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, 2010

Check here if Amendment [ ]; Amendment Number: ___

This Amendment (Check only one):   [ ] is a restatement

                                   [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:                   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   January 6, 2011
-------------------------------------   ------------------   ---------------
         [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:      226

Form 13F Information Table Value Total: $826,169
                                         (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



                                                                            INVESTMENT DISCRETION    ** VOTING AUTHORITY **
                                                                            --------------------- ---------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE  SHR   OTH   OTH    SOLE     SHARED    NONE
NAME OF ISSUER                OF CLASS   CUSIP    x 1000  PRN Amt  PRN CALL  (A)  (B)   (C)   MGR    (A)       (B)      (C)
--------------               --------- --------- ------- --------- --- ---- ---- ----- ----- ---- --------- --------- -------
                                                                               
MARVELL TECHNOLOGY GROUP     ORD
LTD                                    G5876H105     220    13,957 SH          X                1    13,957         0       0
WILLIS GROUP HOLDINGS        SHS
PUBLIC                                 G96666105     265     8,830 SH          X                1     8,400         0     430
ACE LTD                      SHS       H0023R105     256     4,965 SH          X                1     4,341         0     624
AERCAP HOLDINGS NV           SHS       N00985106     114    10,941 SH          X                1    10,941         0       0
FLEXTRONICS INTL LTD         ORD       Y2573F102     296    52,932 SH          X                1    50,229         0   2,703
AGL RES INC                  COM       001204106     238     6,632 SH          X                1     6,632         0       0
AT&T INC                     COM       00206R102     761    31,456 SH          X                1    28,050         0   3,406
AT&T INC                     COM       00206R102     131     5,420 SH                      X    1       288     5,132       0
ABBOTT LABS                  COM       002824100     701    14,988 SH          X                1    13,534         0   1,454
ABBOTT LABS                  COM       002824100     189     4,036 SH                      X    1        36     4,000       0
AIR PRODS & CHEMS INC        COM       009158106     649    10,019 SH          X                1    10,019         0       0
ALLSCRIPT MISYS HEALTCAR SOL COM       01988P108     190    11,783 SH          X                1    11,783         0       0
ALTRIA GROUP INC             COM       02209S103     618    30,845 SH          X                1    27,083         0   3,762
ALTRIA GROUP INC             COM       02209S103       4       210 SH                      X    1       210         0       0
AMERICAN EXPRESS CO          COM       025816109     540    13,594 SH          X                1    13,594         0       0
AMGEN INC                    COM       031162100     416     7,918 SH          X                1     7,918         0       0
AMPHENOL CORP                NEW CL A  032095101     223     5,669 SH          X                1     5,342         0     327
APACHE CORP                  COM       037411105     227     2,692 SH          X                1     2,497         0     195
APPLE INC                    COM       037833100   1,469     5,841 SH          X                1     5,628         0     213
APPLIED MATLS INC            COM       038222105     253    21,009 SH          X                1    19,571         0   1,438
ARCHER DANIELS MIDLAND CO    COM       039483102     336    13,006 SH          X                1    12,353         0     653
ATMEL CORP                   COM       049513104     102    21,350 SH          X                1    21,350         0       0
AUTODESK INC                 COM       052769106     252    10,359 SH          X                1    10,359         0       0
BP PLC                       SPONSORED
                             ADR       055622104     185     6,391 SH          X                1     6,228         0     163
BP PLC                       SPONSORED
                             ADR       055622104      81     2,800 SH                      X    1     2,800         0       0
BAKER HUGHES INC             COM       057224107     391     9,398 SH          X                1     9,398         0       0
BALDOR ELEC CO               COM       057741100   5,778   160,146 SH          X                1   160,146         0       0
BANCORPSOUTH INC             COM       059692103  19,329 1,081,065 SH          X                1   959,131         0 121,934
BANCORPSOUTH INC             COM       059692103     200    11,192 SH                      X    1     8,600     2,592       0
BANK OF AMERICA CORPORATION  COM       060505104     563    39,211 SH          X                1    39,211         0       0
BANK OF THE OZARKS INC       COM       063904106   2,130    60,051 SH          X                1    60,051         0       0
BAXTER INTL INC              COM       071813109     405     9,956 SH          X                1     9,121         0     835
BERKSHIRE HATHAWAY INC       DEL CL
                             B NEW     084670702     834    10,471 SH          X                1    10,471         0       0
BEST BUY INC                 COM       086516101     255     7,543 SH          X                1     6,879         0     664
BOEING CO                    COM       097023105     293     4,670 SH          X                1     4,220         0     450
BRISTOL MYERS SQUIBB CO      COM       110122108     314    12,600 SH          X                1     8,906         0   3,694
BRISTOL MYERS SQUIBB CO      COM       110122108       8       334 SH                      X    1       334         0       0
BROADCOM CORP                CL A      111320107     747    22,654 SH          X                1    22,654         0       0
CVS CAREMARK CORPORATION     COM       126650100     218     7,442 SH          X                1     6,921         0     521



                                       3




                                                                            INVESTMENT DISCRETION    ** VOTING AUTHORITY **
                                                                            --------------------- ---------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE  SHR   OTH   OTH    SOLE     SHARED    NONE
NAME OF ISSUER                OF CLASS   CUSIP    x 1000  PRN Amt  PRN CALL  (A)  (B)   (C)   MGR    (A)       (B)      (C)
--------------               --------- --------- ------- --------- --- ---- ---- ----- ----- ---- --------- --------- -------
                                                                               
CABE/LONG PROPERTIES LIMITED           136002995     479     4,418 SH          X                1     4,418         0       0
CABE/LONG PROPERTIES LIMITED           136002995   3,953    36,457 SH                      X    1    36,457         0       0
CABE/ARK LIMITED PARTNERSHIP           136003993   5,046    38,082 SH          X                1    38,082         0       0
CATERPILLAR INC              DEL COM   149123101     327     5,450 SH          X                1     5,450         0       0
CELESTICA INC                SUB VTG
                             SHS       15101Q108     120    14,876 SH          X                1    14,876         0       0
CELGENE CORP                 COM       151020104     372     7,327 SH          X                1     6,924         0     403
CENTURYLINK INC              COM       156700106     218     6,552 SH          X                1     5,455         0   1,097
CENTURYLINK INC              COM       156700106       5       142 SH                      X    1       142         0       0
CHEVRON CORP                 NEW COM   166764100   1,711    25,218 SH          X                1    23,948         0   1,270
CHEVRON CORP                 NEW COM   166764100     545     8,026 SH                      X    1     8,026         0       0
CISCO SYS INC                COM       17275R102     696    32,640 SH          X                1    30,848         0   1,792
CITIGROUP INC                COM       172967101      50    13,337 SH          X                1    13,337         0       0
CITIZENS HLDG CO MISS        COM       174715102   2,750   158,987 SH          X                1   158,987         0       0
CLIFFS NATURAL RESOURCES INC COM       18683K101     567    12,020 SH          X                1    12,020         0       0
COCA COLA CO                 COM       191216100     511    10,203 SH          X                1     9,450         0     753
COCA COLA CO                 COM       191216100     245     4,898 SH                      X    1     4,898         0       0
COGNIZANT TECHNOLOGY SOLUTIO CL A      192446102     204     4,072 SH          X                1     3,508         0     564
COLGATE PALMOLIVE CO         COM       194162103     227     2,881 SH          X                1     2,881         0       0
CONCUR TECHNOLOGIES INC      COM       206708109     237     5,555 SH          X                1     5,555         0       0
CONOCOPHILLIPS               COM       20825C104     416     8,476 SH          X                1     7,189         0   1,287
CONOCOPHILLIPS               COM       20825C104       5        96 SH                      X    1        96         0       0
MONTGOMERY EXPLORATION 10.87           216000992     227         1 SH          X                1         1         0       0
CORNING INC                  COM       219350105     496    30,703 SH          X                1    29,711         0     992
DWS VALUE SER INC            SMCP
                             VALF
                             INST      23338F754  13,860   458,032 SH          X                1   457,832       140      60
DWS VALUE SER INC            SMCP
                             VALF
                             INST      23338F754      68     2,232 SH                      X    1     1,817       384      31
DANAHER CORP                 DEL COM   235851102     203     5,482 SH          X                1     4,704         0     778
DEERE & CO                   COM       244199105     767    13,780 SH          X                1    13,780         0       0
DELTIC TIMBER CORP           COM       247850100     264     6,324 SH          X                1     6,324         0       0
DELTIC TIMBER CORP           COM       247850100  17,378   415,743 SH                      X    1         0   415,743       0
DODGE & COX STK FD           COM       256219106  26,265   298,767 SH          X                1   298,647        96      24
DODGE & COX STK FD           COM       256219106     123     1,400 SH                      X    1     1,131       248      21
DREYFUS APPRECIATION FD INC  COM       261970107   1,264    40,160 SH          X                1    40,160         0       0
DU PONT E I DE NEMOURS & CO  COM       263534109     230     6,650 SH          X                1     5,800         0     850
DUKE ENERGY CORP             NEW COM   26441C105     221    13,798 SH          X                1    11,019         0   2,779
DUKE ENERGY CORP             NEW COM   26441C105       6       364 SH                      X    1       364         0       0
ERHC ENERGY INC              COM       26884J104       2    10,000 SH          X                1    10,000         0       0
EMERSON ELEC CO              COM       291011104     960    21,980 SH          X                1    21,980         0       0
ENCORE WIRE CORP             COM       292562105     218    11,959 SH          X                1    11,959         0       0
EXPRESS SCRIPTS INC          COM       302182100   1,811    38,508 SH          X                1    37,904         0     604
EXXON MOBIL CORP             COM       30231G102   4,876    85,433 SH          X                1    75,177     9,981     275
EXXON MOBIL CORP             COM       30231G102     835    14,630 SH                      X    1     6,030     8,600       0



                                       4




                                                                            INVESTMENT DISCRETION    ** VOTING AUTHORITY **
                                                                            --------------------- ---------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE  SHR   OTH   OTH    SOLE     SHARED    NONE
NAME OF ISSUER                OF CLASS   CUSIP    x 1000  PRN Amt  PRN CALL  (A)  (B)   (C)   MGR    (A)       (B)      (C)
--------------               --------- --------- ------- --------- --- ---- ---- ----- ----- ---- --------- --------- -------
                                                                               
FEDERATED EQUITY FDS         INTRCONTL
                             INST      314172461  30,175   788,478 SH          X                1   788,189       239      50
FEDERATED EQUITY FDS         INTRCONTL
                             INST      314172461     127     3,307 SH                      X    1     2,693       561      53
FEDERATED TOTAL RETURN SERS  ULSHT
                             INST NEW  31428Q747     114    12,478 SH          X                1    12,478         0       0
FIDELITY ADVISOR SER VIII    DIVR
                             INTL
                             INST      315920686     178    13,642 SH          X                1    13,642         0       0
FIDELITY CONTRAFUND INC      NEW
                             INSIGHTS
                             I         316071604  28,139 1,706,405 SH          X                1 1,705,692       530     183
FIDELITY CONTRAFUND INC I    NEW
                             INSIGHTS  316071604     133     8,037 SH                      X    1     6,528     1,389     120
FIDELITY PURITAN TR          LOW
                             PRICE
                             STK       316345305  27,863   894,189 SH          X                1   893,817       277      95
FIDELITY PURITAN TR          LOW
                             PRICE
                             STK       316345305     175     5,622 SH                      X    1     4,808       752      62
GENERAL ELECTRIC CO          COM       369604103     612    42,465 SH          X                1    40,965         0   1,500
GENERAL MLS INC              COM       370334104     227     6,404 SH          X                1     6,404         0       0
GOOGLE INC                   CL A      38259P508     600     1,349 SH          X                1     1,254         0      95
RESTER ENTERPRISES LP 5% INT           404005993     208         1 SH          X                1         1         0       0
RESTER ENTERPRISES LP 8% INT           405002999     333         1 SH          X                1         1         0       0
RESTER ENTERPRISES LP 8% INT           407000991     333         1 SH          X                1         1         0       0
DAVIS FAMILY HOLDINGS LP               419002993   1,194         0 SH          X                1         0         0       0
LONESTAR PARTNERS, L.P.                420002990   2,445 2,500,000 SH                      X    1         0 2,500,000       0
HESS CORP                    COM       42809H107     217     4,313 SH          X                1     3,999         0     314
HEWLETT PACKARD CO           COM       428236103     482    11,130 SH          X                1    10,295         0     835
KEY COLONY                             430004994     626         1 SH                      X    1         0         1       0
JOHNSTON ENTERPRISES, L.P.             432004992   1,389         0 SH          X                1         0         0       0
GURDON TIMBER LTD 36.494%              434002994   2,477         1 SH          X                1         1         0       0
WOODLAND HILLS LIMITED PARTN           435001995     220        25 SH          X                1        25         0       0
SUNNYDALE LIMITED PARTNERSHI           436001994   1,558        88 SH          X                1        88         0       0
WEH PROPERTIES LIMITED PARTN           436002992     410        86 SH          X                1        86         0       0
CRICKET LIMITED PARTNERSHIP            436003990     941        28 SH          X                1        28         0       0
MCM TIMBER 3.021% INTEREST             438002990     243         1 SH          X                1         1         0       0
MCM TIMBER 3.020% INTEREST             438003998     243         1 SH          X                1         1         0       0
MCM TIMBER 1.510% INTEREST             438004996   1,598         2 SH          X                1         2         0       0
MARIE P CARTER ENTERPRISES L           439004995   1,623         1 SH          X                1         1         0       0
OAK GROVE LAND CO, L.P. 12.5           440000990     353         4 SH          X                1         4         0       0
REED HOLDINGS PARTNERSHIP, L           441002995   1,104        71 SH          X                1        71         0       0
MCM TIMBER 12% INTEREST                442000998     966         1 SH          X                1         1         0       0
DCT OPERATING PARTNERSHIP              443004999     580    75,518 SH          X                1    75,518         0       0
MCMILLON PROPERTIES L/P                445000995   2,183        96 SH          X                1        96         0       0



                                       5




                                                                             INVESTMENT DISCRETION    ** VOTING AUTHORITY **
                                                                             --------------------- ---------------------------
                               TITLE              MKT VAL  Shares/  SH/ PUT/ SOLE  SHR   OTH   OTH    SOLE     SHARED    NONE
NAME OF ISSUER                OF CLASS    CUSIP    x 1000  PRN Amt  PRN CALL  (A)  (B)   (C)   MGR    (A)       (B)      (C)
--------------               ---------- --------- ------- --------- --- ---- ---- ----- ----- ---- --------- --------- -------
                                                                                
INGRAM MICRO INC             CL A       457153104     213    14,018 SH          X                1    13,510         0     508
INTEL CORP                   COM        458140100     912    46,879 SH          X                1    43,630         0   3,249
INTEL CORP                   COM        458140100      62     3,200 SH                      X    1     3,200         0       0
INTERNATIONAL BUSINESS MACHS COM        459200101     836     6,769 SH          X                1     6,374         0     395
INVESTMENT CO AMER           COM        461308108     966    41,203 SH          X                1    41,203         0       0
ISHARES TR INDEX             RUSSELL
                             2000       464287655     402     6,577 SH          X                1     6,577         0       0
JPMORGAN CHASE & CO          COM        46625H100     302     8,242 SH          X                1     8,242         0       0
JPMORGAN CHASE & CO          COM        46625H100      72     1,956 SH                      X    1         0     1,956       0
JANUS INVT FD                ORION
                             FD CL T    471023648     160    17,287 SH          X                1         0         0  17,287
JANUS INVT FD                OVERSEAS
                             FD SHS     47103C449     211     5,148 SH          X                1         0         0   5,148
JOHNSON & JOHNSON            COM        478160104   1,292    21,876 SH          X                1    20,674         0   1,202
JOHNSON & JOHNSON            COM        478160104     337     5,700 SH                      X    1     4,500     1,200       0
JUNIPER NETWORKS INC         COM        48203R104     629    27,569 SH          X                1    27,569         0       0
K L S ENVIRO RES INC         COM        482530102       0   125,000 SH          X                1   125,000         0       0
KELLOGG CO                   COM        487836108     252     5,011 SH          X                1     4,530         0     481
KIMBERLY CLARK CORP          COM        494368103     200     3,294 SH          X                1     1,778         0   1,516
KIMBERLY CLARK CORP          COM        494368103       8       134 SH                      X    1       134         0       0
KRAFT FOODS INC              CL A       50075N104     261     9,314 SH          X                1     8,264         0   1,050
LENDER PROCESSING SVCS INC   COM        52602E102     229     7,316 SH          X                1     7,316         0       0
LONGLEAF PARTNERS FDS TR     SH BEN INT 543069108     209     8,827 SH          X                1     8,827         0       0
LORD ASSET MGMT TR           T WHITE
                             INTL       543917108     167    11,912 SH          X                1         0         0  11,912
MFS SER TR I                 VALUE
                             FD CL A    552983801     212    11,086 SH          X                1     1,707         0   9,379
MANULIFE FINL CORP           COM        56501R106     274    18,800 SH          X                1    18,800         0       0
MCDONALDS CORP               COM        580135101     485     7,364 SH          X                1     6,470         0     894
MCDONALDS CORP               COM        580135101       8       118 SH                      X    1       118         0       0
MERCK & CO INC               NEW COM    58933Y105     288     8,242 SH          X                1     8,242         0       0
MICROSOFT CORP               COM        594918104   1,394    60,581 SH          X                1    59,320         0   1,261
COLLABRX SER A PFD STOCK                601A4X997     634   446,227 SH                      X    1         0   446,227       0
MONTGOMERY EXPLORATION                  601A5Z991     295         1 SH          X                1         1         0       0
MURPHY OIL CORP              COM        626717102   4,154    83,839 SH          X                1    83,839         0       0
MURPHY OIL CORP              COM        626717102 371,775 7,503,034 SH                      X    1         0 7,503,034       0
MUTUAL SER FD INC            SHS FD
                             CL Z       628380107     310    16,903 SH                      X    1    16,903         0       0
MUTUAL SER FD INC            BEACON
                             FD Z       628380305     145    13,366 SH                      X    1    13,366         0       0
MUTUAL SER FD INC            GBL
                             DISCVR
                             FD Z       628380404  30,427 1,168,470 SH          X                1 1,167,981       342     147
MUTUAL SER FD INC            GBL
                             DISCVR
                             FD Z       628380404     135     5,193 SH                      X    1     4,199       918      76



                                       6




                                                                            INVESTMENT DISCRETION    ** VOTING AUTHORITY **
                                                                            --------------------- ---------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE  SHR   OTH   OTH    SOLE     SHARED    NONE
NAME OF ISSUER                OF CLASS   CUSIP    x 1000  PRN Amt  PRN CALL  (A)  (B)   (C)   MGR    (A)       (B)      (C)
--------------               --------- --------- ------- --------- --- ---- ---- ----- ----- ---- --------- --------- -------
                                                                               
MYLAN INC                    COM       628530107     173    10,144 SH          X                1    10,144         0       0
NESTLE S A                   SPONSORED
                             ADR       641069406     253     5,222 SH          X                1     5,222         0       0
NETAPP INC                   COM       64110D104     426    11,416 SH          X                1    10,950         0     466
NEW PERSPECTIVE FD INC       COM       648018109     584    25,124 SH          X                1    25,124         0       0
NORFOLK SOUTHERN CORP        COM       655844108     320     6,038 SH          X                1     5,691         0     347
ON SEMICONDUCTOR CORP        COM       682189105     136    21,252 SH          X                1    19,680         0   1,572
O REILLY AUTOMOTIVE INC      COM       686091109     534    11,226 SH          X                1    10,678         0     548
PDL BIOPHARMA INC            COM       69329Y104     169    30,000 SH                      X    1         0    30,000       0
PACTIV CORP                  COM       695257105     488    17,528 SH          X                1    16,569         0     959
PEPSICO INC                  COM       713448108     837    13,740 SH          X                1    13,248         0     492
PEPSICO INC                  COM       713448108      67     1,100 SH                      X    1         0     1,100       0
PFIZER INC                   COM       717081103     347    24,310 SH          X                1    24,310         0       0
PFIZER INC                   COM       717081103      20     1,420 SH                      X    1       720       700       0
PHILIP MORRIS INTL INC       COM       718172109     766    16,717 SH          X                1    14,936         0   1,781
PHILIP MORRIS INTL INC       COM       718172109       5       118 SH                      X    1       118         0       0
POTASH CORP SASK INC         COM       73755L107     421     4,880 SH          X                1     4,880         0       0
PRAXAIR INC                  COM       74005P104     208     2,739 SH          X                1     2,448         0     291
PRECISION CASTPARTS CORP     COM       740189105     269     2,617 SH          X                1     2,420         0     197
PRICE T ROWE GROUP INC       COM       74144T108     682    15,370 SH          X                1    15,370         0       0
PRICE T ROWE GROWTH STK FD
I                            COM       741479109  32,309 1,276,511 SH          X                1 1,275,799       336     376
PRICE T ROWE GROWTH STK FD I COM       741479109     248     9,800 SH                      X    1     8,411     1,308      81
PRICE T ROWE RETIREMENT FDS  2040 FD
                             ADVISR    74149P838     152    10,706 SH          X                1    10,706         0       0
PROCTER & GAMBLE CO          COM       742718109   2,081    34,693 SH          X                1    33,651         0   1,042
PROCTER & GAMBLE CO          COM       742718109     363     6,060 SH                      X    1     6,060         0       0
RALCORP HLDGS INC            NEW COM   751028101     306     5,585 SH          X                1     5,390         0     195
RAYTHEON CO                  COMNEW    755111507     591    12,203 SH          X                1    11,743         0     460
REGIONS FINANCIAL CORP       NEW COM   7591EP100     220    33,489 SH          X                1    30,640         0   2,849
REGIONS FINANCIAL CORP       NEW COM   7591EP100      15     2,205 SH                      X    1         0     2,205       0
ROWE T PRICE EQUITY INCOME   SH BEN
F                            INT       779547108  26,281 1,339,498 SH          X                1 1,338,959       429     110
ROWE T PRICE EQUITY INCOME   SH BEN
F                            INT       779547108     127     6,448 SH                      X    1     5,278     1,074      96
ROWE T PRICE MID-CAP GROWTH  COM       779556109  42,070   890,562 SH          X                1   890,163       274     125
ROWE T PRICE MID-CAP GROWTH  COM       779556109     211     4,473 SH                      X    1     3,630       781      62
ROWE T PRICE MID CAP VALUE F COM       77957Y106     256    12,930 SH          X                1     4,902         0   8,028
ROYAL DUTCH SHELL PLC        SPON
                             ADR B     780259107     122     2,523 SH          X                1     1,235         0   1,288
ROYAL DUTCH SHELL PLC        SPON
                             ADR B     780259107      81     1,687 SH                      X    1     1,687         0       0
ROYAL DUTCH SHELL PLC        SPONS
                             ADR A     780259206      75     1,500 SH          X                1     1,500         0       0
ROYAL DUTCH SHELL PLC        SPONS
                             ADR A     780259206     161     3,200 SH                      X    1     3,200         0       0



                                       7




                                                                            INVESTMENT DISCRETION    ** VOTING AUTHORITY **
                                                                            --------------------- ---------------------------
                               TITLE             MKT VAL  Shares/  SH/ PUT/ SOLE  SHR   OTH   OTH    SOLE     SHARED    NONE
NAME OF ISSUER                OF CLASS   CUSIP    x 1000  PRN Amt  PRN CALL  (A)  (B)   (C)   MGR    (A)       (B)      (C)
--------------               --------- --------- ------- --------- --- ---- ---- ----- ----- ---- --------- --------- -------
                                                                               
ROYCE FD                     PENN
                             MUT INV   780905840  28,404 3,084,062 SH          X                1 3,082,737       927     398
ROYCE FD                     PENN
                             MUT INV   780905840     137    14,926 SH                      X    1    12,170     2,545     211
SEQUENOM INC                 COM NEW   817337405      59    10,000 SH          X                1    10,000         0       0
SHERWIN WILLIAMS CO          COM       824348106     224     3,235 SH          X                1     3,235         0       0
SIMMONS 1ST NATL CORP        CL A $1
                             PAR       828730200     277    10,566 SH          X                1    10,566         0       0
SIRIUS XM RADIO INC          COM       82967N108       9    10,000 SH          X                1    10,000         0       0
SOUTHERN CO                  COM       842587107   3,733   112,172 SH          X                1   110,480         0   1,692
SOUTHERN CO                  COM       842587107     163     4,898 SH                      X    1     4,898         0       0
SPRINT NEXTEL CORP           COM SER
                             1         852061100     212    50,000 SH                      X    1    50,000         0       0
STAPLES INC                  COM       855030102     373    19,563 SH          X                1    18,314         0   1,249
STRYKER CORP                 COM       863667101     809    16,166 SH          X                1    15,633         0     533
SYMANTEC CORP                COM       871503108     465    33,473 SH          X                1    32,418         0   1,055
TARGET CORP                  COM       87612E106     737    14,985 SH          X                1    14,110         0     875
TEXAS ROADHOUSE INC          COM       882681109     708    56,076 SH          X                1    56,076         0       0
THERMO FISHER SCIENTIFIC INC COM       883556102     207     4,224 SH          X                1     3,646         0     578
TRIMBLE NAVIGATION LTD       COM       896239100     333    11,910 SH          X                1    11,910         0       0
TRUSTMARK CORP               COM       898402102     500    23,997 SH          X                1    23,997         0       0
CABE TIMBER I LIMITED PARTNE           9020F6992   1,819         4 SH          X                1         4         0       0
LONG TIMBER CO LTD 80% FAMIL           9020G7999   3,786         1 SH          X                1         1         0       0
USA TRUCK INC                COM       902925106     268    16,613 SH          X                1    16,613         0       0
UNION PAC CORP               COM       907818108     170     2,450 SH          X                1     2,280         0     170
UNION PAC CORP               COM       907818108     306     4,400 SH                      X    1         0     4,400       0
UNITED TECHNOLOGIES CORP     COM       913017109     211     3,251 SH          X                1     2,852         0     399
V F CORP                     COM       918204108     349     4,900 SH          X                1     4,900         0       0
VANGUARD STAR FD             TOTAL
                             INTL STK  921909602     366    28,867 SH          X                1    28,867         0       0
VANGUARD WORLD FD            MEGA
                             CAP
                             INDEX     921910873   1,790    50,784 SH          X                1    50,784         0       0
VANGUARD EXPLORER FD INC     COM       921926101     392     7,001 SH          X                1     7,001         0       0
VANGUARD TAX-MANAGED FD      EUROPE
                             PAC ETF   921943858     755    25,813 SH          X                1    25,813         0       0
VANGUARD INDEX FDS           500
                             PORTFOLIO 922908108     222     2,335 SH          X                1       153         0   2,182
VANGUARD INDEX FDS           500
                             PORTFOLIO 922908108      75       795 SH                      X    1       795         0       0
VANGUARD INDEX FDS           VALUE
                             PTFL      922908405   2,407   138,155 SH          X                1   138,155         0       0
VANGUARD INDEX FDS           MID CAP
                             ETF       922908629   1,216    20,720 SH          X                1    20,720         0       0
VANGUARD INDEX FDS           SMALL
                             CP ETF    922908751     818    14,444 SH          X                1    14,444         0       0



                                       8




                                                                             INVESTMENT DISCRETION    ** VOTING AUTHORITY **
                                                                             --------------------- -----------------------------
                               TITLE             MKT VAL   Shares/  SH/ PUT/ SOLE  SHR   OTH   OTH    SOLE      SHARED     NONE
NAME OF ISSUER                OF CLASS   CUSIP    x 1000   PRN Amt  PRN CALL  (A)  (B)   (C)   MGR     (A)       (B)       (C)
--------------               --------- --------- ------- ---------= --- ---- ---- ----- ----- ---- ---------- ---------- -------
                                                                                  
VERIZON COMMUNICATIONS INC   COM       92343V104     355     12,663 SH          X                1      9,829          0   2,834
VERIZON COMMUNICATIONS INC   COM       92343V104      29      1,038 SH                      X    1        240        798       0
VISA INC                     COM CL A  92826C839     311      4,402 SH          X                1      3,995          0     407
WAL MART STORES INC          COM       931142103   1,236     25,710 SH          X                1     25,710          0       0
WASHINGTON MUT INVS FD INC   COM       939330106     730     32,164 SH          X                1     32,164          0       0
WESTERN UN CO                COM       959802109     212     14,210 SH          X                1     13,109          0   1,101
WISDOMTREE TRUST             DIV
                             EX-FINL
                             FD        97717W406     297      7,565 SH          X                1      7,565          0       0
YUM BRANDS INC               COM       988498101   1,061     27,168 SH          X                1     27,168          0       0
FINAL TOTALS                                     826,169 27,224,977                                16,023,851 10,951,219 240,907



                                       9