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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12/31/2012

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 500
          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 01/03/2013

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:  202

              Form 13F Information Table Value Total:  $ 92,216
                                                       (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



                                            VALUE  SHS
NAME OF ISSUER                                X    PRN   SH  PUT  INVSTMT   OTHER   VOTING AUTHORITY
SECURITY NAME      TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN  MANAGERS SOLE  SHARED NONE
--------------     -------------- --------- ----- ------ --- ---- -------  -------- ----- ------ ----
                                                                
ABB LTD SPONSORED  FOREIGN STOCK
ADR                               000375204  285  13715  SH       SOLE                    13715
AFLAC INC COM      COMMON STOCK   001055102  473   8904  SH       SOLE                     8904
ABBOTT LABS        COMMON STOCK   002824100  766  11687  SH       SOLE                    11687
                                              69   1055  SH       OTHER                    1055
ADIDAS AG ADR      FOREIGN STOCK  00687A107  365   8156  SH       SOLE                     8156
ADOBE SYS INC COM  COMMON STOCK   00724F101  383  10160  SH       SOLE                    10160
                                              45   1200  SH       OTHER                    1200
AETNA INC NEW      COMMON STOCK
COM                               00817Y108  282   6081  SH       SOLE                     6081
                                              11    245  SH       OTHER                     245
AIR LIQUIDE ADR    FOREIGN STOCK  009126202  230   9034  SH       SOLE                     9034
ALLIANZ SE SP ADR  FOREIGN STOCK
1/10 SH                           018805101  435  31502  SH       SOLE                    31502
AMPHENOL CORP      COMMON STOCK
NEW CL A                          032095101  356   5510  SH       SOLE                     5510
                                              39    600  SH       OTHER                     600
AUTOMATIC DATA     COMMON STOCK
PROCESSING INCOM                  053015103  430   7550  SH       SOLE                     7550
                                              51    900  SH       OTHER                     900
AXA SPONSORED      FOREIGN STOCK
ADR                               054536107  362  19869  SH       SOLE                    19869
BASF-SE            COMMON STOCK   055262505  287   3024  SH       SOLE                     3024
BSD MED CORP DEL   COMMON STOCK
COM                               055662100  118  78470  SH       SOLE              78470
BANCO BILBAO VIZ   FOREIGN STOCK
CAYA                              05946K101  222  23515  SH       SOLE                    23515
BANCO SANTANDER    FOREIGN STOCK  05965X109  409  14367  SH       SOLE                    14367
CHILE NEW SP ADR

COLUMN TOTALS                               5618




                          FORM 13F INFORMATION TABLE



                                            VALUE  SHS
NAME OF ISSUER                                X    PRN   SH  PUT  INVSTMT  OTHER    VOTING AUTHORITY
SECURITY NAME      TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS  SOLE  SHARED NONE
--------------     -------------- --------- ----- ------ --- ---- ------- -------- ------ ------ ----
                                                                
BARCLAYS BK PLC    ETF / ETN      06738C778 23728 573825 PRN      SOLE             573825
                                               24    570 PRN      DEFINED             570
                                              705  17061 PRN      OTHER             13246
                                                                  OTHER                    3815
BARCLAYS PLC       COMMON STOCK   06738E204   546  31523 SH       SOLE                    31523
BAXTER INTL INC    COMMON STOCK
COM                               071813109   275   4121 SH       SOLE                     4121
                                               11    160 SH       OTHER                     160
BAYER A G          FOREIGN STOCK  072730302   452   4711 SH       SOLE                     4711
SPONSORED ADR
BECTON DICKINSON   COMMON STOCK   075887109   332   4250 SH       SOLE                     4250
& CO COM
                                               39    500 SH       OTHER                     500
BHP BILLITON LTD   FOREIGN STOCK  088606108   327   4167 SH       SOLE                     4167
SPONSORED ADR
C H ROBINSON       COMMON STOCK   12541W209   266   4210 SH       SOLE                     4210
WORLDWIDE INC COM                              32    500 SH       OTHER                     500
CSL LIMITED ADR    FOREIGN STOCK  12637N105   396  13959 SH       SOLE                    13959
CVS                COMMON STOCK   126650100   266   5492 SH       SOLE                     5492
                                               11    220 SH       OTHER                     220
CARNIVAL CORP      COMMON STOCK   143658300   265   7195 SH       SOLE                     7195
PAIRED CTF                                     10    280 SH       OTHER                     280
COCA COLA CO COM   COMMON STOCK   191216100   849  23410 SH       SOLE              16000

COLUMN TOTALS                               28534




                          FORM 13F INFORMATION TABLE



                                           VALUE  SHS
NAME OF ISSUER                               X    PRN   SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME     TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS SOLE  SHARED NONE
--------------    -------------- --------- ----- ------ --- ---- ------- -------- ----- ------ ----
                                                              
COCA COLA CO COM  COMMON STOCK   191216100  849  23410  SH        SOLE                   7410
                                             33    900  SH        OTHER                   900
COCA COLA         FOREIGN STOCK  1912EP104  238  10089  SH        SOLE                  10089
HELLENIC BTTLG
CO
COGNIZANT         COMMON STOCK   192446102  385   5210  SH        SOLE                   5210
TECHNOLOGY
SOLUTIOCL A                                  44    600  SH        OTHER                   600
COLGATE
PALMOLIVE         COMMON STOCK   194162103  457   4370  SH        SOLE                   4370
CO COM
                                             52    500  SH        OTHER                   500
AMBEV-CIA DE      FOREIGN STOCK  20441W203  247   5887  SH        SOLE                   5887
BEBIDAS DAS
COMPASS GROUP
PLC               COMMON STOCK   20449X203  185  15466  SH        SOLE                  15466
DASSAULT SYS S A  FOREIGN STOCK  237545108  384   3392  SH        SOLE                   3392
SPONSORED ADR
DEVON ENERGY
CORP              COMMON STOCK   25179M103  361   6928  SH        SOLE                   6928
NEW COM
                                             14    275  SH        OTHER                   275
DOW CHEM CO COM   COMMON STOCK   260543103  441  13629  SH        SOLE                  13629
                                             18    545  SH        OTHER                   545
EDAP TMS S. A.    COMMON STOCK   268311107   20  10000  SH        SOLE            10000
ECOLAB INC        COMMON STOCK   278865100  198   2750  SH        SOLE                   2750
                                             22    300  SH        OTHER                   300
EMERSON ELEC CO   COMMON STOCK   291011104  407   7680  SH        SOLE                   7680
COM
                                             48    900  SH        OTHER                   900

COLUMN TOTALS                              3554





                          FORM 13F INFORMATION TABLE



                                           VALUE  SHS
NAME OF ISSUER                               X    PRN   SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME     TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE
--------------    -------------- --------- ----- ------ --- ---- ------- -------- ---- ------ -----
                                                             
ENBRIDGE INC COM  FOREIGN STOCK  29250N105  453  10468  SH        SOLE                 10468
EQUIFAX           COMMON STOCK   294429105  320   5910  SH        SOLE                  5910
                                             38    700  SH        OTHER                  700
EXXON             COMMON STOCK   30231G102 2385  27561  SH        SOLE            3419
                                                                  SOLE                        24142
                                            190   2200  SH        OTHER                        2200
FANUC CORP        COMMON STOCK   307305102  389  12524  SH        SOLE                 12524
FORD MTR CO DEL   COMMON STOCK   345370860  478  36925  SH        SOLE                 36925
COM PAR $0.01
                                             19   1480  SH        OTHER                 1480
FRESENIUS         FOREIGN STOCK  358029106  260   7589  SH        SOLE                  7589
GIVAUDAN S. A. F  COMMON STOCK   37636P108  205   9699  SH        SOLE                  9699
GOOGLE INC        COMMON STOCK
CL A                             38259P508  417    590  SH        SOLE                   590
                                             17     24  SH        OTHER                   24
GRUPO TELEVISA    FOREIGN STOCK
SA                               40049J206  362  13602  SH        SOLE                 13602
DE CV SP ADR
HSBC HLDGS PLC    FOREIGN STOCK  404280406  618  11646  SH        SOLE                 11646
HALLIBURTON       COMMON STOCK
CO COM                           406216101  560  16143  SH        SOLE                 16143
                                             21    615  SH        OTHER                  615
HENKEL LTD        FOREIGN STOCK
PARTNERSHIP SPON                 42550U208  356   4316  SH        SOLE                  4316
HENNES & MAURITZ  FOREIGN STOCK
AB ADR                           425883105  232  33572  SH        SOLE                 33572
HONDA MOTOR LTD   FOREIGN STOCK
AMERN SHS                        438128308  463  12533  SH        SOLE                 12533

COLUMN TOTALS                              7783




                          FORM 13F INFORMATION TABLE



                                            VALUE  SHS
NAME OF ISSUER                                X    PRN   SH  PUT  INVSTMT  OTHER    VOTING AUTHORITY
SECURITY NAME      TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS  SOLE  SHARED NONE
--------------     -------------- --------- ----- ------ --- ---- ------- -------- ------ ------ ----
                                                                
HONEYWELL INTL     COMMON STOCK   438516106   428   6742 SH       SOLE                     6742
                                               17    260 SH       OTHER                     260
HOSPIRA INC COM    COMMON STOCK   441060100   267   8557 SH       SOLE                     8557
                                                9    300 SH       OTHER                     300
ADRINDUSTRIA DED   FOREIGN STOCK  455793109   524  18363 SH       SOLE                    18363
ISENOF
ISHARES            ETF / ETN      464287234   410   9247 SH       SOLE               9247
ISHARES            ETF / ETN      464287465 11297 198683 SH       SOLE             198683
                                              395   6951 SH       OTHER              5327
                                                                  OTHER                    1624
ISHARES            ETF / ETN      464287507   217   2136 SH       SOLE               2136
ISREAL CHEM LTD    COMMON STOCK   465036200   132  10912 SH       SOLE                    10912
JGC CORP ADR       FOREIGN STOCK  466140100   232   3700 SH       SOLE                     3700
J P MORGAN CHASE   ETF / ETN      46625H365  3787  98477 PRN      SOLE              98477
                                                2     63 PRN      DEFINED              63
                                               86   2234 PRN      OTHER              2234
JOHNSON & JOHNSON  COMMON STOCK
COM                               478160104   421   6000 SH       SOLE               6000
KBR INC            COMMON STOCK   48242W106   411  13737 SH       SOLE                    13737
                                               16    545 SH       OTHER                     545
KUBOTA CORP        FOREIGN STOCK  501173207   301   5216 SH       SOLE                     5216
(FORMERLY KUBOTA
LVMH MOET          FOREIGN STOCK  502441306   357   9463 SH       SOLE                     9463
HENNESSY LOU VUI
LABORATORY CORP    COMMON STOCK   50540R409   263   3040 SH       SOLE                     3040
AMER HLDGS COM

COLUMN TOTALS                               19572




                          FORM 13F INFORMATION TABLE



                                            VALUE  SHS
NAME OF ISSUER                                X    PRN   SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME      TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE
------------------ -------------- --------- ----- ------ --- ---- ------- -------- ---- ------ ----
                                                              
LABORATORY CORP    COMMON STOCK   50540R409   35    400  SH        OTHER                  400
AMER HLDGS COM
LIFE TECHNOLOGIES  COMMON STOCK   53217V109  280   5713  SH        SOLE                  5713
CORP COM
                                              11    230  SH        OTHER                  230
LOUISIANA CENT     OIL AND GAS IN 546234204  173     63  PRN       SOLE             63
OIL & GAS CO UT    TERESTS
                                              36     13  PRN       OTHER            13
MAGNA              COMMON STOCK   559222401  202   4031  SH        SOLE                  4031
INTERNATIONAL INC
MEDTRONIC          COMMON STOCK   585055106  258   6300  SH        SOLE                  6300
                                              33    800  SH        OTHER                  800
MERCK KGAA ADR     FOREIGN STOCK  589339100  224   5094  SH        SOLE                  5094
METLIFE INC        COMMON STOCK   59156R108  416  12637  SH        SOLE                 12637
                                              16    500  SH        OTHER                  500
METTLER TOLEDO I   FOREIGN STOCK  592688105  266   1377  SH        SOLE                  1377
NTERNATIONALCOM
MICROSOFT CORP     COMMON STOCK   594918104  838  31377  SH        SOLE                 31377
                                              72   2690  SH        OTHER                 2690
MOSAIC CO          COMMON STOCK   61945C103  430   7589  SH        SOLE                  7589
                                              17    300  SH        OTHER                  300
MTN GROUP          FOREIGN STOCK  62474M108  359  16737  SH        SOLE                 16737
LIMITED ADR
MUNICH RE GROUP    FOREIGN STOCK  626188106  495  27472  SH        SOLE                 27472
ADR
NASPERS LTD SP     FOREIGN STOCK  631512100  301   4626  SH        SOLE                  4626

COLUMN TOTALS                               4462




                          FORM 13F INFORMATION TABLE



                                                          VALUE  SHS
NAME OF ISSUER                                              X    PRN       SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME                    TITLE OF CLASS   CUSIP   $1000 AMOUNT     PRN CALL DISCRTN MANAGERS SOLE SHARED     NONE
--------------                   -------------- --------- ----- -------    --- ---- ------- -------- ---- -------    ----
                                                                                    
NASPERS LTD SP                   FOREIGN STOCK  631512100  301     4626    SH
NESTLE S A                       FOREIGN STOCK  641069406  312     4786    SH       SOLE                     4786
SPONSORED ADR NIKE INC CL B      COMMON STOCK   654106103  315     6112    SH       SOLE                     6112
                                                            41      800    SH       OTHER                     800
NITTO DENKO CORP                 COMMON STOCK   654802206  260    10457    SH       SOLE                    10457
NORFOLK SOUTHERN CORP COM        COMMON STOCK   655844108  387     6262    SH       SOLE                     6262
                                                            15      250    SH       OTHER                     250
OCCIDENTAL PETE CORP DEL COM     COMMON STOCK   674599105  385     5020    SH       SOLE                     5020
                                                            15      190    SH       OTHER                     190
OMNICOM GROUP INC COM            COMMON STOCK   681919106  424     8490    SH       SOLE                     8490
                                                            50     1000    SH       OTHER                    1000
ON SEMICONDUCTOR CORP            COMMON STOCK   682189105  308    43664    SH       SOLE                    43664
                                                            12     1640    SH       OTHER                    1640
ORACLE CORP COM                  COMMON STOCK   68389X105  601    18050    SH       SOLE                    18050
                                                            73     2200    SH       OTHER                    2200
PEPSICO INC                      COMMON STOCK   713448108  585     8550    SH       SOLE                     8550
                                                            89     1300    SH       OTHER                    1300
PHILIP MORRIS INTL INC COM       COMMON STOCK   718172109  302     3607    SH       SOLE                     3607
PRAXAIR INC COM                  COMMON STOCK   74005P104  354     3230    SH       SOLE                     3230

COLUMN TOTALS                                             4528




                          FORM 13F INFORMATION TABLE



                                                 VALUE  SHS
NAME OF ISSUER                                     X    PRN   SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME           TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE
--------------          -------------- --------- ----- ------ --- ---- ------- -------- ---- ------ ----
                                                                   
PRAXAIR INC COM         COMMON STOCK   74005P104   44    400  SH        OTHER                  400
PRICE T ROWE GROUP INC  COMMON STOCK
COM                                    74144T108  408   6270  SH        SOLE                  6270
                                                   52    800  SH        OTHER                  800
PROCTER & GAMBLE        COMMON STOCK   742718109  969  14276  SH        SOLE                 14276
                                                   90   1330  SH        OTHER                 1330
PRUDENTIAL FINL INC     COMMON STOCK
COM                                    744320102  257   4816  SH        SOLE                  4816
                                                   10    190  SH        OTHER                  190
PRUDENTIAL PLC ADR      FOREIGN STOCK  74435K204  543  19036  SH        SOLE                 19036
RECKITT BENCKISER       COMMON STOCK
GROUP PLC ADR                          756255204  206  16054  SH        SOLE                 16054
REGIONS FINANCIAL       COMMON STOCK
CORP NEW COM                           7591EP100  300  42115  SH        SOLE                 42115
                                                   12   1690  SH        OTHER                 1690
ROCHE HLDG LTD          FOREIGN STOCK
SPONSORED ADR                          771195104  319   6323  SH        SOLE                  6323
ROCKWELL AUTOMATION     COMMON STOCK              292   3477  SH        SOLE                  3477
INC. COM                               773903109   12    139  SH        OTHER                  139
ROYAL DUTCH SHELL PLC   FOREIGN STOCK  780259107  623   8793  SH        SOLE                  8793
                                                   15    215  SH        OTHER                  215
RYANAIR HLDGS PLC       FOREIGN STOCK
SPONSORED ADR                          783513104  218   6373  SH        SOLE                  6373
SKF AG ADR              FOREIGN STOCK  784375404  235   9289  SH        SOLE                  9289

COLUMN TOTALS                                    4605




                          FORM 13F INFORMATION TABLE



                                          VALUE  SHS
NAME OF ISSUER                              X    PRN   SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME    TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE
--------------   -------------- --------- ----- ------ --- ---- ------- -------- ---- ------ ----
                                                            
SAB MILLER PLC   COMMON STOCK   78572M105  294   6282  SH        SOLE                  6282
SANDVIK AB ADR   FOREIGN STOCK  800212201  236  14609  SH        SOLE                 14609
SIEMENS A G      FOREIGN STOCK  826197501  284   2596  SH        SOLE                  2596
SPONSORED ADR
SMITH & NEPHEW   FOREIGN STOCK  83175M205  244   4400  SH        SOLE                  4400
PLC SPDN ADR
NEW
SOCIEDAD         FOREIGN STOCK  833635105  206   3578  SH        SOLE                  3578
QUIMICA Y
MINERA DE
STANLEY          COMMON STOCK   854502101  280   3785  SH        SOLE                  3785
BLACK &
DECKER INC
                                            11    150  SH        OTHER                  150
SUPERIOR         COMMON STOCK   868157108  256  12360  SH        SOLE                 12360
ENERGY SVCS
INC COM
                                            11    530  SH        OTHER                  530
SVENSKA          FOREIGN STOCK  869587402  297  13490  SH        SOLE                 13490
CELLULOSA
SYMANTEC CORP    COMMON STOCK   871503108  561  29811  SH        SOLE                 29811
COM
                                            23   1220  SH        OTHER                 1220
SYNGENTA AG      FOREIGN STOCK  87160A100  293   3625  SH        SOLE                  3625
SPONSORED ADR
TJX COS INC NEW  COMMON STOCK   872540109  270   6370  SH        SOLE                  6370
COM
                                            34    800  SH        OTHER                  800
TAIWAN           FOREIGN STOCK  874039100  349  20340  SH        SOLE                 20340
SEMICONDUCTOR
MFG
TARGET CORP      COMMON STOCK   87612E106  406   6855  SH        SOLE                  6855
                                            16    270  SH        OTHER                  270
TEXAS CAPITAL    COMMON STOCK   88224Q107 1909  42585  SH        SOLE            710

COLUMN TOTALS                             5980




                          FORM 13F INFORMATION TABLE



                                            VALUE  SHS
NAME OF ISSUER                                X    PRN   SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME      TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE
--------------     -------------- --------- ----- ------ --- ---- ------- -------- ---- ------ -----
                                                              
TEXAS CAPITAL      COMMON STOCK   88224Q107 1909  42585  SH        SOLE                        41875
BANCSHARES, INC.
3M COMPANY COM     COMMON STOCK   88579Y101  556   5990  SH        SOLE                  5990
                                              65    700  SH        OTHER                  700
TURKCELL ILETISIM  FOREIGN STOCK  900111204  244  15128  SH        SOLE                 15128
HIZMETLERISPON
TURKIYE GARANTI    COMMON STOCK   900148701  380  73017  SH        SOLE                 73017
BANKASI UNION      COMMON STOCK   907818108  286   2273  SH        SOLE                  2273
                                              11     90  SH        OTHER                   90
UNITED PARCEL      COMMON STOCK   911312106  339   4600  SH        SOLE                  4600
                                              44    600  SH        OTHER                  600
UNITED             COMMON STOCK   913017109  528   6440  SH        SOLE                  6440
TECHNOLOGIES
CORP COM                                      66    800  SH        OTHER                  800
VALERO ENERGY      COMMON STOCK   91913Y100  450  13175  SH        SOLE            1000
CORP NEW COM                                                       SOLE                 12175
                                              17    490  SH        OTHER                  490
VANGUARD FUNDS     ETF / ETN      922042676  266   4838  SH        SOLE            4838
VARIAN MED SYS
INC COM            COMMON STOCK   92220P105  263   3740  SH        SOLE                  3740
                                              35    500  SH        OTHER                  500
VODAFONE GROUP     FOREIGN STOCK  92857W209  826  32805  SH        SOLE                 32805
PLC NEW SPONS ADR
                                              17    660  SH        OTHER                  660
WAL MART DE        FOREIGN STOCK  93114W107  267   8160  SH        SOLE                  8160

COLUMN TOTALS                               4660




                          FORM 13F INFORMATION TABLE



                                           VALUE  SHS
NAME OF ISSUER                               X    PRN   SH  PUT  INVSTMT  OTHER   VOTING AUTHORITY
SECURITY NAME     TITLE OF CLASS   CUSIP   $1000 AMOUNT PRN CALL DISCRTN MANAGERS SOLE SHARED NONE
--------------    -------------- --------- ----- ------ --- ---- ------- -------- ---- ------ ----
                                                             
WAL MART DE       FOREIGN STOCK  93114W107   267  8160  SH
WATERS CORP COM   COMMON STOCK   941848103   385  4420  SH        SOLE                  4420
                                              44   500  SH        OTHER                  500
ZURICH            COMMON STOCK
INSURANCE                        989825104   252  9392  SH        SOLE                  9392
GROUP LTD
ACCENTURE PLC     COMMON STOCK   G1151C101   378  5685  SH        SOLE                  5685
IRELAND SHS
CLASS
                                              47   700  SH        OTHER                  700
EATON CORP PLC    COMMON STOCK   G29183103   422  7792  SH        SOLE                  7792
                                              17   305  SH        OTHER                  305
PARTNERRE LTD     COMMON STOCK
COM                              G6852T105   262  3257  SH        SOLE                  3257
                                              10   130  SH        OTHER                  130
WILLIS GROUP      COMMON STOCK   G96666105   257  7653  SH        SOLE                  7653
HOLDINGS PLC
                                               9   280  SH        OTHER                  280
ACE LTD SHS       COMMON STOCK   H0023R105   273  3420  SH        SOLE                  3420
                                              11   140  SH        OTHER                  140
FLEXTRONICS INTL  COMMON STOCK   Y2573F102   537 86466  SH        SOLE                 86466
LTD ORD
                                              16  2558  SH        OTHER                 2558

COLUMN TOTALS                               2920

AGGREGATE TOTAL                            92216