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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 09/30/2012

Check here if Amendment [_] Amendment Number:

This Amendment          [_] is a  restatement

Institutional Investment Manager Filing this Report:

Name:    TEXAS CAPITAL BANCSHARES
Address: 2000 MCKINNEY AVE, STE 700
         DALLAS, TX 75201

13F File Number: 028-11275

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:  DAVID A. FOLZ
Title: EXECUTIVE VICE PRESIDENT
Phone: 214-932-6625

Signature, Place, and Date of Signing: /s/ David A. Folz

1    DALLAS, TX    10/02/2012

Report Type (Check only one)
            [X] 13F HOLDINGS REPORT
            [_] 13F COMBINATION REPORT




                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      0

Form 13F Information Table Entry Total: 218

Form 13F Information Table Value Total: $ 132,993
                                        (thousands)

List of Other Included Managers:

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

NONE




                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
ABB LTD SPONSORED  FOREIGN STOCK     000375204       377   20162 SH          SOLE                                     20162
ADR
AFLAC INC COM      COMMON STOCK      001055102       547   11417 SH          SOLE                                     11417
ABBOTT LABS        COMMON STOCK      002824100      1256   18316 SH          SOLE                                     18316
                                                      72    1055 SH          OTHER                                     1055
ADIDAS AG ADR      FOREIGN STOCK     00687A107       493   11990 SH          SOLE                                     11990
ADOBE SYS INC COM  COMMON STOCK      00724F101       611   18840 SH          SOLE                                     18840
                                                      49    1500 SH          OTHER                                     1500
AETNA INC NEW COM  COMMON STOCK      00817Y108       719   18153 SH          SOLE                                     18153
                                                      17     435 SH          OTHER                                      435
AIR LIQUIDE ADR    FOREIGN STOCK     009126202       330   13284 SH          SOLE                                     13284
ALLIANZ SE SP ADR  FOREIGN STOCK     018805101       479   40379 SH          SOLE                                     40379
1/10 SH
AMPHENOL CORP NEW  COMMON STOCK      032095101       509    8650 SH          SOLE                                      8650
CL A
                                                      41     700 SH          OTHER                                      700
ARCHER DANIELS     COMMON STOCK      039483102       649   23870 SH          SOLE                                     23870
MIDLAND CO
                                                      16     575 SH          OTHER                                      575
AUTOMATIC DATA     COMMON STOCK      053015103       628   10710 SH          SOLE                                     10710
PROCESSING INCOM
                                                      47     800 SH          OTHER                                      800
AXA SPONSORED ADR  FOREIGN STOCK     054536107       379   25456 SH          SOLE                                     25456
BASF-SE            COMMON STOCK      055262505       376    4444 SH          SOLE                                      4444
BG PLC ADR FIN     FOREIGN STOCK     055434203       431   21255 SH          SOLE                                     21255
INST N

COLUMN TOTALS                                       8026





                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
BSD MED CORP DEL   COMMON STOCK      055662100       107   78470 SH          SOLE                           78470
COM
BANCO SANTANDER    FOREIGN STOCK     05965X109       493    6736 SH          SOLE                                      6736
CHILE NEW SP ADR
BARCLAYS BK PLC    ETF / ETN         06738C778     32287  730309 PRN         SOLE                          730309
                                                     682   15430 PRN         OTHER                          11615
                                                                             OTHER                                     3815
BARCLAYS PLC       COMMON STOCK      06738E204       617   44499 SH          SOLE                                     44499
BAXTER INTL INC    COMMON STOCK      071813109       680   11280 SH          SOLE                                     11280
COM
                                                      16     270 SH          OTHER                                      270
BAYER A G          FOREIGN STOCK     072730302       595    6927 SH          SOLE                                      6927
SPONSORED ADR
BECTON DICKINSON   COMMON STOCK      075887109       633    8060 SH          SOLE                                      8060
& CO COM
                                                      47     600 SH          OTHER                                      600
BHP BILLITON LTD   FOREIGN STOCK     088606108       420    6127 SH          SOLE                                      6127
SPONSORED ADR
BRITISH AMERN TOB  FOREIGN STOCK     110448107       445    4331 SH          SOLE                                      4331
PLC SPONSORED
C H ROBINSON       COMMON STOCK      12541W209       490    8370 SH          SOLE                                      8370
WORLDWIDE INC COM
                                                      35     600 SH          OTHER                                      600
CSL LIMITED ADR    FOREIGN STOCK     12637N105       489   20520 SH          SOLE                                     20520
CVS                COMMON STOCK      126650100       431    8893 SH          SOLE                                      8893
                                                      11     220 SH          OTHER                                      220
CANADIAN NATURAL   COMMON STOCK      136385101       261    8461 SH          SOLE                                      8461

COLUMN TOTALS                                      38739






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
CANADIAN NATURAL   COMMON STOCK      136385101       261    8461 SH
CANON INC ADR      FOREIGN STOCK     138006309       283    8835 SH          SOLE                                      8835
CARNIVAL CORP      COMMON STOCK      143658300       659   18095 SH          SOLE                                     18095
PAIRED CTF
                                                      16     440 SH          OTHER                                      440
CHEVRON CORP COM   COMMON STOCK      166764100       701    6015 SH          SOLE                                      6015
                                                      23     195 SH          OTHER                                      195
COCA COLA CO COM   COMMON STOCK      191216100      1133   29870 SH          SOLE                           22000
                                                                             SOLE                                      7870
                                                      23     600 SH          OTHER                                      600
COCA COLA          FOREIGN STOCK     1912EP104       293   15737 SH          SOLE                                     15737
HELLENIC BTTLG CO
COGNIZANT          COMMON STOCK      192446102       669    9570 SH          SOLE                                      9570
TECHNOLOGY
SOLUTIOCL A                                           49     700 SH          OTHER                                      700
COLGATE PALMOLIVE  COMMON STOCK      194162103       717    6690 SH          SOLE                                      6690
CO COM
                                                      54     500 SH          OTHER                                      500
AMBEV-CIA DE       FOREIGN STOCK     20441W203       337    8802 SH          SOLE                                      8802
BEBIDAS DAS
COMPASS GROUP PLC  COMMON STOCK      20449X203       251   22735 SH          SOLE                                     22735
CORNING INC COM    COMMON STOCK      219350105       514   39078 SH          SOLE                                     39078
                                                      12     935 SH          OTHER                                      935
DASSAULT SYS S A   FOREIGN STOCK     237545108       527    4993 SH          SOLE                                      4993
SPONSORED ADR
DEVON ENERGY CORP  COMMON STOCK      25179M103       688   11364 SH          SOLE                                     11364

COLUMN TOTALS                                       6949






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
DEVON ENERGY CORP  COMMON STOCK      25179M103       688   11364 SH
NEW COM                                               17     275 SH          OTHER                                      275
DOW CHEM CO COM    COMMON STOCK      260543103       619   21383 SH          SOLE                                     21383
                                                      15     515 SH          OTHER                                      515
EDAP TMS S. A.     COMMON STOCK      268311107        17   10000 SH          SOLE                           10000
EATON CORP COM     COMMON STOCK      278058102       698   14768 SH          SOLE                                     14768
                                                      17     355 SH          OTHER                                      355
ECOLAB INC         COMMON STOCK      278865100       274    4230 SH          SOLE                                      4230
                                                      19     300 SH          OTHER                                      300
ECOPETROL S. A.    COMMON STOCK      279158109       239    4057 SH          SOLE                                      4057
EMERSON ELEC CO    COMMON STOCK      291011104       595   12330 SH          SOLE                                     12330
COM
                                                      43     900 SH          OTHER                                      900
ENBRIDGE INC COM   FOREIGN STOCK     29250N105       601   15386 SH          SOLE                                     15386
EQUIFAX            COMMON STOCK      294429105       527   11320 SH          SOLE                                     11320
                                                      42     900 SH          OTHER                                      900
ESSILOR INTL       COMMON STOCK      297284200       206    4365 SH          SOLE                                      4365
EXXON              COMMON STOCK      30231G102      2565   28051 SH          SOLE                            3909
                                                                             SOLE                                           24142
                                                     293    3200 SH          OTHER                           1000
                                                                             OTHER                                           2200
FANUC CORP         COMMON STOCK      307305102       492   18408 SH          SOLE                                     18408
FRESENIUS          FOREIGN STOCK     358029106       426    5809 SH          SOLE                                      5809
GEMALTO N. V. ADR  FOREIGN STOCK     36863N208       211    4812 SH          SOLE                                      4812
GIVAUDAN S. A. F   COMMON STOCK      37636P108       272   14260 SH          SOLE                                     14260

COLUMN TOTALS                                       8188






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
GRUPO TELEVISA SA  FOREIGN STOCK     40049J206       478   20342 SH          SOLE                                     20342
DE CV SP ADR
HSBC HLDGS PLC     FOREIGN STOCK     404280406       693   14926 SH          SOLE                                     14926
HALLIBURTON CO     COMMON STOCK      406216101       860   25529 SH          SOLE                                     25529
COM
                                                      21     615 SH          OTHER                                      615
HENKEL LTD         FOREIGN STOCK     42550U208       503    6336 SH          SOLE                                      6336
PARTNERSHIP SPON
HENNES & MAURITZ   FOREIGN STOCK     425883105       360   52351 SH          SOLE                                     52351
AB ADR
HONDA MOTOR LTD    FOREIGN STOCK     438128308       569   18421 SH          SOLE                                     18421
AMERN SHS
HONEYWELL INTL     COMMON STOCK      438516106       734   12287 SH          SOLE                             595
                                                                             SOLE                                     11692
                                                      17     290 SH          OTHER                                      290
HOSPIRA INC COM    COMMON STOCK      441060100       414   12615 SH          SOLE                                     12615
                                                      10     300 SH          OTHER                                      300
ADRINDUSTRIA DED   FOREIGN STOCK     455793109       674   26993 SH          SOLE                                     26993
ISENOF
INTEL CORP COM     COMMON STOCK      458140100       204    9000 SH          SOLE                            9000
ISHARES            ETF / ETN         464287234       382    9247 SH          SOLE                            9247
ISHARES            ETF / ETN         464287465     14315  270095 SH          SOLE                          270095
                                                     365    6883 SH          OTHER                           5259
                                                                             OTHER                                     1624
ISHARES            ETF / ETN         464287507       211    2136 SH          SOLE                            2136
ISHARES            ETF / ETN         464287598      1232   17067 SH          SOLE                           17067
ISREAL CHEM LTD    COMMON STOCK      465036200       198   16029 SH          SOLE                                     16029

COLUMN TOTALS                                      22240






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           

JGC CORP ADR       FOREIGN STOCK     466140100       377    5669 SH          SOLE                                      5669
J P MORGAN CHASE   ETF / ETN         46625H365      4337  107226 PRN         SOLE                          107226
                                                      82    2034 PRN         OTHER                           2034
JOHNSON & JOHNSON  COMMON STOCK      478160104       620    9000 SH          SOLE                            9000
COM
KBR INC            COMMON STOCK      48242W106       702   23526 SH          SOLE                                     23526
                                                      17     565 SH          OTHER                                      565
KONINKLIJKE AHOLD  FOREIGN STOCK     500467402       187   14986 SH          SOLE                                     14986
N V SPON ADR
KUBOTA CORP        FOREIGN STOCK     501173207       387    7669 SH          SOLE                                      7669
(FORMERLY KUBOTA
KYOCERA CORP       FOREIGN STOCK     501556203       264    3054 SH          SOLE                                      3054
LVMH MOET          FOREIGN STOCK     502441306       418   13910 SH          SOLE                                     13910
HENNESSY LOU VUI
LABORATORY CORP    COMMON STOCK      50540R409       410    4430 SH          SOLE                                      4430
AMER HLDGS COM
                                                      28     300 SH          OTHER                                      300
LOUISIANA CENT     OIL AND GAS IN    546234204       177      63 PRN         SOLE                              63
OIL & GAS CO UT    TERESTS
                                                      37      13 PRN         OTHER                             13
MAGNA              COMMON STOCK      559222401       256    5924 SH          SOLE                                      5924
INTERNATIONAL INC
MEDTRONIC          COMMON STOCK      585055106       882   20464 SH          SOLE                                     20464
                                                      41     960 SH          OTHER                                      960
MERCK KGAA ADR     FOREIGN STOCK     589339100       326    7945 SH          SOLE                                      7945
METLIFE INC        COMMON STOCK      59156R108       482   13978 SH          SOLE                                     13978
                                                      12     340 SH          OTHER                                      340

COLUMN TOTALS                                      10042






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
METLIFE INC        COMMON STOCK      59156R108        12     340 SH
METTLER TOLEDO I   FOREIGN STOCK     592688105       352    2064 SH          SOLE                                      2064
NTERNATIONALCOM
MICROSOFT CORP     COMMON STOCK      594918104       828   27820 SH          SOLE                                     27820
                                                      62    2100 SH          OTHER                                     2100
MOSAIC CO          COMMON STOCK      61945C103       649   11272 SH          SOLE                                     11272
                                                      16     270 SH          OTHER                                      270
MTN GROUP LIMITED  FOREIGN STOCK     62474M108       476   24612 SH          SOLE                                     24612
ADR
MUNICH RE GROUP    FOREIGN STOCK     626188106       556   35209 SH          SOLE                                     35209
ADR
NII HLDGS INC CL   COMMON STOCK      62913F201       142   18132 SH          SOLE                                     18132
B NEW
NYSE EURONEXT COM  COMMON STOCK      629491101       409   16598 SH          SOLE                                     16598
                                                      11     430 SH          OTHER                                      430
NASPERS LTD SP     FOREIGN STOCK     631512100       422    6800 SH          SOLE                                      6800
ADR
NESTLE S A         FOREIGN STOCK     641069406       444    7032 SH          SOLE                                      7032
SPONSORED ADR
NIDEC CORP         FOREIGN STOCK     654090109       327   17796 SH          SOLE                                     17796
SPONSORED ADR
NIKE INC CL B      COMMON STOCK      654106103       478    5040 SH          SOLE                                      5040
                                                      38     400 SH          OTHER                                      400
NITTO DENKO CORP   COMMON STOCK      654802206       362   15364 SH          SOLE                                     15364
NORFOLK SOUTHERN   COMMON STOCK      655844108       559    8784 SH          SOLE                                      8784
CORP COM
                                                      15     230 SH          OTHER                                      230

COLUMN TOTALS                                       6146






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
NOVARTIS A G       FOREIGN STOCK     66987V109       206    3367 SH          SOLE                                      3367
SPONSORED ADR
NOVO-NORDISK A/S   FOREIGN STOCK     670100205       275    1743 SH          SOLE                                      1743
(VORMALS NOVO
OCCIDENTAL PETE    COMMON STOCK      674599105       431    5010 SH          SOLE                                      5010
CORP DEL COM
                                                      10     120 SH          OTHER                                      120
OMNICOM GROUP INC  COMMON STOCK      681919106       682   13220 SH          SOLE                                     13220
COM
                                                      52    1000 SH          OTHER                                     1000
ON SEMICONDUCTOR   COMMON STOCK      682189105       421   68143 SH          SOLE                                     68143
CORP
                                                      10    1640 SH          OTHER                                     1640
ORACLE CORP COM    COMMON STOCK      68389X105       868   27600 SH          SOLE                                     27600
                                                      66    2100 SH          OTHER                                     2100
PEPSICO INC        COMMON STOCK      713448108       932   13170 SH          SOLE                                     13170
                                                     113    1600 SH          OTHER                                     1600
PHILIP MORRIS      COMMON STOCK      718172109       477    5303 SH          SOLE                                      5303
INTL INC COM
PRAXAIR INC COM    COMMON STOCK      74005P104       540    5200 SH          SOLE                                      5200
                                                      42     400 SH          OTHER                                      400
PRICE T ROWE       COMMON STOCK      74144T108       658   10390 SH          SOLE                                     10390
GROUP INC COM
                                                      51     800 SH          OTHER                                      800
PROCTER & GAMBLE   COMMON STOCK      742718109      1636   23591 SH          SOLE                                     23591

COLUMN TOTALS                                       7470






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
PROCTER & GAMBLE   COMMON STOCK      742718109        94    1360 SH          OTHER                                     1360
PRUDENTIAL FINL    COMMON STOCK      744320102       680   12478 SH          SOLE                                     12478
INC COM
                                                      16     300 SH          OTHER                                      300
PRUDENTIAL PLC     FOREIGN STOCK     74435K204       634   24400 SH          SOLE                                     24400
ADR
RECKITT BENCKISER  FOREIGN STOCK     756255105       281   24553 SH          SOLE                                     24553
GROUP PLC ADR
ROCHE HLDG LTD     FOREIGN STOCK     771195104       421    8965 SH          SOLE                                      8965
SPONSORED ADR
ROYAL DUTCH SHELL  FOREIGN STOCK     780259107       956   13402 SH          SOLE                                     13402
PLC
                                                      15     215 SH          OTHER                                      215
RYANAIR HLDGS PLC  FOREIGN STOCK     783513104       302    9374 SH          SOLE                                      9374
SPONSORED ADR
SKF AG ADR         FOREIGN STOCK     784375404       295   13655 SH          SOLE                                     13655
SAB MILLER PLC     COMMON STOCK      78572M105       406    9231 SH          SOLE                                      9231
SANDVIK AB ADR     FOREIGN STOCK     800212201       291   21480 SH          SOLE                                     21480
SIEMENS A G        FOREIGN STOCK     826197501       382    3817 SH          SOLE                                      3817
SPONSORED ADR
SMITH & NEPHEW     FOREIGN STOCK     83175M205       356    6466 SH          SOLE                                      6466
PLC SPDN ADR NEW
SOCIEDAD QUIMICA   FOREIGN STOCK     833635105       330    5359 SH          SOLE                                      5359
Y MINERA DE
STRYKER CORP COM   COMMON STOCK      863667101       402    7230 SH          SOLE                                      7230
                                                      33     600 SH          OTHER                                      600

SUPERIOR ENERGY    COMMON STOCK      868157108       445   21693 SH          SOLE                                     21693
SVCS INC COM
                                                      11     530 SH          OTHER                                      530

COLUMN TOTALS                                       6350






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
SUPERIOR ENERGY    COMMON STOCK      868157108        11     530 SH
SVENSKA CELLULOSA  FOREIGN STOCK     869587402       368   19844 SH          SOLE                                     19844
SYMANTEC CORP COM  COMMON STOCK      871503108       842   46828 SH          SOLE                                     46828
                                                      20    1130 SH          OTHER                                     1130
SYNGENTA AG        FOREIGN STOCK     87160A100       399    5337 SH          SOLE                                      5337
SPONSORED ADR
TAIWAN             FOREIGN STOCK     874039100       570   36004 SH          SOLE                                     36004
SEMICONDUCTOR MFG
TARGET CORP        COMMON STOCK      87612E106       660   10391 SH          SOLE                                     10391
                                                      16     250 SH          OTHER                                      250
TEVA               FOREIGN STOCK     881624209       431   10404 SH          SOLE                                     10404
PHARMACEUTICAL
INDS LTDADR                                           11     260 SH          OTHER                                      260
TEXAS CAPITAL      COMMON STOCK      88224Q107      2117   42585 SH          SOLE                                           42585
BANCSHARES, INC.
3M COMPANY COM     COMMON STOCK      88579Y101       867    9380 SH          SOLE                                      9380
                                                      65     700 SH          OTHER                                      700
TORONTO DOMINION   COMMON STOCK      891160509       530    6362 SH          SOLE                                      6362
BK ONT COM NEW
TURKCELL ILETISIM  FOREIGN STOCK     900111204       334   22083 SH          SOLE                                     22083
HIZMETLERISPON
TURKIYE GARANTI    COMMON STOCK      900148701       430   99391 SH          SOLE                                     99391
BANKASI
UNILEVER N V N Y   COMMON STOCK      904784709       444   12508 SH          SOLE                                     12508
SHS NEW
                                                      11     300 SH          OTHER                                      300
UNION              COMMON STOCK      907818108       429    3612 SH          SOLE                                      3612
                                                      11      90 SH          OTHER                                       90

COLUMN TOTALS                                       8555






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
UNION              COMMON STOCK      907818108        11      90 SH
UNITED OVERSEAS    FOREIGN STOCK     911271302       450   14003 SH          SOLE                                     14003
BK LTD SPONSORED
UNITED PARCEL      COMMON STOCK      911312106       407    5690 SH          SOLE                                      5690
                                                      29     400 SH          OTHER                                      400
UNITED             COMMON STOCK      913017109       788   10070 SH          SOLE                                     10070
TECHNOLOGIES CORP
COM                                                   63     800 SH          OTHER                                      800
VANGUARD FUNDS     ETF / ETN         922042676      1270   24700 SH          SOLE                           24700
VARIAN MED SYS     COMMON STOCK      92220P105       426    7060 SH          SOLE                                      7060
INC COM
                                                      30     500 SH          OTHER                                      500
VODAFONE GROUP     FOREIGN STOCK     92857W209      1444   50652 SH          SOLE                             606
PLC NEW SPONS ADR                                                            SOLE                                     50046
                                                      17     590 SH          OTHER                                      590
WAL MART DE        FOREIGN STOCK     93114W107       336   11992 SH          SOLE                                     11992
MEXICO S A B DE
WATERS CORP COM    COMMON STOCK      941848103       569    6830 SH          SOLE                                      6830
                                                      42     500 SH          OTHER                                      500
WESTERN UN CO COM  COMMON STOCK      959802109       694   38086 SH          SOLE                                     38086
                                                      17     950 SH          OTHER                                      950
WOODSIDE PETE LTD  FOREIGN STOCK     980228308       251    7348 SH          SOLE                                      7348
SPONSORED ADR
ZURICH INSURANCE   COMMON STOCK      989825104       301   12044 SH          SOLE                                     12044
GROUP LTD
ACCENTURE PLC      COMMON STOCK      G1151C101       620    8855 SH          SOLE                                      8855
IRELAND SHS CLASS

COLUMN TOTALS                                       7754






                           FORM 13F INFORMATION TABLE



                                                          SHS
NAME OF ISSUER                                   VALUE    PRN    SH   PUT     INVSTMT        OTHER          VOTING AUTHORITY
SECURITY NAME       TITLE OF CLASS     CUSIP    X $1000  AMOUNT  PRN  CALL    DISCRTN      MANAGERS       SOLE     SHARED   NONE
------------------ ----------------- ---------- -------- ------- ---- ------ ---------- --------------- --------- --------- ----
                                                                                           
ACCENTURE PLC      COMMON STOCK      G1151C101        49     700 SH          OTHER                                      700
IRELAND SHS CLASS
PARTNERRE LTD COM  COMMON STOCK      G6852T105       453    6093 SH          SOLE                                      6093
                                                      11     150 SH          OTHER                                      150
WILLIS GROUP       COMMON STOCK      G96666105       430   11649 SH          SOLE                                     11649
HOLDINGS PLC
                                                      10     280 SH          OTHER                                      280
ACE LTD SHS        COMMON STOCK      H0023R105       452    5976 SH          SOLE                                      5976
                                                      11     140 SH          OTHER                                      140
CORE LABORATORIES  COMMON STOCK      N22717107       304    2499 SH          SOLE                                      2499
FLEXTRONICS INTL   COMMON STOCK      Y2573F102       799  133139 SH          SOLE                                    133139
LTD ORD
                                                      15    2558 SH          OTHER                                     2558

COLUMN TOTALS                                       2534

AGGREGATE TOTAL                                   132993