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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 09/30/2011

Check here if Amendment [_] Amendment Number:

                  This Amendment   [_] is a restatement
                                   [_] adds new holding entries

Institutional Investment Manager Filing this Report:

Name:    OLD NATIONAL TRUST COMPANY

Address: P.O. BOX 207
         EVANSVILLE, IN 47702

13F File Number: 28-02327

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:    ELLEN D SPRADLIN

Title:   VICE PRESIDENT

Phone:   (812) 464-1496

Signature, Place, and Date of Signing:

1  EVANSVILLE, INDIANA 12162011

Report Type (Check only one)

[X] 13F HOLDINGS REPORT

[_] 13F NOTICE

[_] 13F COMBINATION REPORT

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934

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                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:              0
Form 13F Information Table Entry Total:       571
Form 13F Information Table Value Total:  $655,830

List of Other Included Managers:

NONE





                                                                                             INVESTMENT
                                                              MARKET                         DISCRETION       VOTING AUTHORITY
                                        TITLE                 VALUE    SHS OR   SH/  PUT/ ----------------- ---------------------
ISSUER                                  OF CLASS    CUSIP     (X$1000) PRIN AMT PRIN CALL SOLE SHARED OTHER SOLE    SHARED NONE
------                                  ----------- --------- -------- -------- ---- ---- ---- ------ ----- ------- ------ ------
                                                                                       
ACCENTURE PLC                              CL A     G1151C101     66     1,250   SH        X                  1,250
COVIDIEN PLC                                SHS     G2554F113     10       218   SH        X                    218
INGERSOLL-RAND PLC                          SHS     G47791101      1        46   SH                     X              46
ACE LTD NEW                                 SHS     H0023R105      1        14   SH        X                     14
NOBLE CORPORATION BAAR                  NAMEN - AKT H5833N103    163     5,569   SH        X                  5,489            80
NOBLE CORPORATION BAAR                  NAMEN - AKT H5833N103     72     2,455   SH                     X     1,455         1,000
TYCO ELECTRONICS LTD                      REG SHS   H84989104     67     2,371   SH        X                  2,371
TRANSOCEAN LTD                            REG SHS   H8817H100     19       404   SH        X                    404
TYCO INTL LTD                               SHS     H89128104      1        22   SH        X                     22
FLEXTRONICS INTERNATIONAL LTD SHS           ORD     Y2573F102      2       322   SH        X                    322
AFLAC INC                                   COM     001055102    156     4,457   SH        X                  4,457
AFLAC INC                                   COM     001055102     25       720   SH                     X             720
AGIC EQUITY & CONV INCOME FD                COM     00119P102      5       351   SH        X                    351
AT&T INC                                    COM     00206R102  1,333    46,716   SH        X                 38,444         8,272
AT&T INC                                    COM     00206R102  1,597    55,961   SH                     X    34,794 9,282  11,885
ABBOTT LABS                                 COM     002824100  9,097   177,875   SH        X                172,709         5,166
ABBOTT LABS                                 COM     002824100  5,616   109,813   SH                     X    80,439 3,224  26,150
ACTIVISION BLIZZARD INC                     COM     00507V109    166    13,955   SH        X                 13,955
ACTIVISION BLIZZARD INC                     COM     00507V109     30     2,490   SH                     X     2,490
AGILENT TECHNOLOGIES INC                    COM     00846U101      6       190   SH                     X                     190
ADVANCE AMER CASH ADVANCE CT                COM     00739W107     72     9,721   SH        X                  9,721
ADVANCE AMER CASH ADVANCE CT                COM     00739W107     33     4,536   SH                     X                   4,536
AETNA INC NEW                               COM     00817Y108    419    11,518   SH        X                 11,518
ALBEMARLE CORP                              COM     012653101  5,884   145,637   SH        X                141,184         4,453
ALBEMARLE CORP                              COM     012653101  1,300    32,183   SH                     X     9,173   417  22,593
ALCOA INC                                   COM     013817101    321    33,520   SH        X                 33,520
ALCOA INC                                   COM     013817101     68     7,081   SH                     X     3,999         3,082
ALLERGAN INC                                COM     018490102     68       828   SH        X                    828
ALLIANCE BERNSTEIN INCOME FD                COM     01881E101     14     1,725   SH        X                  1,725
ALLIANCE BERNSTEIN HOLDING                UNIT LP   01881G106      7       500   SH        X                    500
ALLSTATE                                    COM     020002101      4       150   SH        X                    150
ALLSTATE                                    COM     020002101     31     1,300   SH                     X                   1,300
ALTRIA GROUP INC                            COM     02209S103    750    27,972   SH        X                 27,397           575
ALTRIA GROUP INC                            COM     02209S104    208     7,750   SH                     X     7,750
AMAZON COM INC                              COM     023135106    247     1,140   SH        X                  1,140
AMAZON COM INC                              COM     023135106    362     1,671   SH                     X     1,421           250
AMERICAN CAPITAL LTD                        COM     02503Y103      3       479   SH        X                    479
AMERICAN ELECTRIC POWER                     COM     025537101     12       322   SH        X                    322
AMERICAN ELECTRIC POWER                     COM     025537101     59     1,540   SH                     X                   1,540
AMERICAN EXPRESS CO                         COM     025816109    717    15,959   SH        X                 15,430           529
AMERICAN EXPRESS CO                         COM     025816109     12       280   SH                     X        50           230
AMER TOWER CORP                            CL A     029912201      8       145   SH        X                    145
AMERICAN WOODMARK CORP                      COM     030506109      2       200   SH                     X                     200
AMERIPRISE FINL INC                         COM     03076C106    419    10,651   SH        X                 10,651
AMGEN INC                                   COM     031162100     52       950   SH        X                    950
AMPHENOL CORP NEW                          CL A     032095101    248     6,082   SH        X                  6,082
ANADARKO PETE CORP                          COM     032511107      1         8   SH        X                      8
ANALOT DEVICES INC                          COM     032654105     71     2,265   SH        X                  2,265
ANNALY CAP MGMT INC                         COM     035710409    180    10,821   SH        X                 10,821
APACHE CORP                                 COM     037411105    246     3,060   SH        X                  2,707           353





                                                                          
APACHE CORP                            COM     037411105    198   2,472 SH          X     2,172     300
APPLE INC                              COM     037833100 20,020  52,502 SH    X          50,679          1,823
APPLE INC                              COM     037833100  4,936  12,946 SH          X     3,703   1,498  7,745
AQUA AMER INC                          COM     03836W103      6     261 SH    X             261
ARCHER-DANIELS-MIDLAND                 COM     039483102     35   1,418 SH          X                    1,418
ARES CAP CORP                          COM     04010L103      7     487 SH    X             487
AUTOMATIC DATA PROCESSING IN           COM     053015103    177   3,743 SH    X           3,743
AUTOMATIC DATA PROCESSING IN           COM     053015103    165   3,500 SH          X     3,400            100
AVERY DENNISON CORP                    COM     053611109     21     849 SH    X             749            100
AVERY DENNISON CORP                    COM     053611109      9     358 SH          X        38            320
AVISTA CORPORATION                     COM     05379B107     48   2,000 SH          X             2,000
AVON PRODS INC                         COM     054303102    181   9,224 SH    X           9,224
AVON PRODS INC                         COM     054303102     24   1,200 SH          X     1,200
BB&T CORP                              COM     054937107    552  25,889 SH    X          25,889
BP PLC ADR                          SPONS ADR  055622104     26     714 SH    X             714
BP PLC ADR                          SPONS ADR  055622104    123   3,404 SH          X                    3,404
BAKER HUGHES INC                       COM     057224107      1      20 SH    X              20
BALL CORP                              COM     058498106  3,984 128,423 SH    X         128,423
BALL CORP                              COM     058498106 13,028 420,000 SH          X           420,000
BANK OF AMERICA CORPORATION            COM     060505104    256  41,767 SH    X          40,203          1,564
BANK OF AMERICA CORPORATION            COM     060505104     50   8,112 SH          X     4,300          3,812
                                    DJUBS CMDT
BARCLAYS BK PLC                       ETN36    06738C778    288   6,890 SH    X           6,890
                                    DJUBS CMDT
BARCLAYS BK PLC                       ETN36    06738C778    152   3,634 SH          X     2,134   1,500
                                    ETN DJUBS
BARCLAYS BK PLC                       IND MT   06738G407 11,176 329,573 SH    X         255,298         74,275
                                    ETN DJUBS
BARCLAYS BK PLC                       IND MT   06738G407    649  19,122 SH          X    15,806     561  2,755
BAXTER INTL INC                        COM     071813109    292   5,192 SH    X           5,192
BAXTER INTL INC                        COM     071813109    115   2,046 SH          X       896   1,000    150
BECTON DICKINSON & CO                  COM     075887109    380   5,180 SH    X           5,180
BECTON DICKINSON & CO                  COM     075887109    301   4,112 SH          X     3,712            400
BED BATH & BEYOND INC                  COM     075896100    208   3,629 SH    X           3,629
BEMIS CO INC                           COM     081437105     26     872 SH    X             872
BERKSHIRE HATHAWAY INC DEL           CL B NEW  084670702    764  10,751 SH    X          10,751
BERKSHIRE HATHAWAY INC DEL           CL B NEW  084670702    151   2,124 SH          X       774   1,350
BIOGEN IDEC INC                        COM     09062X103     89     959 SH    X             959
BLACKROCK MUNIYIELD INS FUND           COM     09254E103     42   3,210 SH    X           3,210
BOARDWALK PIPELINE PARTNERS           UT LP    096627104     13     500 SH    X             500
BOEING CO                              COM     097023105    159   2,634 SH    X           2,479            155
BOEING CO                              COM     097023105    301   4,981 SH                4,981
BRIGGS & STRATTON CORP                 COM     109043109     27   2,000 SH          X             2,000
BRISTOL MYERS SQUIBB CO                COM     110122108  2,220  70,724 SH    X          62,251          8,473
BRISTOL MYERS SQUIBB CO                COM     110122108  1,081  34,446 SH          X    28,830   2,412  3,204
BRISTOW GROUP INC                      COM     110394103    142   3,352 SH    X           3,352
BRISTOW GROUP INC                      COM     110394103     63   1,489 SH          X                    1,489
BROOKFIELD PROPERTIES CORP             COM     112900105     50   3,641 SH    X           3,641
BRUNSWICK CORP                         COM     117043109    339  24,144 SH    X          24,144
BRUNSWICK CORP                         COM     117043109     18   1,301 SH          X                    1,301
CB RICHARD ELLIS GROUP INC             COM     12497T101    147  10,937 SH    X          10,937
CIGNA CORPORATION                      COM     125509109    412   9,835 SH    X           9,835
CVS CORPORATION                        COM     126650100      1      40 SH    X              40
CA INC                                 COM     12673P105    523  26,960 SH    X          26,960
CAMERON INTERNATIONAL CORP             COM     13342B105    222   5,363 SH    X           4,837            526
CAMPBELL COUP CO                       COM     134429109      6     170 SH    X             170





                                                                        
CAMPBELL COUP CO                       COM     134429109     10     300 SH          X             300
CANADIAN PAC RAILWAY LTD               COM     13645T100      5     100 SH          X             100
CARDINAL HEALTH INC                    COM     14149Y108     77   1,850 SH    X           1,850
CARNIVAL CORP                       PAIRED CTF 143658300    882  29,085 SH    X          28,139          946
CARNIVAL CORP                       PAIRED CTF 143658300      1      27 SH          X        27
CARPENTER TECHNOLOGY CORP              COM     144285103    141   3,149 SH    X           3,149
CARPENTER TECHNOLOGY CORP              COM     144285103     66   1,463 SH          X                  1,463
CASH AMER INTL INC                     COM     14754D100    352   6,880 SH    X           6,880
CASH AMER INTL INC                     COM     14754D100    164   3,214 SH          X                  3,214
CATERPILLAR INC DEL                    COM     149123101    729   9,867 SH    X           9,555          312
CATERPILLAR INC DEL                    COM     149123101    424   5,745 SH          X     5,645   100
CEDAR FAIR DULPI LP                  DEP UNIT  150185106     47   2,500 SH    X           2,500
CELGENE CORP                           COM     151020104      1      18 SH    X              18
CENOVUS ENERGY INC                     COM     15135U109     24     784 SH    X             784
CENTERPOINT ENERGY                     COM     15189T107      1      40 SH    X              40
CENTURYLINK INC                        COM     156700106      1      33 SH    X              33
CHENIERE ENERGY PARTNERS LP          COM UNIT  16411Q101     26   1,000 SH    X           1,000
CHEVRON CORP NEW                       COM     166764100  2,611  28,205 SH    X          27,432          773
CHEVRON CORP NEW                       COM     166764100  1,497  16,168 SH          X    12,588   400  3,180
CHICOS FAS INC                         COM     168615102    222  19,427 SH    X          19,427
THE CHUBB CP                           COM     171232101     61   1,023 SH    X           1,023
CHURCH & DWIGHT INC                    COM     171340102 14,074 318,411 SH    X         308,665        9,746
CHURCH & DWIGHT INC                    COM     171340102  3,549  80,295 SH          X    28,427   564 51,304
CISCO SYS INC                          COM     17275R102    114   7,323 SH    X           7,323
CISCO SYS INC                          COM     17275R102    196  12,600 SH          X     8,900   900  2,800
CITIGROUP INC                        COM NEW   172967424  5,551 216,740 SH    X         209,091        7,649
CITIGROUP INC                        COM NEW   172967424  1,325  51,740 SH          X    18,561 1,968 31,211
CLOROX CO DEL                          COM     189054109    533   8,046 SH    X           8,046
CLOROX CO DEL                          COM     189054109     32     480 SH          X        50   200    230
COACH INC                              COM     189754104      1      14 SH    X              14
COCA COLA CO                           COM     191216100  1,942  28,747 SH    X          25,997        2,750
COCA COLA CO                           COM     191216100    707  10,469 SH          X     6,699 3,100    670
COGNIZANT TECHNOLOGY SOLUTIO           CL A    192446102    289   4,610 SH    X           4,610
COGNIZANT TECHNOLOGY SOLUTIO           CL A    192446102    137   2,189 SH          X       689 1,500
COLGATE PALMOLIVE                      COM     194162103     36     408 SH    X             408
COMCAST CORP                           CL A    20030N101     12     566 SH    X             566
CONAGRA FOODS INC                      COM     205887102      5     226 SH    X             226
CONOCOPHILLIPS                         COM     20825C104  1,165  18,401 SH    X          17,846          555
CONOCOPHILLIPS                         COM     20825C104    255   4,025 SH          X     1,569 2,456
CONSOLIDATED EDISON INC                COM     20825C104     62   1,076 SH    X           1,076
CONSOLIDATED EDISON INC                COM     20825C104     23     400 SH          X                    400
CONSTELLATION ENERGY INC               COM     210371100      1      14 SH    X              14
COOPER COS INC                       COM NEW   216648402    479   6,053 SH    X           6,053
COOPER COS INC                       COM NEW   216648402    224   2,826 SH          X                  2,826
COSTCO WHSL CORP NEW                   COM     22160K105  7,780  94,721 SH    X          91,861        2,860
COSTCO WHSL CORP NEW                   COM     22160K105  1,840  22,405 SH          X     6,824   169 15,412
CULLEN/FROST BANKERS INC               COM     229899109     38     833 SH    X             833
CUMMINS INC                            COM     231021106    370   4,536 SH    X           4,536
CUMMINS INC                            COM     231021106    231   2,824 SH          X     1,124 1,600    100
DNP SELECT INCOME FD                   COM     23325P104     58   5,831 SH    X           5,831
DNP SELECT INCOME FD                   COM     23325P104     24   2,400 SH          X                  2,400
DST SYS INC DEL                        COM     233326107    429   9,790 SH    X           9,790
DWS MUNICIPAL INCOME TRUST             COM     23338M106     51   4,000 SH    X           4,000
DANAHER CORP DEL                       COM     235851102 12,840 306,134 SH    X         296,863        9,271
DANAHER CORP DEL                       COM     235851102  3,149  75,086 SH          X    24,541 2,045 48,500





                                                                       
DEERE & CO                            COM    244199105  9,404 145,629 SH    X         141,557         4,072
DEERE & CO                            COM    244199105  2,230  34,530 SH          X    10,633    332 23,565
DEVON ENERGY CORP NEW                 COM    25179M103      9     166 SH    X             166
DISNEY (WALT) COMPANY                 COM    254687106     13     438 SH    X             438
DIRECTV                             COM CL A 25490A101  8,081 191,182 SH    X         185,351         5,831
DIRECTV                             COM CL A 25490A101  1,702  40,274 SH          X    10,095    533 29,646
DOMINION RES INC VA NEW               COM    25746U109    108   2,121 SH    X           2,121
DOMINION RES INC VA NEW               COM    25746U109     71   1,400 SH          X                   1,400
DOVER CORP                            COM    260003108      4      85 SH    X              85
DOW CHEM CO                           COM    260543103    362  16,113 SH    X          16,113
DOW CHEM CO                           COM    260543103     82   3,650 SH          X     2,850           800
DU PONT E I DE NEMOURS & CO           COM    263534109    557  13,929 SH    X          13,606           323
DU PONT E I DE NEMOURS & CO           COM    263534109  1,098  27,464 SH          X     4,910 20,234  2,320
DUKE ENERGY CORP NEW                  COM    26441C105    372  18,587 SH    X          18,587
DUKE ENERGY CORP NEW                  COM    26441C105    321  16,034 SH          X    10,125  3,241  2,668
E M C CORP MASS                       COM    268648102 10,857 517,200 SH    X         501,645        15,555
E M C CORP MASS                       COM    268648102  2,428 115,651 SH          X    30,611  3,315 81,725
EOG RESOURCES INC                     COM    26875P101      1      14 SH    X              14
E TRADE FINANCIAL CORP              COM NEW  269246401    236  25,953 SH    X          25,953
EXCO RESOURCES INC                    COM    269279402    231  21,550 SH    X          21,550
EARTHLINK INC                         COM    270321102    175  26,875 SH    X          26,875
EASTMAN KODAK CO                      COM    277461109     10  13,359 SH    X          13,359
EASTMAN KODAK CO                      COM    277461109      1   1,000 SH          X            1,000
EATON CORP                            COM    278058102    509  14,327 SH    X          14,327
EBAY INC                              COM    278642103    438  14,840 SH    X          14,840
ECOLAB INC                            COM    278865100    123   2,510 SH    X           2,510
ECOLAB INC                            COM    278865100    199   4,075 SH          X     2,485         1,590
EL PASO CORP                          COM    28336L109  5,355 306,310 SH    X         297,452         8,858
EL PASO CORP                          COM    28336L109  1,113  63,688 SH          X    16,200    873 46,615
EMERSON ELEC CO                       COM    291011104  9,061 219,340 SH    X         212,601         6,739
EMERSON ELEC CO                       COM    291011104  2,069  50,078 SH          X    14,577    426 35,075
ENCANA CORP                           ADR    292505104     62   3,242 SH    X           3,242
ENBRIDGE ENERGY PARTNERS LP           COM    29250R106    104   3,800 SH    X           3,800
ENERGIZER HLDGS INC                   COM    29266R108    335   5,038 SH    X           5,038
ENTERGY CORP NEW                      COM    29364G103    217   3,273 SH    X           3,273
ENTERGY CORP NEW                      COM    29364G103    239   3,597 SH          X     3,197           400
EXELON CORP                           COM    30161N101     45   1,038 SH    X           1,038
EXPRESS SCRIPTS INC                   COM    302182100    202   5,439 SH    X           5,439
EXXON MOBIL CORP                      COM    30231G102 21,868 301,086 SH    X         287,224        13,862
EXXON MOBIL CORP                      COM    30231G102 10,041 138,253 SH          X    78,904  1,275 58,074
FAIR ISAAC CORP                       COM    303250104    304  13,936 SH    X          13,281           655
FASTENAL COMPANY                      COM    311900104     10     298 SH    X             298
FIDELITY NATL INFORMATION SV          COM    31620M106    208   8,548 SH    X           8,548
FIFTH THIRD BANCORP                   COM    316773100    494  48,952 SH    X          47,892         1,060
FIFTH THIRD BANCORP                   COM    316773100     15   1,480 SH          X       412         1,068
FIRST FINL CORP IND                   COM    320218100  2,913 105,882 SH    X          75,358        30,524
FIRST FINL CORP IND                   COM    320218100    160   5,832 SH          X     5,832
FISERV INC                            COM    337738108      6     110 SH    X             110
FISRSTENERGY CORP                     COM    337932107     32     712 SH    X             712
FLUOR CORP NEW                        COM    343412102      1      14 SH    X              14
FORD MOTOR CO DEARBORN MI             COM    345370860     79   8,156 SH    X           8,156
FORD MOTOR CO DEARBORN MI             COM    345370860     84   8,646 SH          X            3,496  5,150
FOREST OIL CORP                     COM PAR
                                     $0.01   346091705    163  11,285 SH    X          10,085         1,200
FORWARD AIR CORP                      COM    349853101     48   1,875 SH    X           1,875





                                                                      
FRANKLIN RES INC                       COM    354613101 4,824  50,441 SH    X          48,718        1,723
FRANKLIN RES INC                       COM    354613101 1,072  11,207 SH          X     3,471    87  7,649
FREEPORT-MCMORAN COOPER & GOLD         COM    35671D857     1      36 SH    X              36
FRONTIER COMMUNICATIONS CORP           COM    35906A108     4     677 SH    X             677
FRONTIER COMMUNICATIONS CORP           COM    35906A108     7   1,100 SH          X             184    916
GATX CORP                              COM    361448103   142   4,585 SH    X           4,585
GATX CORP                              COM    361448103    66   2,135 SH          X                  2,135
GENERAL DYNAMICS CORP                  COM    369550108   434   7,630 SH    X           7,438          192
GENERAL DYNAMICS CORP                  COM    369550108   120   2,098 SH          X       948   400    750
GENERAL ELECTRIC CO.                   COM    369604103 2,350 154,399 SH    X         141,618       12,781
GENERAL ELECTRIC CO.                   COM    369604103   939  61,650 SH          X    47,450 5,250  8,950
GENERAL MLS INC                        COM    370334104 1,028  26,691 SH    X          26,691
GENERAL MLS INC                        COM    370334104 4,631     900 SH          X       100   800
GENERAL MOTORS                         COM    37045V100     1      67 SH    X              67
GENERAL MOTORS                         COM    37045V100     2     100 SH          X                    100
GENIUNE PARTS COMPANY                  COM    372460105    50     990 SH    X             990
GERMAN AMERN BANCORP INC               COM    373865104   275  17,052 SH    X          17,052
GERMAN AMERN BANCORP INC               COM    373865104    44   2,749 SH          X     2,749
GILEAD SCIENCES INC                    COM    375558103   148   3,810 SH    X           3,810
GILEAD SCIENCES INC                    COM    375558103    81   2,082 SH          X     1,082 1,000
GLAXOSMITHKLINE PLC                 SPONS ADR 37733W105     4     100 SH    X             100
GLOBE SPECIALTY METALS INC             COM    37954N206   113   7,796 SH    X           7,796
GLOBE SPECIALTY METALS INC             COM    37954N206    53   3,618 SH          X                  3,618
GOLDMAN SACHS GROUP INC                COM    38141G104 6,237  65,965 SH    X          63,659        2,306
GOLDMAN SACHS GROUP INC                COM    38141G104 1,455  15,383 SH          X     4,856   120 10,407
GOOGLE INC                            CL A    38259P508   246     477 SH    X             467           10
GOOGLE INC                            CL A    38259P508   118     229 SH          X        94          135
GRAINGER W W INC                       COM    384802104   258   1,727 SH    X           1,727
GRAINGER W W INC                       COM    384802104   120     800 SH          X       425          375
GREAT PLAINS ENERGY INC                COM    391164100     2     100 SH    X             100
GREATER CHINA FUND INC                 COM    39167B102     3     307 SH    X             307
GUESS INC                              COM    401617105   297  10,434 SH    X          10,434
GUESS INC                              COM    401617105   138   4,859 SH          X                  4,859
HCC INS HLDGS INC                      COM    404132102   343  12,662 SH    X          12,312          350
HCC INS HLDGS INC                      COM    404132102   155   5,726 SH          X                  5,726
HANCOCK HLDG CO                        COM    410120109   204   7,604 SH    X           7,604
HANCOCK HLDG CO                        COM    410120109    94   3,509 SH          X                  3,509
HANOVER INS GROUP INC                  COM    410867105   278   7,835 SH    X           7,835
HANOVER INS GROUP INC                  COM    410867105   128   3,619 SH          X                  3,619
HARRIS CORP DEL                        COM    413875105    92   2,707 SH    X           2,707
HARRIS CORP DEL                        COM    413875105   118   3,439 SH          X     2,039        1,400
HARTFORD FINL SVCS GROUP INC           COM    416515104   241  14,955 SH    X          14,060          895
H J HEINZ CO                           COM    423074103    76   1,500 SH    X           1,500
HENRY JACK & ASSOC INC                 COM    426281101     9     319 SH    X             319
HEWLETT PACKARD CO                     COM    428236103   144   6,439 SH    X           6,439
HEWLETT PACKARD CO                     COM    428236103   295  13,145 SH          X     9,922        3,223
HEXCEL CORPORATION                     COM    428291108     9     400 SH          X             400
HILL-ROM HOLDINGS INC                  COM    431475102    30   1,000 SH          X           1,000
HILLENBRAND INC                        COM    431571108    18   1,000 SH          X           1,000
HOME DEPOT                             COM    437076102    33   1,022 SH    X           1,022
HONEYWELL INTL INC                     COM    438516106   667  15,200 SH    X          15,200
HONEYWELL INTL INC                     COM    438516106   103   2,350 SH          X           2,350      0
HOSPIRA INC                            COM    441060100   457  12,352 SH          X    12,352
HUMANA INC                             COM    444859102 6,945  95,497 SH    X          92,392        3,105
HUMANA INC                             COM    444859102 1,408  19,360 SH          X     4,245   315 14,800





                                                                                    
ITT CORP NEW                                        COM    450911102    282   6,718 SH    X           6,718
ICAHN ENTERPRISES LP                              DEP UNIT 451100101      8     225 SH    X             225
THE INDIA FUND INC                                  COM    454089103      6     200 SH    X             200
IMAGING3 INC                                        COM    45248F103     22 250,000 SH    X         250,000
INTEL CORP                                          COM    458140100    813  38,120 SH    X          38,120
INTEL CORP                                          COM    458140100    626  29,328 SH          X    24,608        4,720
INTERCONTINENTALEXCHANGE INC                        COM    45865V100    220   1,864 SH    X           1,864
INTERFACE INC                                       CL A   458665106    331  27,919 SH    X          27,919
INTERFACE INC                                       CL A   458665106    155  13,034 SH          X                 13,034
INTERNATIONAL BUSINESS MACHS                        COM    459200101 16,251  92,929 SH    X          89,172        3,757
INTERNATIONAL BUSINESS MACHS                        COM    459200101  5,434  31,074 SH          X    15,343 1,560 14,171
INTERSIL CORP                                       CL A   46069S109    210  20,419 SH    X          20,419
INTERSIL CORP                                       CL A   46069S109     98   9,510 SH          X                  9,510
INTERPUBLIC GROUP COS INC                           COM    460690100    380  52,780 SH    X          52,780
INTUITIVE SURGICAL INC                            COM NEW  46120E602    155     425 SH    X             425
INTUITIVE SURGICAL INC                            COM NEW  46120E602    109     300 SH          X       300
ISHARES BARCLAYS TIPS BD FD                                464287176     15     135 SH    X             135
ISHARES DOW JONES TRANS AVER                               464287192     19     250 SH    X             250
ISHARES S&P 500 INDEX FUND ETF                             464287200    212   1,867 SH    X           1,867
ISHARES - MSCI EMERGING MARKETS                            464287234     39   1,125 SH    X             405   720
ISHARES IN IBOXX USD INVT GRADE CORP BD                    464287242     13     120 SH    X             120
ISHARES S&P NORTH AMERICAN NATURAL RESOURCES               464287374     28     849 SH    X             849
ISHARES BARCLAYS 1-3 YR TREAS BOND                         464287457      8     102 SH    X             102
ISHARES MSCI EAFE FD ETF                                   464287465     30     634 SH    X             634
ISHARES RUSSELL MIDCAP VAL INDEX FUND                      464287473     46   1,200 SH    X           1,200
ISHARES RUSSELL MIDCAP GROWTH INDEX FD                     464287481     10     210 SH    X             210
ISHARES TR COHEN & STEERS REALTY MAJOR                     464287564      9     150 SH    X             150
ISHARES S&P MID CAP 400 GROWTH                             464287606     16     183 SH          X             183
ISHARES RUSSELL 1000 GROWTH INDEX FD                       464287614     94   1,790 SH    X           1,790
ISHARES RUSSELL 2000 VALUE INDEX FD                        464287630     23     400 SH    X             400
ISHARES - S&P MID CAP 400 VALUE                            464287705     13     203 SH          X             203
ISHARES - S&P SMALL CAP 600 GROWTH                         464287887     61     949 SH    X             949
ISHARES MSCI ALL COUNTRY ASIA/JAPAN                        464281182     28     600 SH    X             600
ISHARES $ HIGH YIELD CORP BD FD                            464288513     11     130 SH    X             130
JPMORGAN & CHASE & CO                               COM    46625H100 10,826 359,451 SH    X         348,708       10,743
JPMORGAN & CHASE & CO                               COM    46625H100  2,858  94,883 SH          X    36,583 5,199 53,101
JMP GROUP INC                                       COM    46629U107     48   8,330 SH    X           8,330
JMP GROUP INC                                       COM    46629U107     23   3,889 SH          X                  3,889
JOHNSON & JOHNSON                                   COM    478160104  1,383  21,706 SH    X          20,273        1,433
JOHNSON & JOHNSON                                   COM    478160104  1,704  26,755 SH          X    21,859 1,300  3,596
JOHNSON CTLS INC                                    COM    478366107      2      58 SH    X              58
JUNIPER NETWORKS INC                                COM    48203R104      1      30 SH    X              30
KELLOGG CO                                          COM    487836108    494   9,273 SH    X           9,273
KELLOGG CO                                          COM    487836108     91   1,715 SH          X     1,715
KEYCORP NEW                                         COM    493267108      2     400 SH    X             400
KENNAMETAL INC                                      COM    489170100    219   6,676 SH    X           6,676
KIMBALL INTL INC                                    CL A   494274202     85  17,500 SH    X          16,000        1,500
KIMBERLY CLARK CORP                                 COM    494368103    981  13,814 SH    X          13,614          200
KIMBERLY CLARK CORP                                 COM    494368103    176   2,470 SH          X     1,550          920
KINDER MORGAN ENERGY PARTNERS                      UT LP   494550106     14     200 SH    X             200
KRAFT FOODS INC                                     CL A   50075N104    573  17,056 SH    X          16,725          331
KRAFT FOODS INC                                     CL A   50075N104    476  14,173 SH          X    14,023          150
LABORATORY CORP NEW                                 COM    50540R409      8     100 SH          X             100
LAM RESH CORP                                       COM    512807108      1      18 SH    X              18





                                                                        
LANDAUER INC                           COM     51476K103     50   1,000 SH          X           1,000
LAS VEGAS SANDS CORP                   COM     517834107     38   1,000 SH    X           1,000
LENDER PROCESSING SVCS INC             COM     52602E102    151  11,020 SH    X          11,020
LEUCADIA NATL CORP                     COM     527288104    449  19,805 SH    X          19,805
LEXMARK INTL NEW                       CL A    529771107    342  12,670 SH    X          12,670
LIFE TECHNOLOGIES CORP                 COM     53217V109    284   7,388 SH    X           6,751          637
LILLY ELI & CO                         COM     532457108  1,093  29,563 SH    X          29,563
LILLY ELI & CO                         COM     532457108    547  14,768 SH          X     6,750   400  7,618
LINCOLN NATL CORP IND                  COM     534187109    209  13,370 SH    X          13,370
LINCOLN NATL CORP IND                  COM     534187109     49   3,112 SH          X           2,000  1,112
LOCKHEED MARTIN CORP COM               COM     539830109    600   8,254 SH    X           8,254
LOWES COS INC                          COM     548661107     38   1,920 SH    X           1,920
LOWES COS INC                          COM     548661107    197  10,167 SH          X     7,867        2,300
M&T BK CORP                            COM     55261F104     65     924 SH    X             924
MFS CHARTER INCOME TRUST            SH BEN INT 552727109     96  11,305 SH    X          11,305
MFS CHARTER INCOME TRUST            SH BEN INT 552727109     21   2,500 SH          X                  2,500
MGE ENERGY INC                         COM     55277P104     26     649 SH    X             649
MACY'S GROUP INC                       COM     55616P104      8     300 SH    X             300
MANULIFE FINL CORP                   COM ADR   56501R106     11   1,000 SH    X           1,000
MASTERCARD INC                         COM     57636Q104      1       4 SH    X               4
MATTEL INC                             COM     577081102     39   1,502 SH    X           1,502
MCDONALDS CORP                         COM     580135101 16,608 189,116 SH    X         180,151        8,965
MCDONALDS CORP                         COM     580135101  4,482  51,039 SH          X    20,741 1,868 28,430
MCGRAW-HILL COS INC                    COM     580645109     55   1,329 SH    X           1,329
MEDCO HEALTH SOLUTIONS INC             COM     58405U102     58   1,248 SH    X           1,248
MEDCO HEALTH SOLUTIONS INC             COM     58405U102    274   5,845 SH          X     5,411   434
MEDTRONIC INC                          COM     585055106      3     100 SH    X             100
MERCADOLIBRE INC                       COM     58733R102    297   5,519 SH    X           5,395          124
MERCK & CO INC NEW                     COM     58933Y105  1,679  51,340 SH    X          50,374          966
MERCK & CO INC NEW                     COM     58933Y105    892  27,264 SH          X    20,208 1,900  5,156
MERCURY GEN CORP NEW                   COM     589400100     67   1,760 SH    X           1,760
METLIFE INC                            COM     59156R108  8,901 317,799 SH    X         307,181       10,618
METLIFE INC                            COM     59156R108  2,005  71,583 SH          X    20,859   647 50,077
MICROSOFT CORP                         COM     594918104    411  16,503 SH    X          15,462        1,041
MICROSOFT CORP                         COM     594918104    346  13,869 SH          X     7,796        6,073
MICROCHIP TECHNOLOGY INC               COM     595017104    246   7,901 SH    X           7,901
MICROCHIP TECHNOLOGY INC               COM     595017104     93   2,991 SH          X     2,991
MID-AMER APT CMNTYS INC                COM     59522J103    146   2,426 SH    X           2,426
MID-AMER APT CMNTYS INC                COM     59522J103     68   1,133 SH          X                  1,133
MONSANTO CO                            COM     6166W101       7     116 SH    X             116
MONSANTO CO                            COM     6166W101      31     510 SH          X             510
MORGAN STANLEY                         COM     617446448      4     312 SH          X             312
MOTOROLA SOLUTIONS INC NEW             COM     620076307      6     143 SH    X             143
MOTOROLA MOBILITY HLDGS INC            COM     620097105      5     125 SH    X             125
NYSE EURONEXT                          COM     629491101     41   1,770 SH    X           1,770
NATIONAL FUEL GAS CO NJ                COM     636180101     37     751 SH    X             751
NATIONAL OILWELL CO                    COM     651229106      9     168 SH    X             168
NATIONAL RETAIL PROPERTIES I           COM     637417106    148   5,507 SH    X           5,507
NATIONAL RETAIL PROPERTIES I           COM     637417106     69   2,568 SH          X                  2,568
NETSCOUT SYS INC                       COM     64115T104    117  10,205 SH    X          10,205
NEWELL RUBBERMAID INC                  COM     651229106    148  12,481 SH    X          12,481
NEWMONT MINING CORP                    COM     651639106    378   6,000 SH    X           6,000
NEXTERA ENERGY INC                     COM     65339F101    587  10,879 SH    X          10,404          475
NEXTERA ENERGY INC                     COM     65339F101    527   9,751 SH          X     8,854          897
NICOR INC                              COM     654086107    456   8,295 SH    X           8,295





                                                                                        
NIKE INC                                             CL B     654106103     27     312 SH    X             112    200
NISOURCE INC                                         COM      65473P105     98   4,588 SH    X           4,588
NOBLE ENERGY INC                                     COM      655044105 11,248 158,868 SH    X         154,271          4,597
NOBLE ENERGY INC                                     COM      655044105  2,503  35,356 SH          X    10,732    280  24,344
NORFOLK SOUTHERN CORPORATION                         COM      655844108    102   1,668 SH    X           1,668
NORTHERN TR CORP                                     COM      665859104    141   4,034 SH    X           4,034
NORTHERN TR CORP                                     COM      665859104    183   5,225 SH          X     4,615            610
NUCOR CORPORATION                                    COM      670346105     33   1,033 SH    X           1,033
NUVEEN INSURED QUALITY MUNICIPAL FUND                COM      67062N103     22   1,575 SH    X           1,575
NUVEEN MUNICIPAL VALUE FUND INC                      COM      670928100      8     868 SH    X             868
NUVEEN QUALITY INCOME MUNICIPAL                      COM      670977107      7     500 SH          X              500
NUVEEN INS MUNICIPAL OPPORTUNITY FUND                COM      670984103     22   1,515 SH    X           1,515
OCCIDENTAL PETROLEUM CORP                            COM      674599105    131   1,828 SH    X           1,828
NVIDIA CORP                                          COM      67066G104    134  10,696 SH    X          10,696
OLD NATL BANCORP IND                                 COM      680033107  9,168 983,738 SH    X         319,422        664,316
OLD NATL BANCORP IND                                 COM      680033107  4,089 438,782 SH          X    35,348 11,582 391,852
OLIN CORP                                         COM PAR $1  680665205    186  10,322 SH    X          10,322
OLIN CORP                                         COM PAR $1  680665205     87   4,808 SH          X                    4,808
OMNICARE INC                                         COM      681904108    454  17,841 SH    X          17,841
OMNICARE INC                                         COM      681904108     50   1,952 SH          X                    1,952
OMNICOM GROUP INC                                    COM      681919106    391  10,601 SH    X          10,601
ORACLE CORP                                          COM      68389X105 10,998 382,670 SH    X         370,360         12,310
ORACLE CORP                                          COM      68389X105  2,591  90,156 SH          X    29,307  4,074  56,775
PG&E CORP                                            COM      69331C108     42   1,000 SH          X            1,000
PNC FINL SERVICES                                    COM      693475105     64   1,330 SH    X                  1,330
PPG INDS INC                                         COM      693506107     52     729 SH    X             640             89
PPG INDS INC                                         COM      693506107    213   3,008 SH          X     3,008
PVH CORP                                             COM      693656100    212   3,648 SH    X           3,648
PACAAR INC                                           COM      693718108      1      32 SH    X              32
PACKAGING CORP AMER                                  COM      695156109     61   2,638 SH    X           2,638
PATTERSON COMPANIES INC                              COM      703395103      3     120 SH    X             120
PEABODY ENERGY CORP                                  COM      704549104    206   6,094 SH    X           5,628            466
PEABODY ENERGY CORP                                  COM      704549104      1      44 SH          X        44
PEPCO HOLDING INC                                    COM      713291102     19   1,000 SH    X           1,000
PEPSICO INC                                          COM      713448108  3,252  52,534 SH    X          51,234          1,300
PEPSICO INC                                          COM      713448108  1,306  21,087 SH          X    17,132  1,200   2,755
PFIZER INC                                           COM      717081103  1,133  64,054 SH    X          62,007          2,047
PFIZER INC                                           COM      717081103    498  28,162 SH          X    23,096  2,096   2,970
PHARMACEUTICAL PROD DEV INC                          COM      717124101     41   1,598 SH    X           1,598
PHILIP MORRIS INTL INC                               COM      718172109    978  15,676 SH    X          15,676
PHILIP MORRIS INTL INC                               COM      718172109    427   6,850 SH          X     6,850
PIEDMONT NATURAL GAS INC                             COM      720186105     68   2,350 SH    X           2,350
PITNEY BOWES INC                                     COM      724479100     10     510 SH    X             510
PLAINS ALL AMERICAN PIPELINE                       UNIT LP    726503105     18     300 SH    X             300
POWERSHARES QQQ TR                                UNIT SER 1  73935A104     14     270 SH    X             270
POWERSHARES DB COMMODITY INDEX TRAC              UNIT BEN INT 73935S105     29   1,118 SH    X           1,118
                                                   WNDRHLL
POWERSHARES WILDERHILL CLEAN ENERGY                 CLN EN    73935X500      4     670 SH    X             670
PLUM CREEK TIMBER CO INC                             COM      729251108    341   9,820 SH    X           9,820
PRAXAIR INC                                          COM      74005P104 13,139 140,556 SH    X         136,274          4,282
PRAXAIR INC                                          COM      74005P104  3,137  33,555 SH          X    11,075    252  22,228
PROCTOR & GAMBLE CO                                  COM      742718109    911  14,423 SH    X          14,423
PROCTOR & GAMBLE CO                                  COM      742718109    711  11,251 SH          X     8,221          3,030
PROGRESS ENERGY INC                                  COM      743263105     49     942 SH    X             942
PRUDENTIAL FINL INC                                  COM      744320102      7     146 SH    X             146





                                                                          
PRUDENTIAL FINL INC                     COM      744320102      5     100 SH          X       100
PUTNAM MASTER INT INCOME             SH BEN INT  746909100      8   1,541 SH    X           1,541
PUBLIC SVC ENTERPRISE GROUP             COM      744573106    443  13,271 SH    X          12,914          357
PUBLIC SVC ENTERPRISE GROUP             COM      744573106     11     334 SH          X       334
QEP RES INC                             COM      74733V100    352  13,000 SH          X    13,000
QUALCOMM INC                            COM      747525103 10,542 216,769 SH    X         210,214        6,555
QUALCOMM INC                            COM      747525103  2,219  45,618 SH          X    11,942   635 33,041
QUANTA SVCS INC                         COM      74762E106  6,236 331,850 SH    X         322,135        9,715
QUANTA SVCS INC                         COM      74762E106  1,286  68,430 SH          X    17,711   591 50,128
QUESTAR CORP                            COM      748356102    195  11,000 SH          X    11,000
RPM INTERNATIONAL INC                   COM      749685103      4     200 SH          X             200
RAYTHEON CO                             CL B     755111507     11     275 SH    X             275
REX ENERGY CORPORATION                  COM      761565100    172  13,590 SH    X          13,590
ROGERS COMMUNICATIONS INC               CL B     775109200     26     772 SH    X             772
ROPER INDS INC NEW                      COM      776696106    224   3,246 SH    X           3,246
ROYAL DUTCH SHELL PLC                   CL B     780259107     47     759 SH    X             759
ROYAL DUTCH SHELL PLC                   ADR      780259206     80   1,300 SH    X           1,300
SBA COMMUNICATIONS CORP                 COM      78388J106    222   6,445 SH    X           6,445
SAIC INC                                COM      78390X101    124  10,535 SH    X          10,535
SPDR TRUST UNIT SER 1 S&P 500 ETF     TR UNIT    78462F103    360   3,176 SH    X           3,176
SPDR GOLD TRUST SHS                   GOLD SHS   78463V107     88     363 SH    X             363
SARA LEE CORPORATION                    COM      803111103      7     400 SH    X             400
SARA LEE CORPORATION                    COM      803111103     18   1,120 SH          X                  1,120
SCANA                                   COM      80589M102     67   1,651 SH    X           1,651
SCHLUMBERGER LTD                        COM      806857108 10,249 171,570 SH    X         166,548        5,022
SCHLUMBERGER LTD                        COM      806857108  2,356  39,445 SH          X    14,158 1,017 24,270
SCHOLASTIC CORP                         COM      807066105    149   5,304 SH    X           5,304
SCHOLASTIC CORP                         COM      807066105     69   2,473 SH          X                  2,473
                                        SBI
SELECT SECTOR SPDR TR                HEALTHCARE  81369Y209 17,221 542,706 SH    X         526,301       16,405
                                        SBI
SELECT SECTOR SPDR TR                HEALTHCARE  81369Y209  3,768 118,734 SH          X    31,661 1,322 85,751
                                      SBI CONS
SELECT SECTOR SPDR TR                  DISCR     81369Y407  4,348 124,726 SH    X         121,038        3,688
                                      SBI CONS
SELECT SECTOR SPDR TR                  DISCR     81369Y407    910  26,125 SH          X     7,153   224 18,748
SELECT SECTOR SPDR TR               SBI INT-FINL 81369Y605    491  41,571 SH    X          41,571
SELECT SECTOR SPDR TR               SBI INT-FINL 81369Y605    166  14,050 SH          X     8,650 5,400
SELECT SECTOR SPDR TR                   TECH     81369Y803      9     400 SH    X             400
SEMPRA ENERGY                           COM      816851109     19     366 SH    X             366
SHERWIN-WILLIAMS CO                     COM      824348106      7     100 SH    X             100
SIMON PPTY GROUP INC NEW                COM      828806109     85     776 SH    X             646          130
SIMON PPTY GROUP INC NEW                COM      828806109    168   1,525 SH          X     1,525
SMITH A O                               COM      831865209    294   9,186 SH    X           9,186
SMITH A O                               COM      831865209    137   4,292 SH          X                  4,292
SNAP ON INC                             COM      833034101    253   5,708 SH    X           5,708
SNAP ON INC                             COM      833034101    118   2,647 SH          X                  2,647
SONIC AUTOMOTIVE INC                    CL A     83545G102     96   8,900 SH    X           8,900
SONIC AUTOMOTIVE INC                    CL A     83545G102     44   4,068 SH          X                  4,068
SOUTHERN CO                             COM      842587107  1,041  24,542 SH    X          23,782          760
SOUTHERN CO                             COM      842587107    280   6,609 SH          X     2,000        4,609
SPECTRA ENERGY CORP                     COM      847560109    520  21,191 SH    X          21,191
SPECTRA ENERGY CORP                     COM      847560109     94   3,840 SH          X     3,540    50    250
STANCORP FINL GROUP INC                 COM      852891100    394  14,276 SH    X          14,276





                                                                 
STANCORP FINL GROUP INC             COM 852891100    101   3,648 SH          X                  3,648
STANLEY BLACK & DECKER INC          COM 854502101     50   1,007 SH    X             159   848
STAPLES INC                         COM 855030102      1      52 SH                   52
STERICYCLE INC                      COM 858912108  6,962  86,249 SH    X          83,704        2,545
STERICYCLE INC                      COM 858912108  1,736  21,504 SH          X     7,192   174 14,138
STRATTEC SECURITY CORPORATION       COM 863111100      5     200 SH    X             200
SUNCOR ENERGY INC NEW               COM 867224107    151   5,944 SH    X           5,944
SUNCOR ENERGY INC NEW               COM 867224107     90   3,520 SH          X     1,706        1,814
SUN TRUST BANKS INC                 COM 867914103      9     500 SH    X             500
SYSCO CORP                          COM 871829107    166   6,400 SH    X           6,400
SYSCO CORP                          COM 871829107    107   4,100 SH          X     4,000   100
TECO ENERGY INC                     COM 872375100     43   2,500 SH    X           2,500
TJX COS INC NEW                     COM 872540109  9,096 163,977 SH    X         158,739        5,238
TJX COS INC NEW                     COM 872540109  2,076  37,428 SH          X     9,904 1,897 25,627
TALISMAN ENERGY INC                 COM 87425E107    131  10,657 SH    X          10,606           51
TALISMAN ENERGY INC                 COM 87425E107     25   2,050 SH          X     2,050
TARGET CORP                         COM 87612E106 11,162 227,600 SH    X         220,796        6,804
TARGET CORP                         COM 87612E106  2,749  56,053 SH          X    14,862 6,383 34,808
TELEFLEX INC                        COM 879369106     65   1,218 SH    X           1,218
TEVA PHARMACEUTICAL INDS LTD        ADR 881624209     37   1,000 SH    X           1,000
TEXTRON INC                         COM 883203101    482  27,338 SH    X          27,338
THERMO FISHER SCIENTIFIC INC        COM 883556102 10,796 213,185 SH    X         206,389        6,796
THERMO FISHER SCIENTIFIC INC        COM 883556102  2,506  49,491 SH          X    14,542   492 34,457
THOMAS & BETTS CORP                 COM 884315102    389   9,755 SH    X           9,755
THOMSON REUTERS CORP                COM 884903105     31   1,164 SH    X           1,164
THOR INDS INC                       COM 885160101    144   6,512 SH    X           6,512
THOR INDS INC                       COM 885160101     67   3,026 SH          X                  3,026
3M CO                               COM 88579Y101  1,821  25,372 SH    X          25,026          346
3M CO                               COM 88579Y101    280   3,891 SH          X     2,771   495    625
TIDEWATER INC                       COM 886423102    209   4,963 SH    X           4,413          550
TIDEWATER INC                       COM 886423102     83   1,972 SH          X                  1,972
TIFFANY & CO                        COM 886547108      5      80 SH    X              80
TIME WARNER NEW                     COM 887317303    272   9,059 SH    X           9,059
TORONTO DOMINION BN                 COM 891160509     37     527 SH    X             527
TYSON FOOD INC                      COM 902494103      9     500 SH    X             500
UMB FINL CORP                       COM 902788108    185   5,764 SH    X           5,764
UMB FINL CORP                       COM 902788108     85   2,665 SH          X                  2,665
US BANCORP DEL NEW                  COM 902973304    123   5,206 SH    X           5,206
UNILEVER NV                         ADR 904784709    169   5,355 SH    X           5,355
UNION PAC CORP                      COM 907818108    201   2,465 SH    X           2,190          275
UNION PAC CORP                      COM 907818108    774   9,482 SH          X     9,482
UNITED PARCEL SERVICE               COM 911312106     48     763 SH    X             763
UNITED TECHNOLOGIES CORP COM        COM 913017109  1,342  19,069 SH    X          16,239        2,830
UNITED TECHNOLOGIES CORP COM        COM 913017109    447   6,342 SH          X     4,907   300  1,135





                                                                          
UNITEDHEALTH GROUP                      COM     91324P102      14     300 SH    X             300
UNITEDHEALTH GROUP                      COM     91324P102       7     150 SH          X                    150
V.F. CORPORATION                        COM     918204108     122   1,000 SH    X           1,000
VALSPAR CORP                            COM     920355104     343  10,975 SH    X          10,975
VALSPAR CORP                            COM     920355104     160   5,117 SH          X                  5,117
VANGUARD INTL EQUITY INDEX F        EMR MKT ETF 922042858     945  26,364 SH    X          26,364
VANGUARD INTL EQUITY INDEX F        EMR MKT ETF 922042858     281   7,841 SH          X     5,841        2,000
                                       MSCI
VANGUARD INTL EQUITY INDEX F        EUROPE ETF  922042874       9     218 SH    X             218
VECTREN CORP                            COM     92240G101   6,772 250,079 SH    X         198,733       51,346
VECTREN CORP                            COM     92240G101   1,259  46,523 SH          X    31,681 4,071 10,771
VANGUARD INDEX FDS                   REIT ETF   922908553  15,941 313,361 SH    X         301,841       11,520
VANGUARD INDEX FDS                   REIT ETF   922908553   1,065  20,933 SH          X    19,380   662    891
VANGUARD MID-CAP                        ETF     922908629     104   1,600 SH    X           1,600
VERIZON COMMUNICATIONS                  COM     92343V104     494  13,414 SH    X          10,046        3,368
VERIZON COMMUNICATIONS                  COM     92343V104     503  13,674 SH          X     8,638 1,500  3,536
VIACOM INC NEW                         CL B     92553P201     501  12,940 SH    X          12,940
VICAL INC                               COM     925602104       6   2,500 SH    X           2,500
VISA INC                             COM CL A   92826C839  15,345 179,019 SH    X         173,602        5,417
VISA INC                             COM CL A   92826C839   3,358  39,177 SH          X    11,238   323 27,616
VODAFONE GROUP PLC NEW                  ADR     92857W209      29   1,119 SH    X           1,119
WGL HOLDINGS                            COM     92924F106      25     640 SH    X             640
WSFS FINANCIAL CORP                     COM     929328102       6     200 SH    X             200
WAL MART STORES INC                     COM     931142103   5,616 108,213 SH    X         105,092        3,121
WAL MART STORES INC                     COM     931142103   1,288  24,819 SH          X     7,408 1,391 16,020
WALGREEN CO                             COM     931422109  10,456 317,921 SH    X         308,270        9,651
WALGREEN CO                             COM     931422109   2,425  73,730 SH          X    22,785   662 50,283
WASTE MGMT INC DEL                      COM     94106L109     639  19,642 SH    X          19,642
WATERS CORPORATION                      COM     941848103       8     100 SH    X             100
WELLPOINT INC                           COM     94973V107     652   9,989 SH    X           8,827        1,162
WELLPOINT INC                           COM     94973V107      48     731 SH          X       299          432
WELLS FARGO & CO NEW                    COM     949746101  10,297 426,883 SH    X         412,828       14,055
WELLS FARGO & CO NEW                    COM     949746101   2,259  93,654 SH          X    27,581   799 65,274
WENDYS CO                               COM     95058W100     218  47,509 SH    X          47,509
WENDYS CO                               COM     95058W100     102  22,116 SH          X                 22,116
WESTERN UN CO                           COM     959802109     262  17,145 SH    X          17,145
WESTERN UN CO                           COM     959802109      71   4,650 SH          X     2,650        2,000
WEYERHAUSER                             COM     962166104      48   3,084 SH    X           3,084
WHIRLPOOL CORP                          COM     963320106     262   5,254 SH    X           5,254
WINDSTREAM CORP                         COM     97381W104      19   1,600 SH    X           1,600
WOLVERINE WORLD WIDE INC                COM     978097103     180   5,428 SH    X           5,068          360
WOLVERINE WORLD WIDE INC                COM     978097103      79   2,367 SH          X                  2,367
XCEL ENERGY INC                         COM     98389B100       8     310 SH    X             310
XILINX INC                              COM     983919101     240   8,754 SH    X           7,818          936
XEROX CORP                              COM     984121103     400  57,392 SH    X          57,392
YUM BRANDS INC                          COM     988498101   1,080  21,855 SH    X          21,855
YUM BRANDS INC                          COM     988498101      36     720 SH          X       720
ZIMMER HLDGS INC                        COM     98956P102     340   6,373 SH    X           6,193          180
ZIMMER HLDGS INC                        COM     98956P102      54   1,001 SH          X       720   201     80
                       Final Total                        655,830