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, 2009

Check here if Amendment [ ]; Amendment Number: _________
This Amendment (Check only one): [ ] is a restatement
[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name: BancorpSouth Inc.
Address: One Mississippi Plaza
 201 South Spring Street
 Tupelo MS 38804

Form 13F File Number: 28-10453

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

Person Signing this Report on Behalf of Reporting Manager:

Name: Cathy S. Freeman
Title: Executive Vice President and Corporate Secretary Phone: (662) 680-2084

Signature Place and Date of Signing:

 /s/ Cathy S. Freeman Tupelo Mississippi November 13, 2009
-------------------------------- ------------------------- -----------------
 [Signature] [City State] [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager: None.


FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 1
Form 13F Information Table Entry Total: 394
Form 13F Information Table Value Total: $10,628,935
 (thousands)

LIST OF OTHER INCLUDED MANAGERS:

Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed other than the manager filing this report.

No. Form 13F File Number Name
--- -------------------- -----------------
1 28-10939 BancorpSouth Bank


 2

 FORM 13F INFORMATION TABLE

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
INGSOLL-RAND PUBLIC LIMITED G47791101 40 1310 SH SOLE 1 1310 0 0
TYCO INTL LTD W/I H89128104 14 415 SH SOLE 1 415 0 0
ACCO BRANDS CORP 00081T108 0 34 SH SOLE 1 34 0 0
A F L A C INC 001055102 78 1825 SH SOLE 1 1825 0 0
AES CORPORATION 00130H105 1 69 SH SOLE 1 69 0 0
AT&T INC COM 00206R102 648 23992 SH SOLE 1 22792 0 1200
AT&T INC COM 00206R102 161 5980 SH DEFINED 1 848 5132 0
ABBOTT LAB 002824100 203 4103 SH SOLE 1 4103 0 0
ABBOTT LAB 002824100 198 4000 SH DEFINED 1 0 4000 0
ABERDEEN ASIA-PACIFIC FUND 003009107 26 4275 SH SOLE 1 4275 0 0
ADVANCED AUTO PARTS INC 00751Y106 14 365 SH SOLE 1 365 0 0
ADVANCED MICRO DEVICES INC 007903107 7 1250 SH SOLE 1 1250 0 0
AGNICO EAGLE MINES 008474108 34 500 SH SOLE 1 500 0 0
AIR PRODS & CHEMS INC COM 009158106 25 325 SH SOLE 1 325 0 0
AIXTRON AKTIENGELELLSCHAFT ADR 009606104 14 510 SH SOLE 1 510 0 0
ALCOA INC 013817101 18 1400 SH SOLE 1 0 0 1400
 SPONSOR
ALCATEL LUCENT ED ADR 013904305 1 305 SH SOLE 1 305 0 0
ALLEGHENY ENERGY INC 017361106 2 66 SH SOLE 1 66 0 0
ALLERGAN INC 018490102 18 320 SH SOLE 1 320 0 0
ALLIANCEBERNSTEIN MUN INCOME
FD 01864U106 135 9800 SOLE 1 9800 0 0
ALLIANCEBERNSTEIN INCOME FD 01881E101 15 1850 SH SOLE 1 1850 0 0
ALLIANCEBERSTEIN HLDG LP 01881G106 5 166 SH SOLE 1 166 0 0
ALLSTATE CORP COMMON 020002101 73 2382 SH SOLE 1 2382 0 0
ALLSTATE CORP COMMON 020002101 9 310 SH DEFINED 1 310 0 0
ALTRIA GROUP INC 02209S103 98 5523 SH SOLE 1 5523 0 0
AMEREN CORP 023608102 11 434 SH SOLE 1 434 0 0
 SPON
 ADR L
AMERICA MOVIL SAB DE CV SHS 02364W105 29 660 SH SOLE 1 660 0 0
AMERICAN ELECTRIC POWER 025537101 159 5130 SH SOLE 1 3105 0 2025

3

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
AMER EXPRESS CO 025816109 100 2940 SH SOLE 1 1640 0 1300
AMERICAN INTERNATIONAL GROUP
INC 026874784 1 20 SH SOLE 1 20 0 0
AMERISOURCEBERGEN CORP 03073E105 2 74 SH SOLE 1 74 0 0
AMERIGAS PARTNERS L P 030975106 9 250 SH SOLE 1 250 0 0
AMGEN INC 031162100 6 100 SH SOLE 1 100 0 0
ANADARKO PETE CORP 032511107 18 292 SH SOLE 1 292 0 0
ANADARKO PETE CORP 032511107 106 1696 SH DEFINED 1 0 1696 0
APACHE CORP 037411105 61 662 SH SOLE 1 662 0 0
APPLE INC COM 037833100 19 100 SH SOLE 1 0 0 100
APPLIED MATERIALS INC 038222105 66 4960 SH SOLE 1 4960 0 0
AQUA AMERICAN INC 03836W103 8 439 SH SOLE 1 439 0 0
ARCHER-DANIELS-MIDLAND
COMPANY 039483102 20 679 SH SOLE 1 679 0 0
ARTESIAN RESOURCES, INC CL A 043113208 4 250 SH SOLE 1 250 0 0
ATMOS ENERGY CORP 049560105 101 3580 SH SOLE 1 3580 0 0
AUTODESK INC 052769106 2 65 SH SOLE 1 65 0 0
AUTO DATA PROCESS 053015103 83 2100 SH SOLE 1 2100 0 0
AUTOZONE 053332102 22 150 SH DEFINED 1 150 0 0
AVALONBAY CMNTY INC 053484101 26 361 SH SOLE 1 361 0 0
AVON PRODUCTS INC COM 054303102 3 92 SH SOLE 1 92 0 0
 SPONSOR
BP AMOCO PLC ED ADR 055622104 415 7795 SH SOLE 1 7795 0 0
 SPONSOR
BP AMOCO PLC ED ADR 055622104 165 3100 SH DEFINED 1 3100 0 0
BAKER HUGHES INC COM 057224107 2 51 SH SOLE 1 51 0 0
BALDOR ELEC CO COM 057741100 4720 172646 SH SOLE 1 172646 0 0
BANCORPSOUTH INC 059692103 25234 1034174 SH SOLE 1 911865 0 122309
BANCORPSOUTH INC 059692103 289 11840 SH DEFINED 1 9248 2592 0
BANK OF AMERICA CORP NEW COM 060505104 73 4299 SH SOLE 1 2899 0 1400
BANK OF THE OZARKS, INC 063904106 2127 80200 SH SOLE 1 80200 0 0
BANK NEW YORK MELLON CORP COM 064058100 38 1320 SH SOLE 1 1320 0 0
BARRICK GOLD CORP 067901108 14 378 SH SOLE 1 378 0 0

4

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
BAXTER INTL INC 071813109 106 1868 SH SOLE 1 1868 0 0
BERKSHIRE HATHAWAY "A" 084670108 101 1 SH SOLE 1 1 0 0
BERKSHIRE HATHAWAY INC DEL CL B 084670207 3 1 SH SOLE 1 1 0 0
 COMMON
BEST BUY INC STOCK 086516101 14 385 SH SOLE 1 385 0 0
BIOGEN IDEC INC 09062X103 5 90 SH SOLE 1 90 0 0
BLACKROCK INSD MUNI INCOME
TRUST 092479104 25 1800 SOLE 1 1800 0 0
BLACKROCK MUNIYIELD INSURED
FD 09254E103 13 1055 SOLE 1 1055 0 0
BLACKROCK MUNIYIELD MICH INSD 09254V105 22 1690 SOLE 1 1690 0 0
BOEING INC 097023105 199 3671 SH SOLE 1 2146 0 1525
BRISTOL MYERS SQUIBB CO 110122108 142 6309 SH SOLE 1 6309 0 0
BROADCOM CORP 111320107 16 528 SH SOLE 1 528 0 0
BURLINGTON NORTHERN/SANTA FE
CORP 12189T104 4 50 SH SOLE 1 50 0 0
CBS CORP NEW CL B 124857202 3 265 SH SOLE 1 265 0 0
C H ROBINSON WORLDWIDE INC 12541W209 2 31 SH SOLE 1 31 0 0
CME GROUP INC COM 12572Q105 4 12 SH SOLE 1 12 0 0
 SPONSOR
CNOOC LTD ED ADR 126132109 4 30 SH SOLE 1 30 0 0
CVS CAREMARK CORPORATION COM 126650100 17 480 SH SOLE 1 480 0 0
CADBURY PLC ADR 12721E102 36 704 SH SOLE 1 704 0 0
CADENCE FINANCIAL CORP 12738A101 2 1333 SH SOLE 1 1333 0 0
CAMPBELL SOUP CO COM 134429109 0 15 SH SOLE 1 15 0 0
CAPITAL ONE FINL CORP COM 14040H105 97 2722 SH SOLE 1 2722 0 0
CATERPILLAR INC 149123101 67 1301 SH SOLE 1 1301 0 0
CENTERPOINT ENERGY INC 15189T107 10 786 SH SOLE 1 786 0 0
CENTURYTEL, INC 156700106 140 4175 SH SOLE 1 4175 0 0
CHESAPEAKE ENERGY CORP 165167107 28 1000 SH SOLE 1 1000 0 0
CHEVRON CORPORATION 166764100 519 7376 SH SOLE 1 6376 0 1000
CHEVRON CORPORATION 166764100 155 2200 SH DEFINED 1 2200 0 0
 SPON
 ADR H
CHINA PETE & CHEM CORP SHS 16941R108 2 25 SH SOLE 1 25 0 0
CHUBB CORPORATION 171232101 4 78 SH SOLE 1 78 0 0

5

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
CISCO SYS INC 17275R102 151 6413 SH SOLE 1 6263 0 150
CITIGROUP, INC 172967101 11 2241 SH SOLE 1 2241 0 0
CITIGROUP, INC 172967101 32 6632 SH DEFINED 1 6632 0 0
CITIZENS RECUBLIC BANCORP INC COM 174420109 1 1427 SH SOLE 1 1427 0 0
CITIZENS HOLDING COMPANY 174715102 4205 158987 SH SOLE 1 158987 0 0
CITRIX SYSTEMS INC 177376100 18 450 SH SOLE 1 450 0 0
COCA COLA CO 191216100 379 7060 SH SOLE 1 5160 0 1900
COCA COLA CO 191216100 263 4900 SH DEFINED 1 4900 0 0
COCA COLA ENTERPRISES INC COM 191219104 49 2300 SH SOLE 1 2300 0 0
COLGATE-PALMOLIVE CO 194162103 220 2881 SH SOLE 1 2881 0 0
 COM SH
COLONIAL PPTYS TR BEN INT 195872106 5 500 SH SOLE 1 500 0 0
 NEW CL
COMCAST CORP A COM 20030N101 12 701 SH SOLE 1 701 0 0
 NEW CL
COMCAST CORP A COM 20030N101 10 601 SH DEFINED 1 0 601 0
CONCURRENT COMPUTER CORP NEW 206710402 2 395 SH SOLE 1 395 0 0
CONOCO PHILLIPS 20825C104 188 4175 SH SOLE 1 4175 0 0
COOPER TIRE & RUBBER CO 216831107 106 6028 SH SOLE 1 5653 0 375
COOPER TIRE & RUBBER CO 216831107 2 100 SH DEFINED 1 100 0 0
CROWN CASTLE INTL CORP COM 228227104 1 19 SH SOLE 1 19 0 0
CROWN HLDGS INC 228368106 42 1546 SH SOLE 1 0 0 1546
DTE ENERGY CO 233331107 4 100 SH SOLE 1 100 0 0
DWS MUNICIPAL INCOME TRUST 23338M106 121 10425 SOLE 1 10425 0 0
DARDEN RESTAURANTS 237194105 13 380 SH SOLE 1 380 0 0
DEERE & CO 244199105 131 3060 SH SOLE 1 3060 0 0
DELL INC 24702R101 60 3953 SH SOLE 1 3953 0 0
DELTIC TIMBER INC 247850100 289 6324 SH SOLE 1 6324 0 0
DELTIC TIMBER INC 247850100 19029 415743 SH DEFINED 1 0 415743 0
DEVON ENERGY CORP NEW COM 25179M103 13 200 SH SOLE 1 200 0 0
DIRECTTV GROUP INC 25459L106 9 325 SH SOLE 1 325 0 0
WALT DISNEY CO 254687106 87 3184 SH SOLE 1 1884 0 1300
DISCOVER FINL SVCS COM 254709108 21 1294 SH SOLE 1 1294 0 0

6

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
DISCOVER FINL SVCS COM 254709108 2 130 SH DEFINED 1 130 0 0
DOMINION RES INC VA NEW 25746U109 42 1220 SH SOLE 1 1220 0 0
DOW CHEMICAL CO 260543103 39 1515 SH SOLE 1 515 0 1000
DR PEPPER SNAPPLE GROUP INC COM 26138E109 15 528 SH SOLE 1 528 0 0
DREYFUS STRATEGIC MUNICIPALS
INC 261932107 127 16000 SH SOLE 1 16000 0 0
DU PONT EI D NEMOURS & CO 263534109 76 2350 SH SOLE 1 850 0 1500
DUFF & PHELPS UTIL & CORP
BOND FD 26432K108 22 1720 SH SOLE 1 1720 0 0
DUKE ENERGY CORP COM 26441C105 49 3083 SH SOLE 1 3083 0 0
EMC CORP 268648102 36 2089 SH SOLE 1 2089 0 0
EMC CORP 268648102 2 100 SH DEFINED 1 100 0 0
EASTGROUP PROPERTIES INC 277276101 2 60 SH SOLE 1 60 0 0
EASTMAN CHEMICAL CO 277432100 1 12 SH SOLE 1 12 0 0
EATON CORP COM 278058102 16 280 SH SOLE 1 280 0 0
EATON VANCE INSURED
MUNICIPAL BOND FUND II 27827K109 10 768 SOLE 1 0 0 768
EATON VANCE TAX MANAGED GLOB 27829C105 14 1000 SH SOLE 1 1000 0 0
EDISON INTL COM 281020107 3 100 SH SOLE 1 100 0 0
EDWARDS LIFESCIENCES CORP 28176E108 17 240 SH SOLE 1 240 0 0
EL PASO CORPORATION 28336L109 2 166 SH SOLE 1 166 0 0
ELECTRONIC ARTS INC 285512109 3 161 SH SOLE 1 161 0 0
EMERSON ELECTRIC CO 291011104 90 2250 SH SOLE 1 2250 0 0
ENCORE WIRE CORP COM 292562105 468 20961 SH SOLE 1 7711 0 13250
ENERPLUS RESOURCE FD 29274D604 11 475 SH SOLE 1 475 0 0
ENTEGRIS INC 29362U104 0 8 SH SOLE 1 8 0 0
ENTERGY CORP 29364G103 243 3042 SH SOLE 1 1667 0 1375
ENTERGY CORP 29364G103 59 734 SH DEFINED 1 734 0 0
EQUITY RESIDENTIAL PPTYS SBI 29476L107 1 34 SH SOLE 1 34 0 0
EXELON CORP 30161N101 23 469 SH SOLE 1 469 0 0
EXPEDIA INC DEL 30212P105 5 220 SH SOLE 1 220 0 0
EXPRESS SCRIPTS INC 302182100 8 100 SH SOLE 1 100 0 0

7

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
EXTERRAN PARTNERS, L.P. 30225N105 4 200 SH SOLE 1 0 0 200
EXXON MOBIL CORP 30231G102 4090 59618 SH SOLE 1 55473 0 4145
EXXON MOBIL CORP 30231G102 1260 18370 SH DEFINED 1 9770 8600 0
FEI CO 30241L109 2 80 SH SOLE 1 80 0 0
FPL GROUP INC 302571104 33 600 SH SOLE 1 600 0 0
FAIRPOINT COMMUNICATIONS INC COM 305560104 0 98 SH SOLE 1 80 0 18
FAIRPOINT COMMUNICATIONS INC COM 305560104 0 39 SH DEFINED 1 24 15 0
FASTENAL CO 311900104 6 150 SH SOLE 1 150 0 0
FEDEX CORPORATION 31428X106 1 9 SH SOLE 1 9 0 0
FERRELLGAS PARTNERS L P 315293100 14 700 SH SOLE 1 700 0 0
FIDELITY NATIONAL
INFORMATION SVCS COM 31620M106 1 23 SH SOLE 1 23 0 0
FIDELITY NATIONAL FINANCIAL
INC 31620R105 3 175 SH SOLE 1 175 0 0
FIRST HORIZON NATIONAL 320517105 3 228 SH SOLE 1 228 0 0
FIRST M & F CORP 320744105 12 4492 SH SOLE 1 4492 0 0
FIRST ENERGY CORP COMMON 337932107 226 4943 SH SOLE 1 4943 0 0
FORD MOTOR COMPANY COMMON 345370860 7 971 SH SOLE 1 971 0 0
FORD MOTOR CO CAP TR II
CONVPRFD 345395206 21 700 SH SOLE 1 700 0 0
FORTUNE BRANDS INC 349631101 7 156 SH SOLE 1 156 0 0
FRANKLIN RES INC COM 354613101 3 25 SH SOLE 1 25 0 0
FREEPORT MCMORAN COPPER &
GOLD COM 35671D857 6 94 SH SOLE 1 94 0 0
FRONTIER OIL CORP 35914P105 1 100 SH SOLE 1 100 0 0
GAP INC DEL COM 364760108 2 76 SH SOLE 1 76 0 0
GAYLORD ENTMT CO NEW COM 367905106 1 27 SH SOLE 1 27 0 0
GENERAL ELECTRIC CO 369604103 467 28469 SH SOLE 1 26869 0 1600
GENERAL MLS INC COM 370334104 1 22 SH SOLE 1 22 0 0
GENWORTH FINL INC 37247D106 9 742 SH SOLE 1 742 0 0
GOLDMAN SACHS GROUP 38141G104 18 100 SH SOLE 1 100 0 0
B F GOODRICH 382388106 3 50 SH SOLE 1 50 0 0
GOODYEAR TIRE & RUBBER 382550101 17 1000 SH SOLE 1 1000 0 0
GOOGLE INC 38259P508 1 2 SH SOLE 1 2 0 0

8

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
GREAT PLAINS ENERGY INC 391164100 0 13 SH SOLE 1 13 0 0
GREENE BANKSHARES 394361208 3 649 SH SOLE 1 649 0 0
HCP INC COM 40414L109 53 1850 SH SOLE 1 1850 0 0
HALLIBURTON CO COM 406216101 18 675 SH SOLE 1 675 0 0
JOHN HANCOCK BK & THRIFT 409735206 6 425 SH SOLE 1 425 0 0
JOHN HANCOCK PFD INC II 41013X106 7 400 SH SOLE 1 400 0 0
JOHN HANCOCK PREFERRED
INCOME FUND III 41021P103 2 130 SH SOLE 1 130 0 0
HEINZ H J CO COM 423074103 26 643 SH SOLE 1 643 0 0
HELIOS HIGH INCOME FUND INC 42327X204 1 201 SH SOLE 1 201 0 0
HESS CORP 42809H107 11 215 SH SOLE 1 215 0 0
HEWLETT PACKARD CO 428236103 209 4437 SH SOLE 1 3237 0 1200
HOME DEPOT 437076102 124 4666 SH SOLE 1 3466 0 1200
HOME DEPOT 437076102 17 626 SH DEFINED 1 626 0 0
HOSPIRA, INC 441060100 18 400 SH DEFINED 1 0 400 0
HOST HOTELS & RESORTS INC COM 44107P104 4 306 SH SOLE 1 306 0 0
HUBBELL INC CL B 443510201 21 500 SH SOLE 1 0 0 500
HUNTINGTON BANCSHARE INC 446150104 0 23 SH SOLE 1 23 0 0
ITT INDUSTRIES 450911102 2 40 SH SOLE 1 40 0 0
IDACORP INC COM 451107106 3 100 SH SOLE 1 100 0 0
INTEL CORP CAP 458140100 242 12390 SH SOLE 1 8790 0 3600
INTEL CORP CAP 458140100 31 1600 SH DEFINED 1 1600 0 0
IBM CORP 459200101 739 6182 SH SOLE 1 3594 0 2588
IBM CORP 459200101 36 300 SH DEFINED 1 300 0 0
INTL PAPER CO 460146103 9 400 SH SOLE 1 400 0 0
INTL PAPER CO 460146103 20 900 SH DEFINED 1 0 900 0
INTUIT 461202103 1 24 SH SOLE 1 24 0 0
INVESTMENT GRADE MUNICIPAL
INCOME FUND 461368102 130 9055 SOLE 1 9055 0 0
ISHARES MSCI EMERGING MK T INDX 464287234 8 200 SH SOLE 1 200 0 0
ISHARES MSCI EAFE INDEX FUND 464287465 43 781 SH SOLE 1 781 0 0
ISHARES TRUST RUSSELL 2000
INDEX 464287655 21 355 SH SOLE 1 355 0 0

9

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
ISHARES TR DOW JONES REAL
ESTATE INDEX FUND 464287739 22 520 SH SOLE 1 520 0 0
ISHARES S&P SMALL CAP 600
INDEX FUND 464287804 80 1531 SH SOLE 1 1531 0 0
JPMORGAN CHASE & CO COM 46625H100 286 6532 SH SOLE 1 5132 0 1400
JPMORGAN CHASE & CO COM 46625H100 86 1956 SH DEFINED 1 0 1956 0
JOHNSON & JOHNSON 478160104 1242 20408 SH SOLE 1 19208 0 1200
JOHNSON & JOHNSON 478160104 365 6000 SH DEFINED 1 4800 1200 0
JOHNSON CONTROLS INC 478366107 42 1650 SH SOLE 1 1650 0 0
JUNIPER NETWORKS 48203R104 18 670 SH SOLE 1 670 0 0
KELLOGG CO 487836108 18 375 SH SOLE 1 375 0 0
KIMBERLY-CLARK CORP 494368103 18 312 SH SOLE 1 312 0 0
KINDER MORGAN ENERGY
PARTNERS, L.P 494550106 22 400 SH SOLE 1 400 0 0
KRAFT FOODS 50075N104 129 4917 SH SOLE 1 4117 0 800
KROGER CO 501044101 2 75 SH SOLE 1 75 0 0
LSI CORPORATION COM 502161102 0 10 SH SOLE 1 10 0 0
LAS VEGAS SANDS CORP 517834107 0 11 SH SOLE 1 11 0 0
LENDER PROCESSING SERVICES COM 52602E102 0 11 SH SOLE 1 11 0 0
LEVEL 3 COMMUNICATIONS INC 52729N100 6 4685 SH SOLE 1 4685 0 0
LIBERTY ALL STAR EQUITY FD 530158104 20 4613 SH SOLE 1 4613 0 0
ELI LILLY & CO 532457108 12 350 SH SOLE 1 350 0 0
ELI LILLY & CO 532457108 36 1100 SH DEFINED 1 1100 0 0
LIMITED BRANDS, INC 532716107 1 81 SH SOLE 1 81 0 0
LOCKHEED MARTIN CORP 539830109 63 811 SH SOLE 1 811 0 0
LOWES CO INC 548661107 210 10024 SH SOLE 1 10024 0 0
MFA FINANCIAL INC COM 55272X102 1 119 SH SOLE 1 119 0 0
MACYS INC 55616P104 1 80 SH SOLE 1 80 0 0
MANULIFE FINANCIAL CORP 56501R106 435 20800 SH SOLE 1 20800 0 0
MARATHON OIL CORP 565849106 2 76 SH SOLE 1 76 0 0
MASCO CORPORATION 574599106 1 75 SH SOLE 1 75 0 0
MCDONALD'S CORP 580135101 74 1300 SH SOLE 1 200 0 1100
MCKESSON CORP 58155Q103 4 59 SH SOLE 1 59 0 0

10

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
MEADWESTVACO CORP 583334107 34 1547 SH SOLE 1 1547 0 0
MEDCO HEALTH SOLUTIONS INC 58405U102 4 64 SH SOLE 1 64 0 0
MEDICAL ACTION INDUSTRIES INC 58449L100 1 75 SH SOLE 1 75 0 0
MERCK & CO INC 589331107 81 2556 SH SOLE 1 1356 0 1200
METLIFE INC COM 59156R108 2 53 SH SOLE 1 53 0 0
MICROSOFT CORP 594918104 231 8976 SH SOLE 1 7376 0 1600
MILLIPORE CORP 601073109 1 10 SH SOLE 1 10 0 0
MIRANT CORPNEW COM 60467R100 0 27 SH SOLE 1 27 0 0
 NEW WT
MIRANT CORP SER A 60467R118 0 88 SH SOLE 1 88 0 0
MONSANTO CO. (NEW) 61166W101 21 274 SH SOLE 1 274 0 0
MORGAN STANLEY DEAN WITTER
DISCOVER & CO 617446448 58 1869 SH SOLE 1 1869 0 0
MORGAN STANLEY DEAN WITTER
DISCOVER & CO 617446448 8 260 SH DEFINED 1 260 0 0
MOTOROLA INC 620076109 3 300 SH DEFINED 1 300 0 0
MURPHY OIL CORP COM 626717102 8105 140806 SH SOLE 1 134806 0 6000
MURPHY OIL CORP COM 626717102 432263 7509784 SH DEFINED 1 0 7509784 0
MYLAN INC COM 628530107 24 1500 SH SOLE 1 1500 0 0
NASDAQ OMX GROUP INC COM 631103108 1 70 SH SOLE 1 70 0 0
NATIONAL OILWELL VARCO INC 637071101 2 35 SH SOLE 1 35 0 0
NEWS CORP 65248E104 1 72 SH SOLE 1 72 0 0
NICHOLAS-APPLEGATE CONV &
INCOME FD II 65370G109 0 3 SH SOLE 1 3 0 0
NIKE INC CLASS B 654106103 6 100 SH SOLE 1 100 0 0
NISOURCE INC 65473P105 3 200 SH SOLE 1 200 0 0
NOKIA CORP SPND ADR 654902204 7 500 SH SOLE 1 500 0 0
NOBLE ENERGY INC 655044105 65 990 SH SOLE 1 990 0 0
NORFOLK SO CORP 655844108 77 1781 SH SOLE 1 1781 0 0
NORTHERN TRUST COMPANY NTRS 665859104 74 1280 SH SOLE 1 1280 0 0
NORTHERN TRUST COMPANY NTRS 665859104 128 2200 SH DEFINED 1 2200 0 0
NORTHRUP GRUMMAN 666807102 13 254 SH SOLE 1 254 0 0

11

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
 SPONSOR
NOVARTIS AG ED ADR 66987V109 4 82 SH SOLE 1 82 0 0
NOVELLUS SYSTEMS 670008101 2 100 SH SOLE 1 100 0 0
NUCOR CORP 670346105 2 50 SH SOLE 1 50 0 0
NUSTAR ENERGY LP COMUNIT 67058H102 6 122 SH SOLE 1 122 0 0
NUVEEN INSD PREMIUM INCOME
MUNI FD 6706D8104 78 6274 SH SOLE 1 6274 0 0
NUVEEN PERFORMANCE PLUS
MUNICIPAL FD 67062P108 131 9285 SH SOLE 1 9285 0 0
NUVEEN DIVID ADVANTAGE MUN FD 67066V101 14 1000 DEFINED 1 1000 0 0
NUVEEN MUN VALUE FD INC 670928100 319 32043 SOLE 1 32043 0 0
NUVEEN QUALITY INCOME MUNI 670977107 139 10000 SH SOLE 1 10000 0 0
NUVEEN MICH QUALITY INCOME
MUNI FD 670979103 44 3436 SOLE 1 3436 0 0
NUVEEN INSURED MUNICIPAL
OPPORTUNITY FUND INC 670984103 49 3534 SOLE 1 3534 0 0
OCCIDENTAL PETE COR DEL 674599105 48 612 SH SOLE 1 612 0 0
ORACLE SYSTEMS CORP 68389X105 25 1213 SH SOLE 1 1213 0 0
PG&E CORP 69331C108 13 318 SH SOLE 1 318 0 0
PNC BANK CORP 693475105 0 1 SH SOLE 1 1 0 0
PACTIV COPR 695257105 23 897 SH SOLE 1 897 0 0
PENN WEST ENERGY TRUST 707885109 8 534 SH SOLE 1 534 0 0
PEPSI BOTTLING GROUP INC 713409100 1 33 SH SOLE 1 33 0 0
PEPSIAMERICAS INC 71343P200 114 4000 SH SOLE 1 4000 0 0
PEPSICO INC COM 713448108 602 10259 SH SOLE 1 10259 0 0
PEPSICO INC COM 713448108 65 1100 SH DEFINED 1 0 1100 0
PETROCHINA CO LTD 71646E100 2 20 SH SOLE 1 20 0 0
PFIZER INC 717081103 294 17799 SH SOLE 1 16599 0 1200
PFIZER INC 717081103 12 700 SH DEFINED 1 0 700 0
PHILLIP MORRIS INTL INC COM 718172109 273 5595 SH SOLE 1 5595 0 0
PIMCO MUNI INCOME FUND III 72201A103 15 1333 SOLE 1 1333 0 0
PITNEY BOWES INC COM 724479100 0 13 SH SOLE 1 13 0 0
POWERSHARES ETF GLOBAL WATER
PORTFOLIO 73935X575 4 250 SH SOLE 1 250 0 0

12

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
PRAXAIR INC COM 74005P104 33 410 SH SOLE 1 410 0 0
T ROWE PRICE & ASSOC 74144T108 9 200 SH SOLE 1 200 0 0
PRINCIPAL FINANCIAL GROUP 74251V102 35 1283 SH SOLE 1 1283 0 0
PROCTER & GAMBLE CO COM 742718109 954 16464 SH SOLE 1 15267 0 1197
PROCTER & GAMBLE CO COM 742718109 348 6000 SH DEFINED 1 6000 0 0
PROGRESS ENERGY INC COM 743263105 71 1825 SH SOLE 1 1825 0 0
PROLOGIS SH BEN INT COM 743410102 0 12 SH SOLE 1 12 0 0
PRUDENTIAL FINANCIAL 744320102 21 422 SH SOLE 1 422 0 0
PUBLIC SVC ENTERPRISE GROUP
INC 744573106 21 660 SH SOLE 1 660 0 0
PUBLIC STORAGE, INC REIT 74460D109 34 450 SH SOLE 1 450 0 0
 INCOME
PUTNAM MANAGED MUNICIPAL TRUST 746823103 13 1862 SOLE 1 1862 0 0
QUALCOMM INC 747525103 32 710 SH SOLE 1 710 0 0
QUANTUM FUEL SYS TECHNOLOGIES COM 74765E109 0 142 SH SOLE 1 142 0 0
RRI ENERGY INC 74971X107 6 873 SH SOLE 1 873 0 0
RAYTHEON CO NEW 755111507 21 438 SH SOLE 1 438 0 0
REGIONS FINANCIAL CORP NEW 7591EP100 293 47210 SH SOLE 1 47210 0 0
REGIONS FINANCIAL CORP NEW 7591EP100 14 2205 SH DEFINED 1 0 2205 0
RENASANT CORP COM 75970E107 122 8224 SH SOLE 1 8224 0 0
RITE-AID INC 767754104 0 7 SH SOLE 1 7 0 0
ROBERT HALF INTL INC 770323103 15 580 SH SOLE 1 580 0 0
 ADR
 PREF
 SHS SER
ROYAL BK SCOTLAND GROUP Q 780097754 13 1200 SH SOLE 1 1200 0 0
 SPON
ROYAL DUTCH SHELL PLC ADR B 780259107 31 550 SH SOLE 1 550 0 0
 SPON
ROYAL DUTCH SHELL PLC ADR B 780259107 86 1551 SH DEFINED 1 1551 0 0
ROYAL DUTCH SHELL PLC 780259206 86 1500 SH SOLE 1 1500 0 0
ROYAL DUTCH SHELL PLC 780259206 183 3200 SH DEFINED 1 3200 0 0
STANDARD & POORS DEP RECEIPTS 78462F103 59 563 SH SOLE 1 150 0 413
SATYAM COMPUTER SVCS LTD ADR 804098101 1 80 SH SOLE 1 80 0 0
SCANA CORP NEW 80589M102 4 115 SH SOLE 1 115 0 0

13

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
SCHERING PLOUGH CORP COM 806605101 311 11025 SH SOLE 1 11025 0 0
SCHLUMBERGER LTD COM 806857108 96 1619 SH SOLE 1 1619 0 0
SEMPRA ENERGY COM 816851109 15 300 SH SOLE 1 300 0 0
SERVICE CORP INTL W/RIGHTS COMMON
TO PURC STOCK 817565104 1 107 SH SOLE 1 107 0 0
SIGMA ALDRICH CORP 826552101 16 300 SH SOLE 1 300 0 0
 CL A $1
SIMMONS 1ST NATL CORP PAR 828730200 290 10066 SH SOLE 1 10066 0 0
 CL A $1
SIMMONS 1ST NATL CORP PAR 828730200 14 500 SH DEFINED 1 500 0 0
SIMON PROPERTY GROUP INC 828806109 2 31 SH SOLE 1 31 0 0
SINOPEC SHANGHAI
PETROCHEMICAL CO LTD ADR 82935M109 1 25 SH SOLE 1 25 0 0
SIRIUS XM RADIO INC 82967N108 4 5800 SH SOLE 1 5800 0 0
SMUCKER J M CO 832696405 1 13 SH SOLE 1 13 0 0
SOUTHERN CO COM 842587107 191 6021 SH SOLE 1 6021 0 0
SOUTHERN CO COM 842587107 111 3521 SH DEFINED 1 3521 0 0
SPECTRA ENERGY 847560109 18 961 SH SOLE 1 961 0 0
SPRINT NEXTEL CORP COMSER 1 852061100 198 50000 SH SOLE 1 50000 0 0
STARBUCKS CORP 855244109 2 81 SH SOLE 1 81 0 0
STARWOOD HOTELS & RESORTS
WORLDWIDE INC COM 85590A401 19 587 SH SOLE 1 587 0 0
STONE ENERGY CORP 861642106 8 500 SH SOLE 1 500 0 0
STRYKER CORP 863667101 25 550 SH SOLE 1 550 0 0
SUN MICROSYSTEMS INC COM 866810203 5 500 SH SOLE 1 500 0 0
SUNCOR ENERGY INC NEW 867224107 36 1034 SH SOLE 1 1034 0 0
SUNTRUST BANKS INC COM 867914103 30 1343 SH SOLE 1 1343 0 0
SYSCO CORP 871829107 21 863 SH SOLE 1 863 0 0
TARGET CORP 87612E106 84 1796 SH SOLE 1 1796 0 0
 CV
 SPONS
TELEFONOS DE MEXICO SA DE ADR 879403780 5 314 SH SOLE 1 314 0 0
TELMEX INTERNATIONAL SAB DE CV L ADR 879690105 4 314 SH SOLE 1 314 0 0
TEVA PHARMACEUTICAL IND ADR'S 881624209 24 470 SH SOLE 1 470 0 0
TEXAS INSTRUMENTS 882508104 18 781 SH SOLE 1 781 0 0
THERMO FISHER SCIENTIFIC INC 883556102 16 375 SH SOLE 1 375 0 0

14

 ** VOTING AUTHORITY **
 ----------------------
 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
3M CO 88579Y101 286 3879 SH SOLE 1 1679 0 2200
TIFFANY & CO NEW 886547108 41 1064 SH SOLE 1 1064 0 0
TIME WARNER INC COM NEW 887317303 12 404 SH SOLE 1 404 0 0
TIME WARNER CABLE, INC 88732J207 6 141 SH SOLE 1 141 0 0
TORONTO-DOMINION BANK ADR 891160509 6 94 SH SOLE 1 94 0 0
TRAVELERS COMPANIES INC COM 89417E109 15 310 SH SOLE 1 310 0 0
TRI-CONTINENTAL CORPORATION 895436103 39 3550 SH SOLE 1 3550 0 0
TRUSTMARK CORP COM 898402102 457 23997 SH SOLE 1 23997 0 0
TYSON FOODS INC CL A 902494103 25 2000 SH SOLE 1 2000 0 0
USA TRUCK INC COM 902925106 230 18113 SH SOLE 1 18113 0 0
US BANCORP DEL NEW 902973304 11 522 SH SOLE 1 522 0 0
 SPONS
 ADR NEW
UNILEVER PLC COM 904767704 3 120 SH SOLE 1 120 0 0
UNION PACIFIC CORP 907818108 23 400 SH SOLE 1 400 0 0
UNION PACIFIC CORP 907818108 257 4400 SH DEFINED 1 0 4400 0
UNITED PARCEL SERVICE - CLB 911312106 6 110 SH SOLE 1 110 0 0
UNITED TECHNOLOGIES CORP 913017109 89 1465 SH SOLE 1 365 0 1100
UNITEDHEALTH GROUP 91324P102 9 349 SH SOLE 1 349 0 0
VAALCO ENERGY INC COM 91851C201 11 2365 SH SOLE 1 2365 0 0
VALERO ENERGY 91913Y100 7 375 SH SOLE 1 375 0 0
 (LARGE
 CAP 300
VANGUARD MEGA CAP 300 ETF INDEX) 921910873 1484 40608 SH SOLE 1 40608 0 0
VANGUARD SHORT TERM BOND ETF 921937827 21 264 SH SOLE 1 264 0 0
VANGUARD TOTAL BOND MARKET
ETF 921937835 165 2076 SH SOLE 1 2076 0 0
VANGUARD EUROPE PACIFIC ETF 921943858 415 12099 SH SOLE 1 12099 0 0
VANGUARD FTSE INT'L EQUITY 922042775 13 302 SH SOLE 1 302 0 0
VANGUARD MID CAP ETF 922908629 814 14312 SH SOLE 1 14312 0 0
VANGUARD LARGE CAP ETF 922908637 147 3063 SH SOLE 1 3063 0 0
VANGUARD SMALL CAP ETF 922908751 585 10539 SH SOLE 1 10539 0 0
VERIZON COMMUNICATIONS 92343V104 299 9863 SH SOLE 1 7664 0 2199
VERIZON COMMUNICATIONS 92343V104 65 2142 SH DEFINED 1 1344 798 0

15

 ** VOTING AUTHORITY **
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 MKT NAME TITLE
 TITLE VAL SH/ PUT/ INVESTMENT OTHER OF OF
NAME OF ISSUER OF CLASS CUSIP x 1000 QTY PRN CALL DESCRETION MANAGERS SOLE ISSUER CLASS
-------------- -------- --------- ------ ------- --- ---- ---------- -------- ------- ------- ------
VIAD CORPORATION 92552R406 2 87 SH SOLE 1 87 0 0
VIACOM INC NEW CL B 92553P201 6 216 SH SOLE 1 216 0 0
 SPONS
VODAFONE GROUP PLC NEW ADR NEW 92857W209 31 1386 SH SOLE 1 1386 0 0
 SPONS
VODAFONE GROUP PLC NEW ADR NEW 92857W209 11 494 SH DEFINED 1 0 494 0
WAL MART STORES INC COM 931142103 1379 28090 SH SOLE 1 25590 0 2500
WAL MART STORES INC COM 931142103 43 886 SH DEFINED 1 886 0 0
WALGREEN CO COM 931422109 76 2040 SH SOLE 1 2040 0 0
WASHINGTON REAL ESTATE SH
BEN INT REITS 939653101 56 1950 SH SOLE 1 1950 0 0
WASTE MANAGEMENT INC NEW 94106L109 4 130 SH SOLE 1 130 0 0
WELLS FARGO & CO. NEW 949746101 56 1994 SH SOLE 1 1994 0 0
WESTAR ENERGY INC 95709T100 14 700 SH SOLE 1 700 0 0
WILLIAMS COMPANY COMMON 969457100 2 123 SH SOLE 1 123 0 0
WISDOM TREE TR DIV TOP 100 FD 97717W406 286 7565 SH SOLE 1 7565 0 0
WYETH 983024100 80 1649 SH SOLE 1 1649 0 0
XT0 ENERGY INC 98385X106 13 310 SH SOLE 1 310 0 0
XCEL ENERGY INC 98389B100 9 477 SH SOLE 1 477 0 0
YUM BRANDS INC 988498101 426 12614 SH SOLE 1 12614 0 0
ZIMMER HLDGS INC 98956P102 7 140 SH SOLE 1 140 0 0
GRAND TOTALS 531203 10628935 2472036 7962316 194583

16
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