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, 2001

      Check here if Amendment [X]; Amendment Number 1

      This Amendment (Check only one):   [X] 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: Senior Vice President and Corporate Secretary

      Phone: (662) 680-2084

      Signature, Place, and Date of Signing:

      /s/ Cathy S. Freeman       Tupelo, Mississippi          November 15, 2004
      --------------------------------------------------------------------------

      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: 345

      Form 13F Information Table Value Total: $310,259
                                             (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




                           FORM 13F INFORMATION TABLE



                                                             SHRS
                                                              OR
                                                             PRN                                              VOTING AUTHORITY
                           TITLE OF               VALUE     ------    SH/   PCT/   INVESTMENT   OTHER    --------------------------
    NAMES OF ISSUER         CLASS       CUSIP    [X$1000]    AMT      PRN   CALL   DISCRETION  MANAGERS   SOLE    SHARED      NONE
    ---------------        --------   ---------  --------   ------    ----  ----   ----------  --------  ------   -------     -----
                                                                                             
LUKS INDUSTRIAL CO                    G5696D102      0         800    SH/          DEFINED         1        800         0         0
ABBOTT LAB                            002824100   1644       29500    PRN          SOLE            1      26900       300      2300
ABBOTT LAB                            002824100    317        5688    SH           DEFINED         1        200      4288      1200
GRUY PETRO MGMT WALKER                002995363      0           1    SH           SOLE            1          1         0         0
CREEKWALKER CREEK
ATLANTA EXP-CRONE 12-96               003995362      0           1    SH           SOLE            1          1         0         0
ADAMS EXPRESS CO COM                  006212104    137        9692    PRN          SOLE            1       9692         0         0
ADVANCED ENVIRON                      007947104      7        7000    SH           SOLE            1       7000         0         0
RECYCLING TCL A
AETNA INC COM                         00817Y108      6         200    SH           DEFINED         1          0         0       200
ART MACHIN ASSOC 109-01               008990103      0           1    SH           SOLE            1          1         0         0
AIR PRODS & CHEMS INC      COM        009158106     18         400    SH           DEFINED         1          0         0       400
PETROQUEST EXPLORATION                009990102      0           1    PRN          SOLE            1          1         0         0
ALLERGAN INC                          018490102     88        1180    SH           SOLE            1       1180         0         0
AEROPRES DIV #2240                    018990101      0           1    PRN          SOLE            1          1         0         0
ALLIED CAP CORP NEW        COM        01903Q108      7         300    SH           SOLE            1        300         0         0
ALLTEL CORP                           020039103    331        5364    PRN          SOLE            1       5164       200         0
ALLTEL CORP                           020039103    695       11265    SH           DEFINED         1       5965         0      5300
AMERICAN ELECTRIC POWER               025537101    211        4862    SH           SOLE            1       3462         0      1400
AMERICAN ELECTRIC POWER               025537101     21         498    SH           DEFINED         1        318         0       180
AMER EXPRESS CO                       025816109     99        2800    SH           SOLE            1       2800         0         0
AMER EXPRESS CO                       025816109      1          30    SH           DEFINED         1         30         0         0
AMER HOME PROD CORP                   026609107    331        5400    SH           SOLE            1       5400         0         0
AMER HOME PROD CORP                   026609107    283        4615    SH           DEFINED         1       3100         0      1515
ATLANTA EXP-NEW HOPE                  026995365      0           1    SH           SOLE            1          1         0         0
EXPAND 10/98
AMERICAN MUTUAL FUND INC              02768110R     31        1290    SH           SOLE            1       1290         0         0
AMERICAN MUTUAL FUND INC              02768110R    214        8923    PRN          DEFINED         1          0      8923         0
ANADARKO PETE CORP                    032511107     83        1464    SH           DEFINED         1          0      1464         0
ATLANTA EXP WARECREEK                 036995363      0           1    SH           SOLE            1          1         0         0
LSE
APPLE COMP INC                        037833100     56        2585    SH           SOLE            1       2585         0         0
APPLE COMP INC                        037833100     70        3200    PRN          DEFINED         1          0      3200         0
ARCHER -DANIELS                       039483102      4         279    SH           SOLE            1          0         0       279
-MIDLAND COMPANY
AUTO DATA PROCESS                     053015103    306        5200    SH           SOLE            1       4400         0       800
AUTO DATA PROCESS                     053015103    188        3200    SH           DEFINED         1          0      3200         0
AUTOZONE                              053332102     71        1000    SH           SOLE            1       1000         0         0
AUTOZONE                              053332102     38         530    SH           DEFINED         1        530         0         0
AXCELIS TECHNOLOGIES INC              054540109     28        2181    SH           SOLE            1       2181         0         0
BODCAW BANK                           056004997    767         853    SH           SOLE            1        795         0        58
BODCAW BANK                           056004997      5           6    SH           DEFINED         1          6         0         0
BANCORPSOUTH INC                      059692103  14602      880205    SH           SOLE            1     717330    145433     17442
BANCORPSOUTH INC                      059692103   2815      169681    SH           DEFINED         1     139788      2592     27301
BANKAMERICA CORP NEW COM              060505104   1294       20570    SH           SOLE            1      20570         0         0
BANKAMERICA CORP NEW COM              060505104    170        2710    SH           DEFINED         1        300         0      2410
BANK OF THE OZARKS, INC               063904106    604       23800    SH           DEFINED         1          0     23800         0
BAXTER INTL INC                       071813109    216        4040    SH           SOLE            1       2040         0      2000
13 PORTERS CHAPEL          RENT-      078995362      0           1    SH           SOLE            1          1         0         0
ROAD                       SPROUSE
BELLSOUTH CORP                        079860102   1566       41078    SH           SOLE            1      37996      2442       640
BELLSOUTH CORP                        079860102     27         732    PRN          DEFINED         1        732         0         0
BERKSHIRE HATHAWAY "A"                084670108     75           1    SH           SOLE            1          1         0         0
BERKSHIRE HATHAWAY INC                084670207      7           3    SH           DEFINED         1          3         0         0
DEL CL B
BLACKBURN MTR NV                      088995360   1676        1577    SH           SOLE            1       1577         0         0
BOEING INC                            097023105    204        5280    SH           SOLE            1       3980         0      1300






                                                             SHRS
                                                              OR
                                                             PRN                                              VOTING AUTHORITY
                           TITLE OF               VALUE     ------    SH/   PCT/   INVESTMENT   OTHER    --------------------------
    NAMES OF ISSUER         CLASS       CUSIP    [X$1000]    AMT      PRN   CALL   DISCRETION  MANAGERS   SOLE    SHARED      NONE
    ---------------        --------   ---------  --------   ------    ----  ----   ----------  --------  ------   -------     -----
                                                                                             
BOEING INC                            097023105     15         400    SH           DEFINED        1         100         0       300
BRISTOL MYERS SQUIBB CO               110122108   1474       28909    SH           SOLE           1       28909         0         0
BRISTOL MYERS SQUIBB CO               110122108    239        4700    SH           DEFINED        1        2700      2000         0
BULL RUN CORP GEORGIA                 120182100      2        3400    SH           SOLE           1        3400         0         0
BURLINGTON NORTHERN/                  12189T104     26         930    SH           SOLE           1         930         0         0
SANTA FE CORP
CLECO CORP COM                        12561W105      8         400    SH           SOLE           1         400         0         0
CITGO 0380600014                      130990104      0           1    PRN          SOLE           1           1         0         0
CITGO 0380600011                      131990103      0           1    PRN          SOLE           1           1         0         0
CITGO 03806000010                     132990102      0           1    PRN          SOLE           1           1         0         0
CABE LAND COMPANY AKA                 133005991   1449       17672    SH           SOLE           1       12586         0      5086
CABE CATTLE CO.
CAMPBELL SOUP CO           COM        134429109     11         400    SH           SOLE           1           0         0       400
CITGO 0380600015                      134990100      0           1    PRN          SOLE           1           1         0         0
CABE /LONG MANAGMENT                  135000990    311      311294    SH           SOLE           1      311294         0         0
CABE INVESTMENTS INC                  135005999    311      311294    SH           SOLE           1      311294         0         0
LION OIL 68-0366                      135990109      0           1    PRN          SOLE           1           1         0         0
CAPITAL ONE FINL CORP      COM        14040H105    371        6895    SH           SOLE           1        2095         0      4800
CARDINAL HEALTH INC        COM        4149Y108      28         447    SH           SOLE           1           0         0       447
CATERPILLAR INC                       149123101    494        9455    SH           SOLE           1        9455         0         0
CELL PATHWAYS INC                     15114R101      0         100    SH           SOLE           1         100         0         0
CHUBB CORPORATION                     171232101    379        5500    SH           SOLE           1        5500         0         0
COCA COLA CO                          191216100   1740       36905    SH           SOLE           1       29300      1000      6605
COCA COLA CO                          191216100    299        6350    SH           DEFINED        1         350         0      6000
COLGATE-PALMOLIVE CO                  194162103    275        4773    SH           SOLE           1        4773         0         0
COLGATE-PALMOLIVE CO                  194162103     11         200    SH           DEFINED        1           0         0       200
COMCAST                               200300200     28         800    SH           DEFINED        1           0       800         0
COMPAQ COMPUTER CORP                  204493100    203       20815    SH           SOLE           1       20115         0       700
COMPUTER ASSOC INTL INC    COM        204912109     27         800    SH           SOLE           1         800         0         0
CONAGRA FOODS INC          COM        205887102     14         600    SH           SOLE           1         600         0         0
CONAGRA FOODS INC          COM        205887102      4         200    SH           DEFINED        1         200         0         0
CONECTIV INC               COM        206829103     16         675    SH           SOLE           1         675         0         0
CONSECO STRATEGIC INC      SH BEN     20847A102      8         866    SH           SOLE           1         866         0         0
FD                         INT
CONSOLIDATED EDISON INC               209115104     56        1400    SH           SOLE           1        1400         0         0
COM
CONSTELLATION ENERGY                  210371100     10         400    SH           DEFINED        1         400         0         0
CORP
CORNING INC                           219350105     16        1800    SH           SOLE           1        1800         0         0
DPL INC                    COM        233293109     47        1985    SH           SOLE           1        1985         0         0
DANA CORP                             235811106     12         866    SH           SOLE           1         866         0         0
DELTA AIRLINES INC                    247361108      5         200    SH           SOLE           1         200         0         0
DELTIC TIMBER INC                     247850100    509       18604    SH           SOLE           1       18604         0         0
DELTIC TIMBER INC                     247850100  17693      645971    SH           DEFINED        1           0    645543       428
DIAMOND OFFSHORE           INC        25271C102      1          50    SH           SOLE           1          50         0         0
DRILLING
WALT DISNEY CO                        254687106     15         760    SH           SOLE           1         760         0         0
WALT DISNEY CO                        254687106      4         200    SH           DEFINED        1         200         0         0
DOW CHEMICAL CO                       260543103   1039       30794    SH           SOLE           1       30794         0         0
DOW CHEMICAL CO                       260543103     16         483    SH           DEFINED        1         483         0         0
DREYFUS MUNICIPAL BOND                26201Q104     45        3881                 SOLE           1        3881         0         0
FUND
DU PONT El D NEMOURS &                263534109    314        7397    SH           SOLE           1        7397         0         0
CO
DUKE ENERGY CORP COM                  264399106    237        6054    SH           SOLE           1        6054         0         0
DUKE ENERGY CORP COM                  264399106      7         200    SH           DEFINED        1         200         0         0
DYNEX CAP INC                         26817Q506      0         106    SH           DEFINED        1         106         0         0
EEX CORP                   COM NEW    26842V207      0          66    SH           SOLE           1          66         0         0
EQUINOX - OPHILIA TODD     COM NEW    271995367      0           1    PRN          SOLE           1           1         0         0
10400
ALBEMARLE CORP (ETHYL)                274990100      0           1    PRN          SOLE           1           1         0         0






                                                             SHRS
                                                              OR
                                                             PRN                                              VOTING AUTHORITY
                           TITLE OF               VALUE     ------    SH/   PCT/   INVESTMENT   OTHER    --------------------------
    NAMES OF ISSUER         CLASS       CUSIP    [X$1000]    AMT      PRN   CALL   DISCRETION  MANAGERS   SOLE    SHARED      NONE
    ---------------        --------   ---------  --------   ------    ----  ----   ----------  --------  ------   -------     -----
                                                                                             
UNIT AGREEMENT-                       275995363      0           1    PRN          SOLE           1           1         0         0
SMACKOVERUNIT
EASTMAN KODAK CO                      277461109     30        1050    SH           SOLE           1        1050         0         0
EATON CORP                 COM        278058102    122        1650    SH           SOLE           1        1650         0         0
A.G.EDWARDS INC                       281760108     77        1750    SH           SOLE           1        1750         0         0
ATLANTA EXPLORATION                   281995365      0           1    PRN          SOLE           1           1         0         0
PISG PRO
ATLANTA EXPLORATION                   282995364      0           1    PRN          SOLE           1           1         0         0
WARE CR
ELECTRONIC DATA SYS                   285661104    143        2100    SH           SOLE           1        2100         0         0
CORP NEW
EMERSON ELECTRIC CO                   291011104    137        2400    SH           SOLE           1        2400         0         0
EMERSON ELECTRIC CO                   291011104     19         350    SH           DEFINED        1         350         0         0
ENCORE WIRE CORP           COM        292562105    252       20900    SH           SOLE           1       13900         0      7000
ENRON CORP                            293561106      0          20    SH           DEFINED        1          20         0         0
ENTERGY 65 SERIES PRD                 29364D407      1          18    SH           SOLE           1          18         0         0
4.56%
ENTERGY ARK INC PFD                   29364D605      4          60    SH           SOLE           1          60         0         0
$6.08
ENTERGY ARK INC PFD                   29364D704     20         229    SH           SOLE           1         229         0         0
$7.32
ENTERGY ARK INC PFD                   29364D803      9         100    SH           SOLE           1         100         0         0
$7.80
ENTERGY ARK INC PFD                   29364D829      7          90    SH           SOLE           1          90         0         0
$7.40
ENTERGY ARK INC PFD                   29364D852     13         145    SH           SOLE           1         145         0         0
$7.88
ENTERGY CORP                          29364G103    207        5298    SH           SOLE           1        4298         0      1000
ENTERGY CORP                          29364G103     23         593    SH           DEFINED        1         593         0         0
CHALLENGE OPT                         301990107      0           1    PRN          SOLE           1           1         0         0
ROBERSON#1ARK
FLOWEREE PLANTING LSE                 301995361      0           1    PRN          SOLE           1           1         0         0
1-1-98
FPL GROUP INC                         302571104    108        1915    SH           SOLE           1        1915         0         0
FNMA COM                              313586109    111        1400    SH           SOLE           1        1400         0         0
FNMA COM                              313586109      2          30    SH           DEFINED        1          30         0         0
FEDERAL REALTY INVT TR     SH BEN     313747206     23        1000    SH           SOLE           1        1000         0         0
                           INT NEW
1ST CENTURY BANKSHARES                319426102     15        1000    SH           SOLE           1        1000         0         0
FIRST NAT'L                CORP       320940109      0         388    SH           DEFINED        1         388         0         0
ENTERTAINMENT
ADV FUND MS TRS                       33732A210      9          24                 SOLE           1          24         0         0
1ST TRS ADVAN SER 195                 33732C745     32          35    SH           SOLE           1          35         0         0
MSTR9
1ST TRUST ADV UIT SER      TRUST 1    337320675      1           5                 SOLE           1           5         0         0
32 MS
1ST TRS ADVAN SER 38                  337320865      3          20    SH           SOLE           1          20         0         0
MSTR2
FLUOR CORP                            343412102     11         300    SH           SOLE           1         300         0         0
FLUOR CORP                            343412102      3          96    SH           DEFINED        1          96         0         0
FOAMEX INT'L INC                      344123104    162       20050    SH           SOLE           1       20050         0         0
FORD MTR CO CAP TR I       TOPRS9%    345343206     31        1200    SH           SOLE           1        1200         0         0
GAP INC DEL                COM        364760108     20        1500    SH           SOLE           1        1500         0         0
GENERAL DYNAMICS CORP      COM        369550108     70         890    SH           SOLE           1         890         0         0
GENERAL ELECTRIC CO                   369604103   5268      131478    SH           SOLE           1      129998       450      1030
GENERAL ELECTRIC CO                   369604103    294        7345    SH           DEFINED        1        2945         0      4400
GENERAL MLS INC            COM        370334104     37         720    SH           SOLE           1         720         0         0
GENERAL MLS INC            COM        370334104      1          20    SH           DEFINED        1           0         0        20
GEN MTR CORP                          370442105     32         673    SH           SOLE           1         407        66       200
GENOME THERAPEUTICS        COM        372430108      6        1000    SH           SOLE           1           0         0      1000
CORP
GEORGIA PAC CORP                      373298108     55        2020    SH           SOLE           1        1620         0       400
GERON CORP                 COM        374163103      2         300    SH           SOLE           1         300         0         0
SCUDDER GLOBAL                        378947501     12         544    SH           SOLE           1         544         0         0
DISCOVERY FD
GLOBAL SPORTS INC                     37937A107      0          29    SH           SOLE           1          29         0         0
GOODYEAR TIRE & RUBBER                382550101     14         618    SH           SOLE           1          92         0       526
GREAT LAKES CHEM CORP                 390568103     43        1785    SH           DEFINED        1           0      1785         0
COM






                                                             SHRS
                                                              OR
                                                             PRN                                              VOTING AUTHORITY
                           TITLE OF               VALUE     ------    SH/   PCT/   INVESTMENT   OTHER    --------------------------
    NAMES OF ISSUER         CLASS       CUSIP    [X$1000]    AMT      PRN   CALL   DISCRETION  MANAGERS   SOLE    SHARED      NONE
    ---------------        --------   ---------  --------   ------    ----  ----   ----------  --------  ------   -------    ------
                                                                                            
GUARANTY BANCSHARES INC               400764106         2      200    SH           SOLE           1           0         0       200
TEX COM
GUIDANT CORP COM                      401698105       204     4100    SH           SOLE           1        4000         0       100
HCB BANCSHARES INC COM                40413N106        18     1500    SH           SOLE           1        1500         0         0
HARRIS SHORT/                         40429960R        69     6778    SH           SOLE           1        6778         0         0
INTERMEDIATE BOND CL I
BURNS/PERKIS                          408995363         0        1    PRN          SOLE           1           1         0         0
OIL/GAS11-1999
HANCOCK FABRICS                       409900107        21     1600    SH           SOLE           1        1600         0         0
HANCOCK HLDG CO CAP                   410120109       124     2897    SH           SOLE           1        2897         0         0
VALUE
HARRIS CORP                           413875105        45     1494    SH           SOLE           1        1494         0         0
HARRIS EQUITY INCOME                  41454810R        82     5025    SH           SOLE           1        5025         0         0
FUND
HARTFORD FNCL SV GRP                  416515104        12      200    SH           DEFINED        1         200         0         0
INC COM
HASBRO, INC                           418056107        12      787    SH           DEFINED        1         787         0         0
HATTERAS INCOME SECS       COM        419025101         2      200    SH           SOLE           1         200         0         0
INC
HEWLETT PACKARD CO                    428236103       193     9422    SH           SOLE           1        6622         0      2800
HEWLETT PACKARD CO                    428236103         8      400    SH           DEFINED        1           0         0       400
HIBERNIA CORP                         428656102      6398   359886    SH           SOLE           1      358986         0       900
HIBERNIA CORP                         428656102        16      900    SH           DEFINED        1         900         0         0
HIGHLANDS INS GROUP                   431032101         1    12000    SH           SOLE           1       12000         0         0
HOME DEPOT                            437076102      1009    19797    SH           SOLE           1       15322      4050       425
HOME DEPOT                            437076102        78     1532    SH           DEFINED        1         882         0       650
HOMEFED CORP COM NEW                  43739D208         3     4028    SH           DEFINED        1           0      4028         0
HOPEWELL HLDGS LTD         SPONSOR    439555301         8    14600    SH           DEFINED        1           0     14600         0
                           ED ADR
HUBBELL INC                CL B       443510201        29     1000    SH           SOLE           1        1000         0         0
ICN PHARMACEUTICALS INC               448924100        17      525    SH           SOLE           1           0         0       525
NEW COM
INS MUN-INC TRS 198                   45808G723         0        5                 SOLE           1           5         0         0
UTS INSURED MUNI INC                  45808V266         7       10                 DEFINED        1           0        10         0
TRS#297
INS MUN-INC TRS 116                   458084837         1        6                 SOLE           1           6         0         0
INTEL CORP CAP                        458140100      1307    41564    SH           SOLE           1       37814      2700      1050
INTEL CORP CAP                        458140100       139     4430    SH           DEFINED        1         230         0      4200
IBM CORP                              459200101      4023    33263    SH           SOLE           1       29993       400      2870
IBM CORP                              459200101       154     1275    SH           DEFINED        1         475       800         0
INTL PAPER CO                         460146103       118     2948    SH           SOLE           1        2898         0        50
INTL PAPER CO                         460146103        58     1450    SH           DEFINED        1         150      1100       200
JANUS WORLDWID FUND #41               471023309        28      661    SH           SOLE           1         661         0         0
JEFFERSON PILOT                       475070108        20      450    SH           DEFINED        1           0         0       450
CORPORATION
JOHNSON & JOHNSON                     478160104      3192    54026    SH           SOLE           1       53626         0       400
JOHNSON & JOHNSON                     478160104       556     9420    SH           DEFINED        1        4620      1200      3600
KELLOGG CO                            487836108         6      200    SH           SOLE           1         200         0         0
C SIMMONS LSE EXP                     490990108         0        1    PRN          SOLE           1           1         0         0
12/31/06
KERR-MCGEE CORPORATION                492386107         1       25    SH           SOLE           1          25         0         0
INC
LION OIL 68-0261 RI &                 493990105         0        1    PRN          SOLE           1           1         0         0
ORI
LION OIL 05-0260                      493995369         0        1    PRN          SOLE           1           1         0         0
680260(246)
LION OIL 48-0260 RI &                 494990104         0        1    PRN          SOLE           1           1         0         0
ORI
LION OIL 05-0261 (DRIP)               494995368         0        1    PRN          SOLE           1           1         0         0
LION OIL CO #18-1896                  496990102         0        1    PRN          SOLE           1           1         0         0
WICKFORD ENERGY                       498990100         0        1    PRN          SOLE           1           1         0         0
D0#9601100
LTV CORP                   *W EXP     501921126         0        1    SH           SOLE           1           0         0         1
                           06/28/1998
LTV CORP 1.25 SERIES                  502210800         0       14    SH           SOLE           1           0         0        14
LEAR CORP                  COM        521865105         3      100    SH           SOLE           1         100         0         0
LEXMARK INTL NEW           CL A       529771107        71     1210    SH           SOLE           1        1210         0         0
COLONIAL TAX EXEMPT                   53054410R         0       28                 SOLE           1          28         0         0
FUND A






                                                             SHRS
                                                              OR
                                                             PRN                                              VOTING AUTHORITY
                           TITLE OF               VALUE     ------    SH/   PCT/   INVESTMENT   OTHER     -------------------------
    NAMES OF ISSUER         CLASS       CUSIP    [X$1000]   AMT       PRN   CALL   DISCRETION  MANAGERS   SOLE    SHARED      NONE
    ---------------        --------   ---------  --------  ------     ----  ----   ----------  --------   -----   -------    ------
                                                                                            
LOUSIANA COMPANIES                    540000999         0       36    SH           SOLE           1           0         0        36
MERLIN MORRIS FARMS INC.              546001991         2     2679    SH           SOLE           1        2679         0         0
LOUISIANA PAC CORP         COM        546347105         8     1016    SH           SOLE           1        1016         0         0
MCDONALD'S CORP                       580135101        95     3600    SH           SOLE           1        3600         0         0
MCDONALD'S CORP                       580135101        15      600    SH           DEFINED        1           0         0       600
MEDTRONIC INC              COM        585055106        74     1460    SH           SOLE           1        1460         0         0
MELLON FINL CORP                      58551A108        37     1000    SH           SOLE           1         200         0       800
MERCK & CO INC                        589331107      2119    36052    SH           SOLE           1       33027       250      2775
MERCK & CO INC                        589331107       236     4025    SH           DEFINED        1        1675       400      1950
MERRILL LYNCH CORP BD                 590907101        12     2536    SH           SOLE           1        2536         0         0
FD INCHI INCOME CL A
METLIFE INC                COM        59156R108        64     2049    SH           SOLE           1        2049         0         0
MICROSOFT CORP                        594918104      1167    17625    SH           SOLE           1       17075       100       450
MICROSOFT CORP                        594918104        26      400    SH           DEFINED        1           0         0       400
MISSISSIPPI CHEMICAL                  598001998         0        2    SH           SOLE           1           2         0         0
MINNESOTA MNG & MFC CO                604059105       137     1166    SH           SOLE           1        1166         0         0
MORRISSEY DEV. CO.                    618994156        25      400    SH           SOLE           1         400         0         0
MOTOROLA INC                          620076109       300    19993    SH           SOLE           1       17963         0      2030
MOTOROLA INC                          620076109       131     8780    SH           DEFINED        1        8480         0       300
THE MUN INSURED NAT'L                 626223242         0        5                 SOLE           1           5         0         0
TR S5
MURPHY OIL CORP            COM        626717102      4450    52961    SH           SOLE           1       52961         0         0
MURPHY OIL CORP            COM        626717102    195279  2323653    SH           DEFINED        1           0    2323653        0
NELSON, THOMAS INC                    640376109         2      187    SH           SOLE           1         187         0         0
NICOR INC                  COM        654086107        33      800    SH           SOLE           1         800         0         0
NOBLE AFFILIATES INC       COM        654894104        35     1000    SH           SOLE           1        1000         0         0
NORFOLK SO CORP                       655844108        35     1934    SH           SOLE           1        1934         0         0
NORTHERN TRUST COMPANY                665859104       107     1780    SH           SOLE           1           0         0      1780
NTRS
NORTHERN TRUST COMPANY                665859104       240     4000    SH           DEFINED        1           0         0      4000
NTRf
OCCIDENTAL PETE COR DEL               674599105        13      500    SH           SOLE           1           0       500         0
OLIN CORP                             680665205         2      166    SH           DEFINED        1         166         0         0
OMNICOM GROUP                         681919106        89     1000    SH           SOLE           1        1000         0         0
PPG INDUSTRIES INC                    693506107        31      600    SH           SOLE           1         600         0         0
PACIFIC CENTURY                       694059106         6     2473    SH           DEFINED        1           0      2473         0
CYBERWORKS
PENNEY J C INC             COM        708160106        80     2977    SH           SOLE           1        2977         0         0
PRAIRIE FARMERS ASSOC.     RESERVES   711000992         1     1769    SH           SOLE           1        1769         0         0
                           (BE)
PEOPLES ENERGY CORP        COM        711030106         7      200    SH           SOLE           1         200         0         0
PEOPLES ENERGY CORP        COM        711030106        18      500    SH           DEFINED        1         500         0         0
PEOPLES HLDG CO            COM        711148106        13      367    SH           SOLE           1         367         0         0
GEORGE PATE COLUMBIA                  712995364         0        1    PRN          SOLE           1           1         0         0
11/96
PEPSICO INC                COM        713448108      1644    33788    SH           SOLE           1       32455      1333         0
PEPSICO INC                COM        713448108       154     3165    SH           DEFINED        1         465      1100      1600
RIVERHILLS CAP CORP        (FORM.     COR715995361    336     8000    SH           SOLE           1        8000         0         0
                           PT
                           GIBSON
                           COR
PFIZER INC                            717081103      3853    96716    SH           SOLE           1       92966       300      3450
PFIZER INC                            717081103       131     3300    SH           DEFINED        1        2400         0       900
PHELPS DODGE CORP          COM        717265102         0       20    SH           SOLE           1          20         0         0
PHELPS DODGE CORP          COM        717265102        16      500    SH           DEFINED        1         500         0         0
PHILIP MORRIS COS INC      COM        718154107        95     2075    SH           SOLE           1        2075         0         0
PHILLIPS PETE CO                      718507106       131     2186    SH           SOLE           1        2186         0         0
PHILLIP/AMEXPLORATION-                719995367         0        1    PRN          SOLE           1           1         0         0
CRONEA
PRAIRIE FARMERS                       722000999         0        1    SH           SOLE           1           1         0         0
ASSOCIATION NUMBER 00888
3/8 INT FARM PROP                     722995362         0        1    PRN          SOLE           1           1         0         0
-WARREN CTY
PITNEY BOWES INC           COM        724479100         1       36    SH           SOLE           1          36         0         0
PETROGULF CORP LEASE                  728995366         0        1    SH           SOLE           1           1         0         0
8-2000
POTLATCH CORP              COM        737628107         4      150    SH           SOLE           1         150         0         0
PRAXAIR INC                COM        74005P104        16      300    SH           DEFINED        1         300         0         0






                                                             SHRS
                                                              OR
                                                             PRN                                              VOTING AUTHORITY
                           TITLE OF               VALUE     ------    SH/   PCT/   INVESTMENT   OTHER     -------------------------
    NAMES OF ISSUER         CLASS       CUSIP    [X$1000]    AMT      PRN   CALL   DISCRETION  MANAGERS    SOLE   SHARED      NONE
    ---------------        --------   ---------  --------   ------    ----  ----   ----------  --------   ------  -------     -----
                                                                                             
PRICE T ROWE TX FR HI      COM        741486104         8      768                 SOLE           1         768         0         0
YLD FD
PROCTER & GAMBLE CO        COM        742718109       634     8017    SH           SOLE           1        7667       250       100
PROCTER & GAMBLE CO        COM        742718109       418     5290    SH           DEFINED        1        1400       640      3250
QLOGIC CORP                COM        747277101        11      250    SH           SOLE           1         250         0         0
RH DONNELLEY CORP                     74955W307         1       60    SH           SOLE           1          60         0         0
RELIANT ENERGY INC                    75952J108       135     5123    SH           SOLE           1        3323      1200       600
RELIANT ENERGY INC                    75952J108       118     4460    SH           DEFINED        1        4122       338         0
REXCOM SYSTEMS CORP                   761672203         0        1    SH           SOLE           1           1         0         0
ROHM &. HAAS CO            COM        775371107         6      200    SH           SOLE           1         200         0         0
ROUSE CO                   COM        779273101         2      100    SH           SOLE           1         100         0         0
SAFECO CORP                COM        786429100        31     1000    SH           SOLE           1        1000         0         0
SEVEN J STOCK FARM,                   787991066         0       10    SH           SOLE           1          10         0         0
SARA LEE CORP              COM        803111103        17      800    SH           SOLE           1         800         0         0
SCHERING PLOUGH CORP       COM        806605101       695    19434    SH           SOLE           1       19434         0         0
SCHERING PLOUGH CORP       COM        806605101       787    22000    SH           DEFINED        1         100     19500      2400
SCHLUMBERGER LTD           COM        806857108       107     1950    SH           SOLE           1        1750         0       200
SEARS ROEBUCK & CO         COM        812387108        91     1920    SH           SOLE           1        1720         0       200
SEARS ROEBUCK & CO         COM        812387108         7      167    SH           DEFINED        1         167         0         0
SHELL TRANS & TRADING      NEW YRK    822703609        74     1800    SH           DEFINED        1        1800         0         0
PLC                        SH NEW
SHERWIN WILLIAMS CO        COM        824348106        30     1100    SH           SOLE           1        1100         0         0
SIMMONS 1ST NATL CORP      CLA A $5   828730200       289     9021    SH           SOLE           1        9021         0         0
                           PAR
SIMMONS 1ST NATL CORP      CLA A $5   828730200         8      250    SH           DEFINED        1         250         0         0
                           PAR
SOLUTIA INC                COM        834376105        57     4122    SH           SOLE           1        2968      1154         0
SOUTHERN CO                COM        842587107       500    19732    SH           SOLE           1       19732         0         0
SOUTHERN CO                COM        842587107        92     3670    SH           DEFINED        1        3670         0         0
STILLWELL FINANCIAL INC               860831106        16      600    SH           SOLE           1         600         0         0
SYSCO CORP                            871829107        52     2000    SH           SOLE           1        2000         0         0
TECO ENERGY INC            COM        872375100         7      300    SH           SOLE           1         300         0         0
TECO ENERGY INC            COM        872375100        20      800    SH           DEFINED        1         800         0         0
TAX EXEMPT BD FD OF                   87690210R        14     1210                 DEFINED        1           0      1210         0
AMERICA
TEMPLE INLAND INC          COM        879868107        22      400    SH           SOLE           1         400         0         0
TEVA PHARMACEUTICAL IND    ADR'S      881624209       124     2020    SH           SOLE           1        2020         0         0
TIFFANY & CO NEW                      886547108        69     2200    SH           SOLE           1        2200         0         0
TOTH ALUMINUM                         891514101         0      100    SH           SOLE           1           0         0       100
CORPORATION
TRIBUNE COMPANY                       896047107        44     1200    SH           SOLE           1        1200         0         0
SUPPLYFORCE . COM , LLC               89902Q997        60    10000    SH           SOLE           1       10000         0         0
TRANS -GULF PETROLEUM      LA         89902X992         0       10    SH           SOLE           1          10         0         0
CORP                       CLOSELY
                           HELD
SMACKOVER BANCSHARES INC              899027999         0      673    SH           SOLE           1         673         0         0
FIRST STAUNTON             A V        90008J994         0       42    SH           SOLE           1          42         0         0
BANCSHARES CL
FIRST STAUNTON             B NV       90008K991         0      374    SH           SOLE           1         374         0         0
BANCSHARES CL
WHOLESALE ELECTRIC         CO., INC.  902027994      5073    47444    SH           SOLE           1       20676         0     26768
SUPPLY
TYSON FOODS INC            CL A       902494103         8      750    SH           SOLE           1           0         0       750
TYSON FOODS INC            CL A       902494103       173    15000    SH           DEFINED        1           0         0     15000
USA TRUCK INC                         902925106       855    78164    SH           SOLE           1       78164         0         0
-RESTRICTED
USX-U S STL                COM        90337T101         9      500    SH           SOLE           1         500         0         0
UNISYS CORP                           909214108         6      540    SH           SOLE           1         540         0         0
UNITED AUTO GROUP INC      COM        909440109       260    10105    SH           SOLE           1       10105         0         0
CONFEDERATE STATE $10                 915995369         0        1    PRN          SOLE           1           1         0         0
BILL
BANK OF US NOTE $1000                 916995368         0        1    PRN          SOLE           1           1         0         0
UTILICORP UNITED INC                  918005109        66     2656    SH           SOLE           1        2656         0         0
VAN KAMPEN AMERICAN        PRIME      920914108        75     9029    SH           SOLE           1        9029         0         0
CAPITAL                    RATE






                                                             SHRS
                                                              OR
                                                             PRN                                              VOTING AUTHORITY
                           TITLE OF               VALUE     ------    SH/   PCT/   INVESTMENT   OTHER   ---------------------------
    NAMES OF ISSUER         CLASS       CUSIP    [X$1000]    AMT      PRN   CALL   DISCRETION  MANAGERS   SOLE    SHARED      NONE
    ---------------        --------   ---------  --------   ------    ----  ----   ----------  -------- -------   -------    ------
                                                                                            
VIALINK CO                 COM        92552Q101         0      450    SH           SOLE           1           0         0       450
VLASIC FOODS INTL INC      COM        928559103         0      100    SH           SOLE           1           0         0       100
WAL MART STORES INC        COM        931142103      3053    53070    SH           SOLE           1       50370      1500      1200
WAL MART STORES INC        COM        931142103       295     5139    SH           DEFINED        1        1839      3000       300
WALGREEN CO                COM        931422109       191     5700    SH           SOLE           1        5700         0         0
WALSH HEALTH CARE          INC        937001998         0        3    SH           SOLE           1           0         0         3
SOLUTIONS
WAUSAU-MOSINEE PAPER                  943315101         6      550    SH           SOLE           1         550         0         0
CORP CO
WEINGARTEN RLTY            SH BEN     948741103        48     1000    SH           SOLE           1        1000         0         0
INVS                       INT
WESTERN RES INC            COM        959425109         3      200    SH           SOLE           1         200         0         0
WEYERHAEUSER CO            COM        962166104       205     3800    SH           SOLE           1        3800         0         0
AMSOUTH BANCORP                        32165102       259    13724    SH           SOLE                       0         0     13724
BANCORPSOUTH INC                       59692103       205    12373    SH           SOLE                       0         0     12373
CITIGROUP INC                         172967101       126     2500    SH           SOLE                       0         0      2500
COCA COLA CO                          191216100        57     1200    SH           SOLE                       0         0      1200
DISNEY WALT CO DEL                    254687106         4      200    SH           SOLE                       0         0       200
E M C CORP MASS                       268648102        11      800    SH           SOLE                       0         0       800
EATON VANCE TAX MGD                   277911848        40     1982    SH           SOLE                       0         0      1982
ENTERPRISE INTERNET                   293720231         5      488    SH           SOLE                       0         0       488
GENERAL ELECTRIC CO                   369604103       289     7200    SH           SOLE                       0         0      7200
HEWLETT-PACKARD CO                    428236103         6      300    SH           SOLE                       0         0       300
INTEL CORP                            458140100       126     4000    SH           SOLE                       0         0      4000
LSI LOGIC CORP                        502161102         5      300    SH           SOLE                       0         0       300
LUCENT TECH INC                       549463107         3      400    SH           SOLE                       0         0       400
MCDATA CORP                           580031201         1       29    SH           SOLE                       0         0        29
MICROSOFT CORP                        594918104        40      600    SH           SOLE                       0         0       600
NOKIA CORP ADR                        654902204         2      100    SH           SOLE                       0         0       100
PEOPLES HLDG CO                       711148106        53     1439    SH           SOLE                       0         0      1439
PROCTOR & GAMBLE CO                   742718109       158     2000    SH           SOLE                       0         0      2000
QWEST COMM INTL INC                   749121109         6      412    SH           SOLE                       0         0       412
RF MICRO DEVICES INC                  749941100         8      400    SH           SOLE                       0         0       400
SUN MICROSYSTEMS INC                  866810104         7      600    SH           SOLE                       0         0       600
TXU CORP                              873168108        94     2000    SH           SOLE                       0         0      2000
CISCO SYS INC                         17275R102         4      200    SH           SOLE                       0         0       200
JDS UNIPHASE CORP                     46612J101         2      200    SH           SOLE                       0         0       200
JUNIPER NETWORKS                      48203R104         2      100    SH           SOLE                       0         0       100
MERISTAR HOSPITALITY                  58984Y103        12      847    SH           SOLE                       0         0       847
WORLDCOM INC GA NEW                   98157D106        20     1395    SH           SOLE                       0         0      1395
WORLDCOM INC GA (MCI)                 98157D304         1       55    SH           SOLE                       0         0        55
AMDOCS LIMITED                        G02602103        11      325    SH           SOLE                       0         0       325
FLEXTRONICS INTL INC                  Y2573F102        14      600    SH           SOLE                       0         0       600
                                                   ------  -------                                      -------   -------    ------
GRAND TOTALS                                       310259  6653779                                      3165141   3235275    253363
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