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

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 03/31/2011

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., SUITE 700
         DALLAS, TX 75201

13F File Number: 028-11275

The institutional investment Manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: DAVID A. FOLZ
Title: Executive Vice President
Phone: 214-932-6625

Signature, Place, and Date of Signing:


/s/ David A Folz                                Dallas, TX            04/04/2011

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:       169
Form 13F Information Table Value Total:   $88,822
                                        (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                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
ABB LTD SPONSORED   COMMON STOCK      000375204     345     14261    SH           SOLE                           14261
ADR
AFLAC INC COM       COMMON STOCK      001055102     361      6846    SH           SOLE                            6846
AT&T INC COM        COMMON STOCK      00206R102     213      6971    SH           SOLE                   1675
                                                                                  SOLE                            1226
                                                                                  SOLE                                    4070
ABBOTT LABS         COMMON STOCK      002824100     497     10123    SH           SOLE                    700
                                                                                  SOLE                            8125
                                                                                  SOLE                                    1298
                                                     32       645    SH           OTHER                            645
ADECCO S.A.         COMMON STOCK      006754204     242      7306    SH           SOLE                            7306
ADIDAS AG ADR       COMMON STOCK      00687A107     245      7763    SH           SOLE                            7763
AETNA INC NEW COM   COMMON STOCK      00817Y108     245      6550    SH           SOLE                     30
                                                                                  SOLE                            6520
                                                     19       505    SH           OTHER                            505
AIR LIQUIDE ADR     COMMON STOCK      009126202     208      7815    SH           SOLE                            7815
ALLIANZ SE SP ADR   FOREIGN STOCK     018805101     339     24030    SH           SOLE                           24030
1/10 SH
APACHE CORP COM     COMMON STOCK      037411105     418      3190    SH           SOLE                     20
                                                                                  SOLE                            3170
                                                     31       235    SH           OTHER                            235
APPLIED MATLS INC   COMMON STOCK      038222105     373     23900    SH           SOLE                    120
COM                                                                               SOLE                           23780
                                                     29      1840    SH           OTHER                           1840
COLUMN TOTALS                                      3597




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
ARCHER DANIELS      COMMON STOCK      039483102     366     10175    SH           SOLE                     50
MIDLAND CO                                                                        SOLE                           10125
                                                     28       785    SH           OTHER                            785
AUSTRALIA & NEW     COMMON STOCK      052528304     380     15343    SH           SOLE                           15343
ZEALAND BANKING
AXA SPONSORED ADR   COMMON STOCK      054536107     319     15226    SH           SOLE                           15226
BG PLC ADR FIN      COMMON STOCK      055434203     371      2973    SH           SOLE                            2973
INST N
BSD MED CORP DEL    COMMON STOCK      055662100     352     78470    SH           SOLE                  78470
COM
BANCO BILBAO VIZ    COMMON STOCK      05946K101     224     18687    SH           SOLE                           18687
CAYA
BANCO SANTANDER     COMMON STOCK      05965X109     346      3987    SH           SOLE                            3987
CHILE NEW SP ADR
BANK OF AMERICAR    COMMON STOCK      060505104     263     19725    SH           SOLE                     90
CRP BACS                                                                          SOLE                           19635
                                                     18      1355    SH           OTHER                           1355
BANK OF NEW YORK    COMMON STOCK      064058100     237      7925    SH           SOLE                     40
MELLON CORPCOM                                                                    SOLE                            7885
                                                     18       610    SH           OTHER                            610
BARCLAYS BK PLC     MASTER LIMITED    06738C778   11414    222288   PRN           SOLE                 221990
                    PARTNERSHIPS                                                  SOLE                             298
                                                    372      7238   PRN           OTHER                  6630
                                                                                  OTHER                            608
BARCLAYS PLC        COMMON STOCK      06738E204     354     19514    SH           SOLE                           19514
BAXTER INTL INC     COMMON STOCK      071813109     263      4897    SH           SOLE                     20
COM                                                                               SOLE                            4877
                                                     21       390    SH           OTHER                            390
COLUMN TOTALS                                     15346




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
BAXTER INTL INC     COMMON STOCK      071813109      21       390    SH
BAYER A G           COMMON STOCK      072730302     241      3102    SH           SOLE                            3102
SPONSORED ADR
BHP BILLITON LTD    COMMON STOCK      088606108     381      3969    SH           SOLE                            3969
SPONSORED ADR
BRITISH AMERN TOB   COMMON STOCK      110448107     227      2807    SH           SOLE                            2807
PLC SPONSORED
CSL LIMITED ADR     COMMON STOCK      12637N105     286     15462    SH           SOLE                           15462
CVS                 COMMON STOCK      126650100     277      8081    SH           SOLE                     40
                                                                                  SOLE                            8041
                                                     20       595    SH           OTHER                            595
CAMECO CORP COM     COMMON STOCK      13321L108     227      7567    SH           SOLE                            7567
CANADIAN NATURAL    COMMON STOCK      136385101     270      5469    SH           SOLE                            5469
RESOURCES
CANON INC ADR       COMMON STOCK      138006309     272      6278    SH           SOLE                            6278
CHEVRON CORP COM    COMMON STOCK      166764100     458      4265    SH           SOLE                    414
                                                                                  SOLE                            2906
                                                                                  SOLE                                      945
                                                     36       335    SH           OTHER                   150
                                                                                  OTHER                            185
CLP HOLDINGS LTD    COMMON STOCK      18946Q101     152     18832    SH           SOLE                           18832
SPONSORED ADR
COCA COLA           COMMON STOCK      1912EP104     326     12037    SH           SOLE                           12037
HELLENIC BTTLG CO
AMBEV-CIA DE        PREFERRED STOCK   20441W203     331     11683    SH           SOLE                           11683
BEBIDAS DAS
COMPUTER SCIENCES   COMMON STOCK      205363104     250      5138    SH           SOLE                     30
CORP                                                                              SOLE                            5108
COLUMN TOTALS                                      3754




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
COMPUTER SCIENCES   COMMON STOCK      205363104      19       390    SH           OTHER                            390
CORP
CORNING INC COM     COMMON STOCK      219350105     358     17375    SH           SOLE                     90
                                                                                  SOLE                           17285
                                                     30      1430    SH           OTHER                           1430
CRUSADER ENERGY     COMMON STOCK      228834107       1   1110725    SH           SOLE                1110725
GROUP INC COM
DANONE SPONSORED    COMMON STOCK      23636T100     155     11832    SH           SOLE                           11832
ADR
DASSAULT SYS S A    COMMON STOCK      237545108     260      3369    SH           SOLE                            3369
SPONSORED ADR
DEVON ENERGY CORP   COMMON STOCK      25179M103     386      4205    SH           SOLE                     23
NEW COM                                                                           SOLE                            4182
                                                     30       330    SH           OTHER                            330
EDAP TMS S. A.      COMMON STOCK      268311107      35     10000    SH           SOLE                  10000
ENBRIDGE INC COM    COMMON STOCK      29250N105     330      5376    SH           SOLE                            5376
ERICSSON L M TEL    COMMON STOCK      294821608     266     20651    SH           SOLE                           20651
CO ADR B SEK 10
ERSTE BK DER        COMMON STOCK      296036304     238      9378    SH           SOLE                            9378
EXXON               COMMON STOCK      30231G102    3357     39904    SH           SOLE                  11294
                                                                                  SOLE                            1080
                                                                                  SOLE                                    27530
                                                   3674     43675    SH           OTHER                  1000
                                                                                  OTHER                                   42675
FANUC LTD ARD       COMMON STOCK      307305102     409     16314    SH           SOLE                           16314
FRESENIUS           COMMON STOCK      358029106     254      3764    SH           SOLE                            3764
GIVAUDAN S. A. F    COMMON STOCK      37636P108     202     10040    SH           SOLE                           10040
COLUMN TOTALS                                     10004




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
GLAXOSMITHKLINE     COMMON STOCK      37733W105     222      5778    SH           SOLE                    835
PLC SPONSORED                                                                     SOLE                            3078
                                                                                  SOLE                                     1865
GRUPO TELEVISA SA   COMMON STOCK      40049J206     290     11808    SH           SOLE                           11808
DE CV SP ADR
HSBC HLDGS PLC      COMMON STOCK      404280406     355      6856    SH           SOLE                            6856
HALLIBURTON CO      COMMON STOCK      406216101     399      8005    SH           SOLE                     40
COM                                                                               SOLE                            7965
                                                     31       615    SH           OTHER                            615
HENKEL LTD          COMMON STOCK      42550U208     252      4045    SH           SOLE                            4045
PARTNERSHIP SPON
HENNES & MAURITZ    COMMON STOCK      425883105     292     43845    SH           SOLE                           43845
AB ADR
HESS CORP COM       COMMON STOCK      42809H107     572      6713    SH           SOLE                     30
                                                                                  SOLE                            6683
                                                     42       490    SH           OTHER                            490
HONDA MOTOR LTD     COMMON STOCK      438128308     270      7202    SH           SOLE                            7202
AMERN SHS
HONEYWELL INTL      COMMON STOCK      438516106     398      6668    SH           SOLE                     33
                                                                                  SOLE                            6635
                                                     30       510    SH           OTHER                            510
HOSPIRA INC COM     COMMON STOCK      441060100     246      4464    SH           SOLE                     22
                                                                                  SOLE                            4442
                                                     19       345    SH           OTHER                            345
COLUMN TOTALS                                      3418




                                                      FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
ADRINDUSTRIA DED    COMMON STOCK      455793109     323     19984    SH           SOLE                           19984
ISENOF
INFOSYS             COMMON STOCK      456788108     343      4786    SH           SOLE                            4786
TECHNOLOGIES LTD
ISHARES INC MSCI    COMMON STOCK      464286848     215     20868    SH           SOLE                           20868
ISHARES             ETF-EQUITY        464287200     512      3850    SH           OTHER                  3850
ISHARES             ETF-EQUITY        464287465     105      1740    SH           SOLE                    840
                                                                                  SOLE                                      900
                                                    138      2300    SH           OTHER                  2300
ISHARES             ETF-EQUITY        464287507     276      2800    SH           SOLE                   2800
ISHARES             ETF-EQUITY        464287614     295      4872    SH           SOLE                   4872
ISHARES             ETF-EQUITY        464287630     604      8018    SH           SOLE                   8018
ISHARES TR          COMMON STOCK      464288851     298      4000    SH           SOLE                   4000
ISREAL CHEM LTD     COMMON STOCK      465036200     169     10309    SH           SOLE                           10309
J P MORGAN CHASE    MASTER LIMITED    46625H365    3604     94914   PRN           SOLE                  94914
                    PARTNERSHIPS
                                                    232      6103   PRN           OTHER                  5703
                                                                                  OTHER                            400
KBR INC             COMMON STOCK      48242W106     279      7380    SH           SOLE                     40
                                                                                  SOLE                            7340
                                                     22       575    SH           OTHER                            575
KUBOTA CORP         COMMON STOCK      501173207     245      5190    SH           SOLE                            5190
(FORMERLY KUBOTA
KYOCERA CORP        COMMON STOCK      501556203     223      2214    SH           SOLE                            2214
LVMH MOET           COMMON STOCK      502441306     331     10442    SH           SOLE                           10442
HENNESSY LOU VUI
LOUISIANA CENT      MASTER LIMITED    546234204     140        50    PRN          SOLE                     50
COLUMN TOTALS                                      8354




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
LOUISIANA CENT      MASTER LIMITED    546234204     140        50   PRN
OIL & GAS CO UT     PARTNERSHIPS                    112        40   PRN           OTHER                    40
MEDTRONIC           COMMON STOCK      585055106     386      9806    SH           SOLE                     50
                                                                                  SOLE                            9756
                                                     30       750    SH           OTHER                            750
METLIFE INC         COMMON STOCK      59156R108     377      8420    SH           SOLE                     40
                                                                                  SOLE                            8380
                                                     28       615    SH           OTHER                            615
METTLER TOLEDO      COMMON STOCK      592688105     323      1879    SH           SOLE                            1879
INTERNATIONALCOM
MOL MAGYAR          COMMON STOCK      608464202     278      4384    SH           SOLE                            4384
OLAJ-ES GAZIPARI
MOTOROLA MOBILITY   COMMON STOCK      620097105     355     14535    SH           SOLE                     70
HOLDINGS                                                                          SOLE                           14465
                                                     28      1130    SH           OTHER                           1130
MUNICH RE GROUP     COMMON STOCK      626188106     249     15794    SH           SOLE                           15794
ADR
NATIONAL OILWELL    COMMON STOCK      637071101     413      5215    SH           SOLE                     20
VARCO INC COM                                                                     SOLE                            5195
                                                     29       365    SH           OTHER                            365
NESTLE S A          COMMON STOCK      641069406     272      4731    SH           SOLE                            4731
SPONSORED ADR
NIDEC CORP          COMMON STOCK      654090109     269     12436    SH           SOLE                           12436
SPONSORED ADR
NITTO DENKO CORP    COMMON STOCK      654802206     277      5191    SH           SOLE                            5191
NORFOLK SOUTHERN    COMMON STOCK      655844108     413      5965    SH           SOLE                     30
COLUMN TOTALS                                      3839




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
NORFOLK SOUTHERN    COMMON STOCK      655844108     413      5965    SH           SOLE                            5935
CORP COM
                                                     33       475    SH           OTHER                            475
NOVARTIS A G        COMMON STOCK      66987V109     307      5651    SH           SOLE                    575
SPONSORED ADR                                                                     SOLE                            3591
                                                                                  SOLE                                     1485
ON SEMICONDUCTOR    COMMON STOCK      682189105     246     24995    SH           SOLE                    130
CORP                                                                              SOLE                           24865
                                                     19      1930    SH           OTHER                           1930
OWENS ILL INC COM   COMMON STOCK      690768403     239      7915    SH           SOLE                     40
NEW                                                                               SOLE                            7875
                                                     18       605    SH           OTHER                            605
POSCO SPONSORED     COMMON STOCK      693483109     225      1966    SH           SOLE                            1966
ADR
PHILIP MORRIS       COMMON STOCK      718172109     225      3423    SH           SOLE                            3423
INTL INC COM
PRUDENTIAL PLC      COMMON STOCK      74435K204     427     18810    SH           SOLE                           18810
ADR
RALCORP HLDGS INC   COMMON STOCK      751028101     267      3895    SH           SOLE                     20
NEW COM                                                                           SOLE                            3875
                                                     21       310    SH           OTHER                            310
RECKITT BENCKISER   COMMON STOCK      756255105     222     21435    SH           SOLE                           21435
GROUP PLC ADR
SKF AG ADR          COMMON STOCK      784375404     360     12380    SH           SOLE                           12380
SANDVIK AB ADR      COMMON STOCK      800212201     339     17937    SH           SOLE                           17937
SIEMENS A G         COMMON STOCK      826197501     433      3151    SH           SOLE                            3151
SPONSORED ADR
COLUMN TOTALS                                      3381




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
SMITH & NEPHEW      COMMON STOCK      83175M205     235      4166    SH           SOLE                            4166
PLC SPDN ADR NEW
SOCIEDAD QUIMICA    COMMON STOCK      833635105     202      3653    SH           SOLE                            3653
Y MINERA DE
SPRINT NEXTEL       COMMON STOCK      852061100     385     83000    SH           SOLE                    430
CORP COM FON                                                                      SOLE                           82570
                                                     30      6420    SH           OTHER                           6420
SVENSKA CELLULOSA   COMMON STOCK      869587402     162     10000    SH           SOLE                           10000
SYNGENTA AG         COMMON STOCK      87160A100     224      3430    SH           SOLE                            3430
SPONSORED ADR
TAIWAN              COMMON STOCK      874039100     282     23119    SH           SOLE                           23119
SEMICONDUCTOR MFG
TARGET CORP         COMMON STOCK      87612E106     370      7405    SH           SOLE                     35
                                                                                  SOLE                            7370
                                                     29       575    SH           OTHER                            575
TELEFONICA S A      COMMON STOCK      879382208     237      9411    SH           SOLE                            9411
SPONSORED ADR
TEVA                FOREIGN STOCK     881624209     463      9235    SH           SOLE                     23
PHARMACEUTICAL                                                                    SOLE                            9212
INDS LTDADR
                                                     19       375    SH           OTHER                            375
TEXAS CAPITAL       COMMON STOCK      88224Q107    1369     52661    SH           SOLE                                    52661
BANCSHARES, INC.
TEXTRON INC         COMMON STOCK      883203101     216      7884    SH           SOLE                            7884
TIME WARNER INC     COMMON STOCK      887317303     261      7310    SH           SOLE                     40
                                                                                  SOLE                            7270
                                                     20       565    SH           OTHER                            565
COLUMN TOTALS                                      4504




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
TIME WARNER INC     COMMON STOCK      887317303      20       565    SH
TORONTO DOMINION    COMMON STOCK      891160509     556      6277    SH           SOLE                            6277
BK ONT COM NEW
UNILEVER N V N Y    COMMON STOCK      904784709     378     12040    SH           SOLE                   1090
SHS NEW                                                                           SOLE                            8270
                                                                                  SOLE                                     2680
                                                     20       645    SH           OTHER                            645
UNION               COMMON STOCK      907818108     259      2634    SH           SOLE                     14
                                                                                  SOLE                            2620
                                                     19       195    SH           OTHER                            195
UNITED OVERSEAS     COMMON STOCK      911271302     398     13409    SH           SOLE                           13409
BK LTD SPONSORED
VALE S A            COMMON STOCK      91912E105     246      7363    SH           SOLE                            7363
VANGUARD            ETF-EQUITY        922908595    2124     24611    SH           SOLE                  24611
VANGUARD            ETF-EQUITY        922908736   23297    362311    SH           SOLE                 361861
                                                                                  SOLE                             450
                                                   2228     34653    SH           OTHER                 33710
                                                                                  OTHER                            943
VODAFONE GROUP      COMMON STOCK      92857W209     543     18873    SH           SOLE                     70
PLC NEW SPONS ADR                                                                 SOLE                           18803
                                                     21       720    SH           OTHER                            720
WAL MART DE         COMMON STOCK      93114W107     280      9368    SH           SOLE                            9368
MEXICO S A B DE
WESTERN UN CO COM   COMMON STOCK      959802109     396     19070    SH           SOLE                    100
                                                                                  SOLE                           18970
COLUMN TOTALS                                     30765




                           FORM 13F INFORMATION TABLE



                                                  VALUE      SHS                                          VOTING AUTHORITY
NAME OF ISSUER           TITLE                      X        PRN     SH    PUT   INVSTMT    OTHER     -------------------------
SECURITY NAME           OF CLASS        CUSIP     $1000    AMOUNT   PRN   CALL   DISCRTN   MANAGERS     SOLE    SHARED    NONE
-----------------   ---------------   ---------   -----   -------   ---   ----   -------   --------   -------   ------   ------
                                                                                        
WESTERN UN CO COM   COMMON STOCK      959802109     396     19070    SH
                                                     30      1435    SH           OTHER                           1435
WOODSIDE PETE LTD   COMMON STOCK      980228308     232      4735    SH           SOLE                            4735
SPONSORED ADR
COOPER INDUSTRIES   COMMON STOCK      G24140108     261      4020    SH           SOLE                     20
                                                                                  SOLE                            4000
                                                     20       315    SH           OTHER                            315
WILLIS GROUP        COMMON STOCK      G96666105     265      6555    SH           SOLE                     30
HOLDINGS PLC                                                                      SOLE                            6525
                                                     21       520    SH           OTHER                            520
ACE LTD SHS         COMMON STOCK      H0023R105     258      3985    SH           SOLE                     20
                                                                                  SOLE                            3965
                                                     20       315    SH           OTHER                            315
MILLICOM INTL       COMMON STOCK      L6388F110     252      2621    SH           SOLE                            2621
CELLULAR S A SHS
FLEXTRONICS INTL    COMMON STOCK      Y2573F102     475     63574    SH           SOLE                    230
LTD ORD                                                                           SOLE                           63344
                                                     26      3475    SH           OTHER                           3475
COLUMN TOTALS                                      1860
AGGREGATE TOTAL                                   88822