMAN                        666807102       9       100   SH             SOLE                 100       0            0
NORTHWESTERN
CORPORATION                    668074107       1       330   SH             SOLE                 330       0            0
NOVELLUS SYSTEMS               670008101     233      8325   SH             SOLE                5755       0         2570
NUVEEN INSD            MUNI
PREMIUM INCOME          FD     6706D8104       4       338                  SOLE                 338       0            0
NUVEEN MUNICIPAL
MARKET OPP                     67062W103      49      3529                  SOLE                3529       0
OKLAHOMA GAS &
ELEC ENERGY CORP               670837103      75      4300   SH             SOLE                4300       0            0
OKLAHOMA GAS &
ELEC ENERGY CORP               670837103      12       700   SH           DEFINED                700       0            0
NUVEEN MUN
VALUE FD INC                   670928100      21      2300                  SOLE                2300       0
NUVEEN QUALITY
INCOME MUNI                    670977107       7       500   SH             SOLE                 500       0            0
NUVEEN PREMIER
MUNICIPAL INC                  670988104      22      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       5      1000   SH             SOLE                1000       0            0
OLIN CORP                      680665205       2       166   SH           DEFINED                166       0            0
OMNICOM GROUP                  681919106      19       300   SH             SOLE                 300       0            0
ORACLE
SYSTEMS CORP                   68389X105      44      4110   SH             SOLE                4110       0            0
PPG INDUSTRIES INC             693506107      30       600   SH             SOLE                 600       0            0
PACTIV COPR                    695257105      38      1747   SH             SOLE                1747       0            0
PAYCHEX INC                    704326107       4       150   SH             SOLE                 150       0            0
PCCW LTD
SPONSORED ADR                  70454G108       3      2473   SH           DEFINED               2473       0            0
PENNEY J C INC         COM     708160106       4       182   SH             SOLE                 182       0            0
PEOPLES
ENERGY CORP            COM     711030106       7       200   SH             SOLE                 200       0            0
PEOPLES
ENERGY CORP            COM     711030106      19       500   SH           DEFINED                500       0            0
PEOPLES HLDG CO        COM     711148106      14       367   SH             SOLE                 367       0            0
PEOPLES HLDG CO        COM     711148106      20       500   SH           DEFINED                500       0            0



                                       10




                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
PEPCO HLDGS INC                713291102       8        457  SH             SOLE                  457        0          0
PEPSIAMERICAS INC              71343P200      53       4000  SH             SOLE                 4000        0          0
PEPSICO INC            COM     713448108    1533      36333  SH             SOLE                36218        0        115
PEPSICO INC            COM     713448108      89       2130  SH           DEFINED                 430     1100        600
PFIZER INC                     717081103    2578      84375  SH             SOLE                84190        0        185
PFIZER INC                     717081103      94       3100  SH           DEFINED                2200        0        900
PHARMACIA CORP                 71713U102     515      12326  SH             SOLE                11826        0        500
PHARMACIA CORP                 71713U102      57       1380  SH           DEFINED                 880        0        500
PHELPS
DODGE CORP             COM     717265102       0         20  SH             SOLE                   20        0          0
PHELPS
DODGE CORP             COM     717265102      15        500  SH           DEFINED                 500        0          0
PHILIP MORRIS
COS INC                COM     718154107     530      13085  SH             SOLE                10790        0       2295
THE PHOENIX
COMPANIES                      71902E109       7       1051  SH             SOLE                 1051        0          0
PLACER DOME INC                725906101       1        170  SH             SOLE                  170        0          0
PLUM CREEK
TIMBER CO INC                  729251108      27       1164  SH             SOLE                 1164        0          0
POTLATCH CORP          COM     737628107       3        150  SH             SOLE                  150        0          0
PRAXAIR INC            COM     74005P104      17        300  SH           DEFINED                 300        0          0
PRINCIPAL
FINANCIAL GROUP                74251V102      80       2663  SH             SOLE                 2663        0          0
PROCTOR &
GAMBLE CO              COM     742718109     967      11256  SH             SOLE                10656        0        600
PROCTOR &
GAMBLE CO              COM     742718109     120       1400  SH           DEFINED                1400        0          0
PROGRESS
ENERGY INC COM                 743263105      10        232  SH             SOLE                  232        0          0
PRUDENTIAL
FINANCIAL                      744320102     141       4462  SH             SOLE                 4462        0          0
PUBLIC STORAGE,
INC REIT                       74460D109       5        180  SH             SOLE                  180        0          0
PUTNAM
MANAGED               INCOME
MUNICIPAL             TRUST    746823103       3        500               DEFINED                   0        0        500
QLOGIC CORP            COM     747277101      44       1303  SH             SOLE                  250     1053          0
QUALCOMM INC                   747525103       7        200  SH             SOLE                  200        0          0
QWEST
COMMUNICATIONS
INTL INC               COM     749121109      10       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      18        600  SH             SOLE                  600        0          0
REGIONS
FNCL CORP                      758940100     713      21390  SH             SOLE                10640     9550       1200
REGIONS
FNCL CORP                      758940100      59       1786  SH           DEFINED                   0     1786          0
RELIANT
RESOURCES INC                  75952B105       5       1576  SH             SOLE                 1576        0          0
RELIANT
RESOURCES INC                  75952B105      14       4651  SH           DEFINED                4622        0         29
REMINGTON OIL
& GAS CORP             COM     759594302      26       1600  SH             SOLE                    0     1600          0
REYNOLDS RJ
TOB HLDGS INC                  76182K105       6        166  SH             SOLE                  166        0          0



                                       11




                      TITLE                                                                       VOTING AUTHORITY
                       OF                  VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS      CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----      -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                  
RIVERSTONE
NETWORKS INC                   769320102        0      102   SH             SOLE                  102        0          0
ROCKWELL INTL
CORP NEW                       773903109        3      177   SH             SOLE                  177        0          0
ROCKWELL
COLLINS INC                    774341101        4      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            NY REG
PETE CO               GLD1.25  780257804      372     8466   SH             SOLE                 6471        0       1995
ROYAL DUTCH            NY REG
PETE CO               GLD1.25  720857804      140     3200   SH           DEFINED                3200        0          0
RUBY TUESDAY INC               781182100       21     1260   SH           DEFINED                   0        0       1260
SBC
COMMUNICATIONS,
INC                            78387G103     1313    48459   SH             SOLE                44984        0       3475
SBC
COMMUNICATIONS,
INC                            78387G103       21      780   SH           DEFINED                 780        0          0
SCP POOL CORP           COM    784028102       59     2025   SH             SOLE                    0     2025          0
ST JUDE MEDICAL                790849103      477    12030   SH             SOLE                 8310        0       3720
SARA LEE CORP           COM    803111103       18      800   SH             SOLE                  800        0          0
SCANA CORP NEW                 80589M102      459    14847   SH             SOLE                10277        0       4570
SCHERING
PLOUGH CORP             COM    806605101      410    18484   SH             SOLE                18484        0          0
SCHERING
PLOUGH CORP             COM    806605101      432    19500   SH           DEFINED                 100    19400          0
SCHLUMBERGER
LTD                     COM    806857108       65     1550   SH             SOLE                 1350        0        200
THE CHARLES
SCHWAB CORP                    808513105       16     1500   SH             SOLE                 1500        0          0
SCRIPPS EW INC
NEW CL A                       811054204       38      500   SH             SOLE                  500        0          0
SEARS ROEBUCK
& CO                    COM    812387108       45     1920   SH             SOLE                 1920        0          0
SEARS ROEBUCK
& CO                    COM    812387108        3      167   SH           DEFINED                 167        0          0
SELIGMAN SELECT
MUN FD INC                     816344105       13     1250   SH             SOLE                 1250        0          0
SEMPRA ENERGY                  816851109        3      135   SH             SOLE                  135        0          0
SERVICEMASTER
COMPANY                 COM    81760N109       84     7593   SH             SOLE                 7593        0          0
SHELL TRANS &         NEW YRK
TRADING PLC            SH NEW  822703609       70     1800   SH           DEFINED                1800        0          0
SHERWIN
WILLIAMS CO             COM    824348106       31     1100   SH             SOLE                 1100        0          0
SIMMONS                 CL A
1ST NATL CORP          $5 PAR  828730200      241     6600   SH             SOLE                 6600        0          0
SIMMONS                 CL A
1ST NATL CORP          $5 PAR  828730200        9      250   SH           DEFINED                 250        0          0
SIMON PROPERTY
GROUP INC                      828806109      250     7345   SH             SOLE                 4995        0       2350
SIRIUS SATTELITE
RADIO                          82966U103        6    10000   SH             SOLE                10000        0          0
SKYWORKS
SOLUTIONS                      83088M102        0       61   SH             SOLE                   61        0          0
SMUCKER J M CO                 832696405        0        3   SH             SOLE                    3        0          0
SMURFIT-STONE
CONTAINER CORP                 832727101        7      495   SH             SOLE                  495        0          0
SOLUTIA INC             COM    834376105       12     3312   SH             SOLE                 3312        0          0



                                       12





                      TITLE                                                                         VOTING AUTHORITY
                       OF                    VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER       CLASS        CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       -----        -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                    
SONY CORP                        835699307      41       1000  SH           DEFINED                1000         0        0
SOUTHERN CO             COM      842587107     528      18639  SH             SOLE                18639         0        0
SOUTHERN CO             COM      842587107      92       3275  SH           DEFINED                3275         0        0
SOUTHWEST
AIRLS CO                COM      844741108       7        505  SH             SOLE                  505         0        0
                      COM FON
SPRINT CORP            GROUP     852061100    1005      69425  SH             SOLE                64285         0     5140
STEWART
ENTERPRISES                      860370105      22       4000  SH             SOLE                 4000         0        0
STILLWELL
FINANCIAL INC                    860831106       7        600  SH             SOLE                  600         0        0
SUN LIFE FINANCIAL               866796105     243      14305  SH             SOLE                14305         0        0
SUN MICROSYSTEMS                 866810104       5       1700  SH             SOLE                 1700         0        0
SUNGARD DATA
SYSTEMS                          867363103     243      10330  SH             SOLE                10125         0      205
SUNOCO INC                       86764P109      47       1422  SH             SOLE                 1422         0        0
SUNTRUST
BANKS INC               COM      867914103      70       1245  SH             SOLE                 1245         0        0
SWIFT TRANSN INC        COM      870756103      27       1350  SH             SOLE                    0      1350        0
SYNOVUS FINL CORP                87161C105      21       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      65       3500  SH             SOLE                 3500         0        0
TARGET CORP                      87612E106     442      14750  SH             SOLE                10845         0     3905
TARGET CORP                      87612E106      12        400  SH           DEFINED                 400         0        0
TELLABS INC
DELAWARE                         879664100       5        800  SH             SOLE                  800         0        0
TELLABS INC
DELAWARE                         879664100       1        200  SH           DEFINED                 200         0        0
TEMPLE INLAND INC                879868107      17        400  SH             SOLE                  400         0        0
TENNECO
AUTOMOTIVE NW                    880349105       0        150  SH             SOLE                  150         0        0
TEXAS BIOTECH                    88221T104       0        100  SH             SOLE                  100         0        0
TEXAS
INSTRUMENTS                      882508104      18       1200  SH             SOLE                 1200         0        0
TEXTRON
INCORPORATED            COMM     883203101     262       6115  SH             SOLE                 3775         0     2340
THOMAS &
BETTS CORP              COM      884315102       3        200  SH             SOLE                  200         0        0
THORNBURG
MORTGAGE INC                     885218107       6        300  SH             SOLE                  300         0        0
3M CO                            88579Y101     193       1566  SH             SOLE                 1566         0        0
TIFFANY & CO NEW                 886547108      52       2200  SH             SOLE                 2200         0        0
TRAVELERS
PROPERTY
CASUALTY CORP           CL A     89420G109       5        353  SH             SOLE                  353         0        0
TRAVELERS
PROPERTY
CASUALTY CORP           CL A     89420G109       5        350  SH           DEFINED                 350         0        0
TRAVELERS
CORPORATION           CL B COM   89420G406      12        845  SH             SOLE                  845         0        0
TRAVELERS
CORPORATION           CL B COM   89420G406      10        720  SH           DEFINED                 720         0        0
TRIANGLE
PHARMACEUTICALS
INC                              89589H104       5       1000  SH             SOLE                 1000         0        0
TRIBUNE COMPANY                  896047107      54       1200  SH             SOLE                 1200         0        0


                                       13






                        TITLE                                                                            VOTING AUTHORITY
                         OF                       VALUE    SHRS OR  SH/  PCT/  INVESTMENT   OTHER    ---------------------------
NAMES OF ISSUER         CLASS           CUSIP    (X$1000)  PRN AMT  PRN  CALL  DISCRETION  MANAGERS    SOLE     SHARED     NONE
---------------       --------          -----    --------  -------  ---  ----  ----------  --------  -------   --------   ------
                                                                                         
TRIQUINT
SEMICONDUCTOR                         89674K103      12       2950  SH             SOLE                    0     2950          0
TRUSTMARK CORP            COM         898402102     654      27498  SH             SOLE                27498        0          0
TRUSTMARK CORP            COM         898402102      23       1000  SH           DEFINED                1000        0          0
TYCO INTL LTD NEW         COM         902124106       5        350  SH             SOLE                  350        0          0
TYSON FOODS INC           CL A        902494103       8        750  SH             SOLE                    0        0        750
TYSON FOODS INC          CL A         904494103     168      15000  SH           DEFINED               15000        0          0
USA TRUCK INC -
RESTRICTED                            902925106     609      86498  SH             SOLE                86498        0          0
US UNWIRED INC                        90338R104       2       5000  SH             SOLE                    0     5000          0
UNION PACIFIC
CORP                                  907818108     245       4095  SH             SOLE                 2845        0       1250
UNION PACIFIC
CORP                                  907818108     236       3950  SH           DEFINED                 150     3800          0
UNION PLANTERS
CORP                                  908068109    1129      40164  SH             SOLE                40164        0          0
UNION PLANTERS         CONV PFD
CORP                   SER E 8%       908068307      52       1000  SH             SOLE                 1000        0          0
UNITED STS STL
CORP                      NEW         912909108       6        500  SH             SOLE                  500        0          0
VAN KAMPEN
INCOME TR                             920957107       2        450                 SOLE                  450        0
VERIZON
COMMUNICATIONS                        92343V104    1344      34707  SH             SOLE                30832        0       3875
VERIZON
COMMUNICATIONS                        92343V104     117       3028  SH           DEFINED                2628        0        400
VIACOM INC               CL B         925524308     112       2770  SH             SOLE                 2720        0         50
VIACOM INC               CL B         925524308      13        325  SH           DEFINED                 325        0          0
VISTEON CORP                          92839U107       0         75  SH             SOLE                   75        0          0
VODAFONE
GROUP PLC                 NEW         92857W100      74       4104  SH             SOLE                 4104        0          0
W.P. CAREY
& CO., LLC                            92930Y107      61       2474  SH             SOLE                 2474        0          0
WACHOVIA
CORP 2ND                  NEW         929903102     403      11069  SH             SOLE                11069        0          0
WACHOVIA
CORP 2ND                  NEW         929903102      18        500  SH           DEFINED                 500        0          0
WAL MART
STORES INC                COM         931142103    3068      60769  SH             SOLE                57719        0       3050
WAL MART
STORES INC                COM         931142103     236       4686  SH           DEFINED                1586     3000        100
WALGREEN CO                           931422109     113       3900  SH             SOLE                 3900        0          0
WASHINGTON
MUTUAL INC                            939322103      20        600  SH             SOLE                  600        0          0
WASTE
MANAGEMENT INC            NEW         94106L109     139       6080  SH             SOLE                 3825        0       2255
WASTE
MANAGEMENT INC            NEW         94106L109       0          1  SH           DEFINED                   0        0          1
WEINGARTEN              SH BEN
RLTY INVS                 INT         948741103      55       1500  SH             SOLE                 1500        0          0
WELLS FARGO & CO          NEW         949746101     350       7485  SH             SOLE                 7375        0        110
WELLS FARGO & CO          NEW         949746101       9        200  SH           DEFINED                 200        0          0
WEYERHAEUSER CO           COM         962166104     186       3800  SH             SOLE                 3800        0          0
WHITNEY
HOLDING CORP            COMMON        966612103     105       3180  SH             SOLE                 3180        0          0
WILLIAMS COMPANY        COMMON        969457100       5       2057  SH             SOLE                 2057        0          0
WORLDCOM, INC         (BANKRUPTCY)    98157D106      48     371664  SH             SOLE               371664        0          0
WORLDCOM, INC         (BANKRUPTCY)    98157D106       0       1300  SH           DEFINED                1000        0        300
WORLDCOM INC GA
NW MCI GROUP          (BANKRUPTCY)    98157D304       2      15158  SH             SOLE                11636     3522          0


                                       14




                      TITLE                                                                               VOTING AUTHORITY
                       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 GA
NW MCI GROUP       (BANKRUPTCY)     98157D304        0         40     SH         DEFINED                   40         0          0
WE WRIGLEY JR.
COMPANY                             982526105       10        200     SH           SOLE                   200         0          0
WYETH                               983024100      323       8665     SH           SOLE                  7425         0       1240
WYETH                               983024100       11        300     SH         DEFINED                  300         0          0
XM SATELLITE                        983759101       67      25000     SH           SOLE                 25000         0          0
XCEL ENERGY INC                     98389B100       23       2154     SH           SOLE                  2154         0          0
YUM BRANDS INC                      988498101       61       2546     SH           SOLE                  2546         0          0
                                                ------   --------                                     -------   -------     ------
    GRAND TOTALS                                386960   10501526                                     8517479   1821012     163035
                                                ======   ========                                     =======   =======     ======




                                       15