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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 6/30/2007

Check here is Amendment [X]; Amendment Number: 1

This Amendment (Check only one.): [X] is a restatement.
                                  [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:                    M&T Bank Corporation
Address:                 One M&T Plaza
                         Buffalo, NY 14240
Form 13-F File Number:   028-00267

This 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 part of this form.

Person Signing this Report on Behalf of Reporting Manager

Name:  Mark Czarnecki
Title: President
Phone: (716) 842-5291

Signature, Place & Date of Signing:

Mark Czarnecki, President      Buffalo, New York             10/11/2007
--------------------------  ------------------------  ------------------------
       [Signature]               [City, State]                 [Date]

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting managers
    are reported in this report).

[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all
    holdings are reported by other reporting manager(s).)

[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting managers are reported in this report and a portion are reported
    by other reporting managers(s).)



                            FORM 13-F SUMMARY PAGE

                                  AMENDMENT 1

Report Summary:

Number of Other Included Managers:                4
Form 13-F Information Table Entry Total:      3,348
Form 13-F Information Table Value Total:  4,140,178
                                         (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.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

No. Form 13F File Number   Name
--- --------------------   -------------------------------------

 1  028-39800              Manufacturers & Traders Trust Company
 2  028-10910              Zirkin-Cutler Investments, Inc.
 3  028-10909              MTB Investment Advisors, Inc.
 4  028-11878              M&T Trust Company of Delaware, Inc.





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
AFLAC INC             COMMON   001055102    4056      78900    SHARES                X                        78900   0      0
AES CORP COM          COMMON   00130H105   17827     814729    SHARES                X                       814729   0      0
AT&T INC              COMMON   00206R102   16217     390769    SHARES                X                       390769   0      0
ABBOTT LABORATORIES   COMMON   002824100    1122      20950    SHARES                X                        20950   0      0
ABIGAIL ADAMS
  NATIONAL BANCORP    COMMON   003390101       2        137    SHARES                X                          137   0      0
ACTUANT CORP CL A NEW COMMON   00508X203     158       2500    SHARES                X                         2500   0      0
ACUITY BRANDS INC     COMMON   00508Y102      12        200    SHARES                X                          200   0      0
ADOBE SYS INC COM     COMMON   00724F101    1819      45318    SHARES                X                        45318   0      0
ADVANTAGE ENERGY
  INCOME FUND         COMMON   00762L101      49       3500    SHARES                X                         3500   0      0
AES TRUST III PFD     CONV
  CONV 6.75% 10/29    PFD
                      STOCK    00808N202    4420      88200    SHARES                X                        88200   0      0
AETNA INC NEW COM     COMMON   00817Y108      48        980    SHARES                X                          980   0      0
AGILENT TECHNOLOGIES
  INC COM             COMMON   00846U101      88       2288    SHARES                X                         2288   0      0
ALLIANCE HOLDINGS GP
  LP                  COMMON   01861G100      48       1600    SHARES                X                         1600   0      0
ALLIANT TECHSYSTEMS
  INC                 COMMON   018804104      67        675    SHARES                X                          675   0      0
ALLIANCEBERNSTEIN
  HOLDING LP          COMMON   01881G106    2025      23250    SHARES                X                        23250   0      0
ALLIED CAPITAL CORP
  NEW COM             COMMON   01903Q108    2198      70997    SHARES                X                        70997   0      0
ALLIANCE FINANCIAL
  CORP                COMMON   019205103      80       3027    SHARES                X                         3027   0      0
ALLSTATE CORP         COMMON   020002101    3435      55852    SHARES                X                        55852   0      0
ALLTEL CORP           COMMON   020039103    4629      68524    SHARES                X                        68524   0      0
ALNYLAM
  PHARMACEUTICALS INC COMMON   02043Q107      53       3500    SHARES                X                         3500   0      0
ALTRIA GROUP INC      COMMON   02209S103    1620      23100    SHARES                X                        23100   0      0
AMBAC FINANCIAL
  GROUP INC           COMMON   023139108      52        600    SHARES                X                          600   0      0
AMERICA MOVIL
  SA--SPONS ADR SER L COMMON   02364W105     124       2000    SHARES                X                         2000   0      0
AMERICAN CAPITAL
  STRATEGIES LTD      COMMON   024937104    9559     224800    SHARES                X                       224800   0      0
AMERICAN ELECTRIC
  POWER CO INC        COMMON   025537101      23        500    SHARES                X                          500   0      0
AMERICAN ELECTRIC
  TECHNOLOGIES INC    COMMON   025576109       1        160    SHARES                X                          160   0      0
AMERICAN EXPRESS CO   COMMON   025816109    2715      44379    SHARES                X                        44379   0      0
AMERICAN FINANCIAL
  REALTY TRUST        COMMON   02607P305    4700     455450    SHARES                X                       455450   0      0
AMERICAN
  INTERNATIONAL
  GROUP INC           COMMON   026874107   21253     303481    SHARES                X                       303481   0      0
AMERON INTERNATIONAL
  CORP                COMMON   030710107      72        800    SHARES                X                          800   0      0
AMERIPRISE FINANCIAL
  INC                 COMMON   03076C106     158       2490    SHARES                X                         2490   0      0
AMGEN INC COM         COMMON   031162100    1991      36013    SHARES                X                        36013   0      0
ANADARKO PETROLEUM
  CORP                COMMON   032511107     310       5954    SHARES                X                         5954   0      0
ANALOG DEVICES INC    COMMON   032654105     790      21000    SHARES                X                        21000   0      0
ANHEUSER BUSCH COS
  INC COM             COMMON   035229103     956      18322    SHARES                X                        18322   0      0
ANNALY CAPITAL
  MANAGEMENT INC
  (REIT)              COMMON   035710409     108       7500    SHARES                X                         7500   0      0
APACHE CORP COM       COMMON   037411105     471       5774    SHARES                X                         5774   0      0
APARTMENT INVT &
  MGMT CL A           COMMON   03748R101     151       3000    SHARES                X                         3000   0      0
APPLE INC             COMMON   037833100   16916     138610    SHARES                X                       138610   0      0
APPLIED MATERIALS
  INC COM             COMMON   038222105    1779      89575    SHARES                X                        89575   0      0
ARCHER DANIELS
  MIDLAND CO COM      COMMON   039483102     103       3102    SHARES                X                         3102   0      0
ARCHSTONE-SMITH
  TRUST (REIT)        COMMON   039583109    2124      35939    SHARES                X                        35939   0      0
ASPECT MEDICAL
  SYSTEMS
  INCORPORATED        COMMON   045235108      30       2000    SHARES                X                         2000   0      0
ATLAS PIPELINE
  HOLDINGS LP         COMMON   04939R108      67       1600    SHARES                X                         1600   0      0
ATMOS ENERGY CORP     COMMON   049560105      14        476    SHARES                X                          476   0      0
AUTOMATIC DATA
  PROCESSING INC      COMMON   053015103    2530      52198    SHARES                X                        52198   0      0
BB&T CORP COM         COMMON   054937107    2733      67196    SHARES                X                        67196   0      0
BJ'S WHOLESALE CLUB
  INC COM             COMMON   05548J106      14        400    SHARES                X                          400   0      0
BP PLC SPONSORED ADR  COMMON   055622104    1295      17952    SHARES                X                        17952   0      0
BAKER HUGHES INC COM  COMMON   057224107    1123      13350    SHARES                X                        13350   0      0
BANK AMER CORP        COMMON   060505104   19651     401952    SHARES                X                       401952   0      0
BANK NEW YORK INC COM COMMON   064057102    4097      98880    SHARES                X                        98880   0      0
BASIN WATER INC       COMMON   07011T306     174      20000    SHARES                X                        20000   0      0
BAYTEX ENERGY
  TRUST--UNITS        COMMON   073176109      44       2200    SHARES                X                         2200   0      0
BECKMAN COULTER INC   COMMON   075811109    1035      16000    SHARES                X                        16000   0      0
BED BATH & BEYOND
  INC COM             COMMON   075896100      43       1200    SHARES                X                         1200   0      0
BERKSHIRE HATHAWAY
  INC CLASS A         COMMON   084670108    1095         10    SHARES                X                           10   0      0
BERKSHIRE HATHAWAY
  INC CLASS B         COMMON   084670207     469        130    SHARES                X                          130   0      0
BIOGEN IDEC INC       COMMON   09062X103     997      18630    SHARES                X                        18630   0      0
BLACKROCK MARYLAND
  MUNI BD TR          COMMON   09249L105      53       3000    SHARES                X                         3000   0      0
BLACKROCK MUNI
  INTERM DURATION FD  COMMON   09253X102       6        450    SHARES                X                          450   0      0
BOARDWALK PIPELINE
  PARTNERS LP         COMMON   096627104      35       1000    SHARES                X                         1000   0      0
BOEING CO COM         COMMON   097023105      96       1000    SHARES                X                         1000   0      0
BOSTON PROPERTIES
  INC (REIT)          COMMON   101121101     357       3500    SHARES                X                         3500   0      0
BOSTON SCIENTIFIC
  CORP COM            COMMON   101137107     208      13600    SHARES                X                        13600   0      0
BRANDYWINE REALTY
  TRUST (REIT)        COMMON   105368203      83       2900    SHARES                X                         2900   0      0
BRIGHT HORIZONS
  FAMILY SOLUTIONS
  INC                 COMMON   109195107    1446      37150    SHARES                X                        37150   0      0
BRISTOL-MYERS SQUIBB
  CO                  COMMON   110122108    2777      87986    SHARES                X                        87986   0      0
BROADRIDGE FINANCIAL
  SOLUTIONS LLC       COMMON   11133T103      44       2325    SHARES                X                         2325   0      0
BROWN-FORMAN CORP CL
  B                   COMMON   115637209     395       5400    SHARES                X                         5400   0      0
BUCKEYE PARTNERS LP
  UNIT LTD PARTNER    COMMON   118230101     411       8000    SHARES                X                         8000   0      0
BURLINGTON NORTHERN
  SANTA FE CORP       COMMON   12189T104      13        150    SHARES                X                          150   0      0
CBS CORP CL B         COMMON   124857202      11        331    SHARES                X                          331   0      0
CB RICHARD ELLIS
  GROUP INC-A         COMMON   12497T101    2200      60275    SHARES                X                        60275   0      0
CSX CORP              COMMON   126408103      23        512    SHARES                X                          512   0      0
CVS /CAREMARK CORP    COMMON   126650100     452      12400    SHARES                X                        12400   0      0



                                    1 of 7





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CAMDEN PROPERTY
  TRUST (REIT)        COMMON   133131102      33        500    SHARES                X                          500   0      0
CANETIC RESOURCES
  TRUST               COMMON   137513107      50       3100    SHARES                X                         3100   0      0
CANON INC SPONS ADR   COMMON   138006309      12        202    SHARES                X                          202   0      0
CAPITAL ONE
  FINANCIAL CORP      COMMON   14040H105   13363     170361    SHARES                X                       170361   0      0
CAPITALSOURCE INC     COMMON   14055X102   10573     429950    SHARES                X                       429950   0      0
CARDINAL HEALTH
  INCORPORATED        COMMON   14149Y108     424       6000    SHARES                X                         6000   0      0
CARMAX INC            COMMON   143130102     255      10000    SHARES                X                        10000   0      0
CATERPILLAR INC       COMMON   149123101     394       5036    SHARES                X                         5036   0      0
CENTRAL VIRGINIA
  BANKSHARES INC      COMMON   155792104       5        231    SHARES                X                          231   0      0
CERNER CORP           COMMON   156782104     333       6000    SHARES                X                         6000   0      0
CHECKFREE CORP COM    COMMON   162813109      20        500    SHARES                X                          500   0      0
THE CHEESECAKE
  FACTORY             COMMON   163072101      25       1012    SHARES                X                         1012   0      0
CHENIERE ENERGY INC   COMMON   16411R208    1076      27749    SHARES                X                        27749   0      0
CHEVRON CORP          COMMON   166764100    6167      73204    SHARES                X                        73204   0      0
CHICAGO BRIDGE &
  IRON CO N V COM     COMMON   167250109     340       9000    SHARES                X                         9000   0      0
CHOICE HOTELS
  INTERNATIONAL INC   COMMON   169905106      40       1000    SHARES                X                         1000   0      0
CHUBB CORP            COMMON   171232101    5533     102198    SHARES                X                       102198   0      0
CINCINNATI FINL CORP
  COM                 COMMON   172062101     456      10509    SHARES                X                        10509   0      0
CIPHERGEN BIOSYSTEMS
  INCORPORATED        COMMON   17252Y104       0        130    SHARES                X                          130   0      0
CISCO SYSTEMS INC     COMMON   17275R102    9594     344503    SHARES                X                       344503   0      0
CITADEL BROADCASTING
  COMPANY             COMMON   17285T106      13       2012    SHARES                X                         2012   0      0
CITIGROUP INC COM     COMMON   172967101   17970     350364    SHARES                X                       350364   0      0
CITIZENS
  COMMUNICATIONS CO   COMMON   17453B101      49       3200    SHARES                X                         3200   0      0
CITY NATIONAL CORP
  COM                 COMMON   178566105      19        250    SHARES                X                          250   0      0
CLOROX COMPANY        COMMON   189054109     435       7000    SHARES                X                         7000   0      0
COCA COLA CO COM      COMMON   191216100     377       7203    SHARES                X                         7203   0      0
COHEN & STEERS
  QUALITY INC RLTY FD COMMON   19247L106      21       1025    SHARES                X                         1025   0      0
COHEN & STEERS
  ADVANTAGE INC RLTY
  FD                  COMMON   19247W102      22       1000    SHARES                X                         1000   0      0
COHEN & STEERS
  REIT & PFD INC FD   COMMON   19247X100      22        800    SHARES                X                          800   0      0
COHEN & STEERS REIT
  AND UTILITY FUND    COMMON   19247Y108      13        600    SHARES                X                          600   0      0
COLGATE PALMOLIVE CO
  COM                 COMMON   194162103   10619     163749    SHARES                X                       163749   0      0
COMCAST CORP NEW A    COMMON   20030N101    1639      58294    SHARES                X                        58294   0      0
COMCAST CORP-
  SPECIAL CL A        COMMON   20030N200     681      24350    SHARES                X                        24350   0      0
COMMERCE BANCORP INC
  N J                 COMMON   200519106     481      13000    SHARES                X                        13000   0      0
COMPANHIA VALE DO
  RIO DOCE-ADR        COMMON   204412209      22        500    SHARES                X                          500   0      0
COMPTON PETROLEUM
  CORP                COMMON   204940100      37       3700    SHARES                X                         3700   0      0
COMSTOCK
  HOMEBUILDING COS
  INC CL A            COMMON   205684103      10       3500    SHARES                X                         3500   0      0
CONOCOPHILLIPS        COMMON   20825C104     800      10196    SHARES                X                        10196   0      0
CONSTELLATION BRANDS
  INC CL A            COMMON   21036P108    2973     122446    SHARES                X                       122446   0      0
CORNING INC           COMMON   219350105    1293      50590    SHARES                X                        50590   0      0
CORP OFFICE
  PROPERTIES TR
  (REIT)              COMMON   22002T108      49       1200    SHARES                X                         1200   0      0
COSTCO WHOLESALE
  CORP COM            COMMON   22160K105     275       4700    SHARES                X                         4700   0      0
COVENTRY HEALTH CARE
  INC                 COMMON   222862104    7189     124700    SHARES                X                       124700   0      0
CROSSTEX ENERGY LP    COMMON   22765U102      42       1200    SHARES                X                         1200   0      0
CUISINE SOLUTIONS INC COMMON   229904107     154      25500    SHARES                X                        25500   0      0
CURTISS WRIGHT CORP   COMMON   231561101      34        728    SHARES                X                          728   0      0
CYMER INC             COMMON   232572107      12        300    SHARES                X                          300   0      0
DCP MIDSTREAM
  PARTNERS LP         COMMON   23311P100      47       1000    SHARES                X                         1000   0      0
DRS TECHNOLOGIES INC  COMMON   23330X100    1622      28325    SHARES                X                        28325   0      0
DANAHER CORP COM      COMMON   235851102    4228      56001    SHARES                X                        56001   0      0
DELL INC              COMMON   24702R101      31       1100    SHARES                X                         1100   0      0
DEVON ENERGY CORP     COMMON   25179M103      78       1000    SHARES                X                         1000   0      0
DIAMONDS TR UNIT SER
  1                   COMMON   252787106     253       1884    SHARES                X                         1884   0      0
DIONEX CORP           COMMON   254546104    1090      15350    SHARES                X                        15350   0      0
DISNEY WALT CO        COMMON   254687106     867      25400    SHARES                X                        25400   0      0
DOMINION RESOURCES
  INC                 COMMON   25746U109     354       4100    SHARES                X                         4100   0      0
DONNELLEY R R & SONS
  CO                  COMMON   257867101     186       4280    SHARES                X                         4280   0      0
DOW CHEMICAL CO       COMMON   260543103    4864     109975    SHARES                X                       109975   0      0
DUPONT EI DE
  NEMOURS & CO COM    COMMON   263534109    1832      36036    SHARES                X                        36036   0      0
DUKE REALTY CORP      COMMON   264411505     330       9247    SHARES                X                         9247   0      0
DYADIC INTERNATIONAL
  INC                 COMMON   26745T101     111      21000    SHARES                X                        21000   0      0
EMC CORP MASS COM     COMMON   268648102    9613     531099    SHARES                X                       531099   0      0
ENI SPA-SPONS ADR     COMMON   26874R108      15        212    SHARES                X                          212   0      0
EP MEDSYSTEMS INC COM COMMON   26881P103      46      25000    SHARES                X                        25000   0      0
EAGLE BANCORP INC MD  COMMON   268948106    1338      80981    SHARES                X                        80981   0      0
EV ENERGY PARTNER LP  COMMON   26926V107      44       1200    SHARES                X                         1200   0      0
EAST WEST BANCORP INC COMMON   27579R104     389      10000    SHARES                X                        10000   0      0
EASTGROUP PROPERTIES
  INCORPORATED        COMMON   277276101    3328      75950    SHARES                X                        75950   0      0
EBAY INC COM          COMMON   278642103     277       8600    SHARES                X                         8600   0      0
EL PASO CORP COM      COMMON   28336L109     258      15000    SHARES                X                        15000   0      0
EMERSON ELECTRIC CO   COMMON   291011104    3904      83410    SHARES                X                        83410   0      0
ENCANA CORP           COMMON   292505104      61       1000    SHARES                X                         1000   0      0
ENERGY EAST CORP COM  COMMON   29266M109     157       6000    SHARES                X                         6000   0      0
ENERGY TRANSFER
  PARTNERS LP         COMMON   29273R109     105       1700    SHARES                X                         1700   0      0
ENERGY TRANSFER
  EQUITY LP           COMMON   29273V100      47       1100    SHARES                X                         1100   0      0
ENERPLUS RESOURCES
  FUND                COMMON   29274D604      47       1000    SHARES                X                         1000   0      0
ENTERPRISE GP
  HOLDINGS LP         COMMON   293716106      38       1000    SHARES                X                         1000   0      0
ENTERPRISE PRODUCTS
  PARTNERS LP         COMMON   293792107    2650      83300    SHARES                X                        83300   0      0
EQUITY RESIDENTIAL
  (REIT)              COMMON   29476L107      15        325    SHARES                X                          325   0      0
EXPEDITORS INTL WASH
  INC COM             COMMON   302130109     103       2500    SHARES                X                         2500   0      0
EXXON MOBIL CORP      COMMON   30231G102    5980      71300    SHARES                X                        71300   0      0



                                    2 of 7





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
FASTENAL CO           COMMON   311900104     670      16000    SHARES                X                        16000   0      0
FREDDIE MAC           COMMON   313400301   14115     232534    SHARES                X                       232534   0      0
FED NATL MTG ASSN COM COMMON   313586109    1274      19500    SHARES                X                        19500   0      0
FEDERAL REALTY INV
  TR (REIT)           COMMON   313747206     442       5719    SHARES                X                         5719   0      0
FEDEX CORP COM        COMMON   31428X106     227       2050    SHARES                X                         2050   0      0
FIDELITY NATIONAL
  FINANCIAL--A        COMMON   31620R105      34       1441    SHARES                X                         1441   0      0
FIFTH THIRD BANCORP
  COM                 COMMON   316773100    3034      76281    SHARES                X                        76281   0      0
FIRST DATA CORP COM   COMMON   319963104     339      10386    SHARES                X                        10386   0      0
THE FIRST MARBLEHEAD
  CORPORATION         COMMON   320771108    3938     101925    SHARES                X                       101925   0      0
FISERV INC            COMMON   337738108    4441      78186    SHARES                X                        78186   0      0
FIRSTENERGY CORP COM  COMMON   337932107      78       1200    SHARES                X                         1200   0      0
FLANDERS CORPORATION  COMMON   338494107    2682     349773    SHARES                X                       349773   0      0
FLORIDA EAST COAST
  INDUSTRIES          COMMON   340632108      50        600    SHARES                X                          600   0      0
FLOWERS FOODS INC COM COMMON   343498101     158       4724    SHARES                X                         4724   0      0
FORD MOTOR COMPANY    COMMON   345370860     135      14283    SHARES                X                        14283   0      0
FOREST CITY
  ENTERPRISES INC     COMMON   345550107      61       1000    SHARES                X                         1000   0      0
FORTUNE BRANDS INC    COMMON   349631101      21        250    SHARES                X                          250   0      0
GANNETT CO INC        COMMON   364730101     293       5332    SHARES                X                         5332   0      0
GAP INC COM           COMMON   364760108     103       5400    SHARES                X                         5400   0      0
GENERAL AMERICAN
  INVESTORS CO        COMMON   368802104      74       1829    SHARES                X                         1829   0      0
GENERAL
  COMMUNICATIONS INC
  CLASS A             COMMON   369385109       3        200    SHARES                X                          200   0      0
GENERAL DYNAMICS
  CORP COM            COMMON   369550108      16        200    SHARES                X                          200   0      0
GENERAL ELECTRIC
  COMPANY             COMMON   369604103   23626     617186    SHARES                X                       617186   0      0
GENERAL GROWTH PPTYS
  INC                 COMMON   370021107      29        550    SHARES                X                          550   0      0
GENERAL MILLS INC     COMMON   370334104     117       2000    SHARES                X                         2000   0      0
GENESIS ENERGY LP     COMMON   371927104      70       2000    SHARES                X                         2000   0      0
GENUINE PARTS INC     COMMON   372460105     824      16600    SHARES                X                        16600   0      0
GENZYME CORP COM      COMMON   372917104     344       5344    SHARES                X                         5344   0      0
GLADSTONE CAPITAL
  CORP                COMMON   376535100    8088     376905    SHARES                X                       376905   0      0
GLADSTONE COMMERCIAL
  CORP                COMMON   376536108    3418     174406    SHARES                X                       174406   0      0
GLAXOSMITHKLINE PLC
  ADR                 COMMON   37733W105     250       4782    SHARES                X                         4782   0      0
GOLDMAN SACHS GROUP
  INC COM             COMMON   38141G104     228       1050    SHARES                X                         1050   0      0
GOOGLE INC CL A       COMMON   38259P508   12599      24104    SHARES                X                        24104   0      0
GRACO INC COM         COMMON   384109104     161       4000    SHARES                X                         4000   0      0
W W GRAINGER INC COM  COMMON   384802104      93       1000    SHARES                X                         1000   0      0
GREENBRIER COMPANIES
  INC                 COMMON   393657101     592      19600    SHARES                X                        19600   0      0
GREENBRIER COS CONV
  2.375% 5/15/26      COMMON   393657AD3     443     500000    SHARES                X                       500000   0      0
CGI GROUP INC--CL A   COMMON   39945C109      17       1500    SHARES                X                         1500   0      0
JOHN HANCOCK BANK &
  THRIFT OPP FD       COMMON   409735107      15       1616    SHARES                X                         1616   0      0
HARTFORD FINANCIAL
  SVCS GRP INC COM    COMMON   416515104     142       1440    SHARES                X                         1440   0      0
HARVEST ENERGY
  TRUST-UNITS         COMMON   41752X101      56       1800    SHARES                X                         1800   0      0
HEALTH CARE PROPERTY
  (REIT)              COMMON   421915109     183       6316    SHARES                X                         6316   0      0
HEALTHCARE REALTY
  TRUST INC (REIT)    COMMON   421946104     183       6600    SHARES                X                         6600   0      0
HEALTH CARE REIT INC  COMMON   42217K106     182       4500    SHARES                X                         4500   0      0
HEALTHEXTRAS
  INCORPORATED        COMMON   422211102      74       2500    SHARES                X                         2500   0      0
HEALTHWAYS INC        COMMON   422245100      86       1820    SHARES                X                         1820   0      0
HEARTLAND PAYMENT
  SYSTEMS INC         COMMON   42235N108     109       3700    SHARES                X                         3700   0      0
HEINZ H J CO COM      COMMON   423074103     632      13312    SHARES                X                        13312   0      0
THE HERSHEY COMPANY   COMMON   427866108      40        800    SHARES                X                          800   0      0
HEWLETT-PACKARD CO    COMMON   428236103    2066      46304    SHARES                X                        46304   0      0
HILAND PARTNERS LP    COMMON   431291103      38        700    SHARES                X                          700   0      0
HILB ROGAL & HOBBS CO COMMON   431294107     110       2576    SHARES                X                         2576   0      0
HILAND HOLDINGS GP LP COMMON   43129M107      97       2700    SHARES                X                         2700   0      0
HOME DEPOT INC COM    COMMON   437076102    4004     101749    SHARES                X                       101749   0      0
HOME PROPERTIES INC
  (REIT)              COMMON   437306103    7487     144163    SHARES                X                       144163   0      0
HONEYWELL INTL INC
  COM                 COMMON   438516106    1920      34112    SHARES                X                        34112   0      0
HOST HOTELS &
  RESORTS INC         COMMON   44107P104     300      12978    SHARES                X                        12978   0      0
HOUSTON WIRE & CABLE
  CO                  COMMON   44244K109     114       4000    SHARES                X                         4000   0      0
HUMAN GENOME
  SCIENCES INC        COMMON   444903108      16       1840    SHARES                X                         1840   0      0
ISTAR FINL INC COM    COMMON   45031U101    8473     191145    SHARES                X                       191145   0      0
ITT CORP              COMMON   450911102      57        840    SHARES                X                          840   0      0
IDEXX CORP            COMMON   45168D104     189       2000    SHARES                X                         2000   0      0
ILLINOIS TOOL WKS
  INC COM             COMMON   452308109    1603      29580    SHARES                X                        29580   0      0
IMAGEWARE SYSTEMS INC COMMON   45245S108      44      20000    SHARES                X                        20000   0      0
IMPERIAL OIL LTD      COMMON   453038408     139       3000    SHARES                X                         3000   0      0
INERGY HOLDINGS LP    COMMON   45661Q107      46        900    SHARES                X                          900   0      0
ING GROEP NV
  SPONSORED ADR       COMMON   456837103      23        525    SHARES                X                          525   0      0
INSURED MUNICIPAL
  INCOME FD           COMMON   45809F104      39       2964    SHARES                X                         2964   0      0
INTEL CORP COM        COMMON   458140100    1277      53813    SHARES                X                        53813   0      0
INTERACTIVE
  INTELLIGENCE INC    COMMON   45839M103       4        200    SHARES                X                          200   0      0
INTERDIGITAL COMM
  CORP                COMMON   45866A105    3714     115450    SHARES                X                       115450   0      0
INTERNATIONAL
  BUSINESS MACHINES
  CORP                COMMON   459200101   14124     134192    SHARES                X                       134192   0      0
INVESTORS FINANCIAL
  SERVICES CORP       COMMON   461915100    1357      22000    SHARES                X                        22000   0      0
IOWA
  TELECOMMUNICATIONS
  SERVICES            COMMON   462594201      49       2150    SHARES                X                         2150   0      0
IRON MTN INC PA COM   COMMON   462846106     196       7500    SHARES                X                         7500   0      0
ISHARES MSCI
  AUSTRALIA INDEX
  FUND                COMMON   464286103      21        750    SHARES                X                          750   0      0
ISHARES MSCI AUSTRIA
  INDEX FUND          COMMON   464286202      20        500    SHARES                X                          500   0      0
ISHARES MSCI BELGIUM
  INDEX FUND          COMMON   464286301      19        700    SHARES                X                          700   0      0
ISHARES MSCI BRAZIL
  INDEX FUND          COMMON   464286400      24        383    SHARES                X                          383   0      0
ISHARES MSCI CANADA
  INDEX FD            COMMON   464286509      45       1500    SHARES                X                         1500   0      0
ISHARES MSCI PACIFIC
  EX-JAPAN INDEX      COMMON   464286665     366       2500    SHARES                X                         2500   0      0



                                    3 of 7





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
ISHARES MSCI
  SINGAPORE INDEX FD  COMMON   464286673      20       1500    SHARES                X                         1500   0      0
ISHARES MSCI SWEDEN
  INDEX FUND          COMMON   464286756      20        550    SHARES                X                          550   0      0
ISHARES MSCI SPAIN
  INDEX FD            COMMON   464286764      64       1100    SHARES                X                         1100   0      0
ISHARES MSCI GERMANY
  INDEX FD            COMMON   464286806      22        650    SHARES                X                          650   0      0
ISHARES MSCI MEXICO
  INDEX FUND          COMMON   464286822      22        350    SHARES                X                          350   0      0
ISHARES MSCI
  MALAYSIA INDEX FD   COMMON   464286830      20       1700    SHARES                X                         1700   0      0
ISHARES S&P 100
  INDEX FUND          COMMON   464287101     144       2080    SHARES                X                         2080   0      0
ISHARES FTSE/ XINHUA
  CHINA 25            COMMON   464287184     799       6200    SHARES                X                         6200   0      0
ISHARES MSCI
  EMERGING MARKETS
  INDEX               COMMON   464287234      26        200    SHARES                X                          200   0      0
ISHARES S&P GLOBAL
  ENERGY SECT         COMMON   464287341      65        500    SHARES                X                          500   0      0
ISHARES S&P TOPIX
  150 INDEX           COMMON   464287382      19        150    SHARES                X                          150   0      0
ISHARES MSCI EAFE
  INDEX FD            COMMON   464287465    2690      33310    SHARES                X                        33310   0      0
ISHARES RUSSELL MID
  CAP GROWTH INDEX    COMMON   464287481     136       1190    SHARES                X                         1190   0      0
ISHARES S&P MIDCAP
  400 BARRA GRWTH I   COMMON   464287606     699       7750    SHARES                X                         7750   0      0
ISHARES S&P MIDCAP
  400/BARRA VAL IND   COMMON   464287705     415       4788    SHARES                X                         4788   0      0
ISHARES DJ US TECH
  SEC INDEX FD        COMMON   464287721    5782      97143    SHARES                X                        97143   0      0
ISHARES S&P SMALLCAP
  600 INDEX FD        COMMON   464287804      31        440    SHARES                X                          440   0      0
ISHARES S&P EUROPE
  350 INDEX FD        COMMON   464287861      29        250    SHARES                X                          250   0      0
ISHARES DJ US HOME
  CONSTRUCT FD        COMMON   464288752    2478      79150    SHARES                X                        79150   0      0
JDS UNIPHASE CORP     COMMON   46612J507     262      19536    SHARES                X                        19536   0      0
JER INVESTORS TRUST
  INC REIT            COMMON   46614H301    3717     247800    SHARES                X                       247800   0      0
JPMORGAN CHASE & CO   COMMON   46625H100   16236     335118    SHARES                X                       335118   0      0
JETBLUE AIRWAYS
  CORPORATION         COMMON   477143101      10        843    SHARES                X                          843   0      0
JOHNSON & JOHNSON     COMMON   478160104    6801     110371    SHARES                X                       110371   0      0
KKR FINANCIAL CORP
  REIT                COMMON   48248A306    8917     357950    SHARES                X                       357950   0      0
KELLOGG CO COM        COMMON   487836108      41        800    SHARES                X                          800   0      0
KEYCORP NEW COM       COMMON   493267108     934      27200    SHARES                X                        27200   0      0
KIMBERLY CLARK CORP   COMMON   494368103     422       6316    SHARES                X                         6316   0      0
KIMCO REALTY CORP
  (REIT)              COMMON   49446R109     145       3800    SHARES                X                         3800   0      0
KINDER MORGAN ENERGY
  PARTNERS LP         COMMON   494550106    7263     131600    SHARES                X                       131600   0      0
KINDER MORGAN
  MANAGEMENT LLC      COMMON   49455U100    4936      95106    SHARES                X                        95106   0      0
KING PHARMACEUTICALS
  INC COM             COMMON   495582108      22       1066    SHARES                X                         1066   0      0
KNOLOGY INC           COMMON   499183804     445      25642    SHARES                X                        25642   0      0
KONINKLIJKE PHILIPS
  ELEC N V NY SHR     COMMON   500472303      42       1000    SHARES                X                         1000   0      0
KRAFT FOODS INC CL A  COMMON   50075N104     351       9957    SHARES                X                         9957   0      0
LABORATORY CRP OF
  AMER HLDGS COM NEW  COMMON   50540R409   13383     171005    SHARES                X                       171005   0      0
LASERCARD CORP        COMMON   51807U101       5        500    SHARES                X                          500   0      0
LEHMAN BROTHERS
  HLDGS INC COM       COMMON   524908100      15        200    SHARES                X                          200   0      0
LEVEL 3
  COMMUNICATIONS
  INCORPORATED        COMMON   52729N100     228      39000    SHARES                X                        39000   0      0
LIBERTY MEDIA HLDG
  CORP-- INTERACT A   COMMON   53071M104      16        725    SHARES                X                          725   0      0
LIBERTY MEDIA HLDG
  CORP--CAP SER A     COMMON   53071M302      17        145    SHARES                X                          145   0      0
LIBERTY PROPERTY
  TRUST (REIT)        COMMON   531172104      44       1000    SHARES                X                         1000   0      0
LILLY ELI & CO        COMMON   532457108     507       9079    SHARES                X                         9079   0      0
LINCOLN NATIONAL CORP COMMON   534187109    4118      58049    SHARES                X                        58049   0      0
LOCKHEED MARTIN
  CORPORATION COM     COMMON   539830109    1111      11798    SHARES                X                        11798   0      0
LOEWS CORP COM        COMMON   540424108     184       3600    SHARES                X                         3600   0      0
LUMINENT MORTGAGE
  CAPITAL INC         COMMON   550278303      58       5700    SHARES                X                         5700   0      0
M & T BANK CORP       COMMON   55261F104     321       3000    SHARES                X                         3000   0      0
MBIA INC COM          COMMON   55262C100      78       1250    SHARES                X                         1250   0      0
MRV COMMUNICATIONS
  INC                 COMMON   553477100       2        645    SHARES                X                          645   0      0
MAGELLAN MIDSTREAM
  HOLDINGS            COMMON   55907R108      45       1500    SHARES                X                         1500   0      0
MAGELLAN MIDSTREAM
  PARTNERS L.P.       COMMON   559080106    3335      71600    SHARES                X                        71600   0      0
MAGUIRE PROPERTIES
  INC                 COMMON   559775101     137       4000    SHARES                X                         4000   0      0
MANOR CARE INC COM    COMMON   564055101     264       4042    SHARES                X                         4042   0      0
MANULIFE FINANCIAL
  CORP                COMMON   56501R106     955      25600    SHARES                X                        25600   0      0
MARATHON OIL CORP     COMMON   565849106      40        660    SHARES                X                          660   0      0
MARKEL CORP COM       COMMON   570535104     286        590    SHARES                X                          590   0      0
MARKWEST ENERGY
  PARTNERS LP         COMMON   570759100      38       1100    SHARES                X                         1100   0      0
MARSH & MCLENNAN COS
  INC COM             COMMON   571748102      31       1000    SHARES                X                         1000   0      0
MARRIOTT INTL INC CL
  A                   COMMON   571903202    1389      32120    SHARES                X                        32120   0      0
MARTIN MARIETTA
  MATERIALS INC       COMMON   573284106      81        500    SHARES                X                          500   0      0
MASTERCARD INC CL A   COMMON   57636Q104      25        150    SHARES                X                          150   0      0
MCDONALD'S
  CORPORATION         COMMON   580135101      15        300    SHARES                X                          300   0      0
MC GRAW HILL
  COMPANIES INC       COMMON   580645109     102       1500    SHARES                X                         1500   0      0
MEADOW VALLEY
  CORPORATION         COMMON   583185103     313      22220    SHARES                X                        22220   0      0
MEDCO HEALTH
  SOLUTIONS INC       COMMON   58405U102      94       1206    SHARES                X                         1206   0      0
MEDICIS
  PHARMACEUTICAL
  CORP CL A NEW       COMMON   584690309      24        800    SHARES                X                          800   0      0
MEDTRONIC INC         COMMON   585055106   20739     399898    SHARES                X                       399898   0      0
MERCK & CO INC COM    COMMON   589331107     798      16028    SHARES                X                        16028   0      0
MERRILL LYNCH & CO
  INC                 COMMON   590188108    2160      25848    SHARES                X                        25848   0      0
METLIFE CAP TR I      COMMON   59156R108      23        350    SHARES                X                          350   0      0
MICROSOFT CORP        COMMON   594918104    1700      57692    SHARES                X                        57692   0      0
MICROSTRATEGY INC     COMMON   594972408       3         27    SHARES                X                           27   0      0
MID-AMERICA
  APARTMENT
  COMMUNITIES         COMMON   59522J103      79       1500    SHARES                X                         1500   0      0
MIDCAP SPDR TRUST
  SERIES 1 S&P 400    COMMON   595635103     216       1325    SHARES                X                         1325   0      0
MILLENNIUM
  PHARMACEUTICALS COM COMMON   599902103      11       1072    SHARES                X                         1072   0      0
MONOGRAM BIOSCIENCES
  INC                 COMMON   60975U108       8       5000    SHARES                X                         5000   0      0
MOTOROLA INC          COMMON   620076109     372      21000    SHARES                X                        21000   0      0
MURPHY OIL CORP       COMMON   626717102      48        800    SHARES                X                          800   0      0
NYSE EURONEXT         COMMON   629491101      29        400    SHARES                X                          400   0      0
NATIONAL CITY CORP
  COM                 COMMON   635405103     353      10600    SHARES                X                        10600   0      0



                                    4 of 7





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
NATIONWIDE HEALTH
  PROPERTIES (REIT)   COMMON   638620104      54       2000    SHARES                X                         2000   0      0
NATURAL RESOURCE
  PARTNERS L P        COMMON   63900P103     951      25000    SHARES                X                        25000   0      0
NEENAH PAPER INC      COMMON   640079109       0          9    SHARES                X                            9   0      0
NORFOLK SOUTHERN CORP COMMON   655844108      11        200    SHARES                X                          200   0      0
NOVO-NORDISK A/S
  SPONS ADR           COMMON   670100205     271       2500    SHARES                X                         2500   0      0
NU SKIN ENTERPRISES
  INC                 COMMON   67018T105      13        800    SHARES                X                          800   0      0
NUSTAR GP HOLDINGS
  LLC                 COMMON   67059L102      57       1500    SHARES                X                         1500   0      0
NUVEEN MARYLAND PREM
  INC MUN FD          COMMON   67061Q107      36       2600    SHARES                X                         2600   0      0
NUVEEN INSD QUALITY
  MUN FD              COMMON   67062N103      11        760    SHARES                X                          760   0      0
NUVEEN VA DVD ADV
  MUNI BOND FUND      COMMON   67069M108      10        625    SHARES                X                          625   0      0
NUVEEN INSURED PREM
  INC MUNI FD II      COMMON   6706D8104      40       3100    SHARES                X                         3100   0      0
NUVEEN MD DIV
  ADVANTAGE MUN FD 2  COMMON   67070V105      15       1000    SHARES                X                         1000   0      0
NUVEEN VA DVD ADV
  MUNI FD 2           COMMON   67071C106      10        650    SHARES                X                          650   0      0
NUVEEN INVESTMENTS
  INC                 COMMON   67090F106     963      15500    SHARES                X                        15500   0      0
NUVEEN SELECT
  QUALITY MUN FD      COMMON   670973106       7        450    SHARES                X                          450   0      0
NUVEEN INSD MUNI
  OPPORTUNITY         COMMON   670984103       7        500    SHARES                X                          500   0      0
NUVEEN PREMIER INSD
  MUNI INC FD         COMMON   670987106      15       1050    SHARES                X                         1050   0      0
OCCIDENTAL PETE CORP
  COM                 COMMON   674599105     865      14930    SHARES                X                        14930   0      0
ONEOK PARTNERS LP     COMMON   68268N103      41        600    SHARES                X                          600   0      0
ORACLE CORPORATION
  COM                 COMMON   68389X105    1009      51166    SHARES                X                        51166   0      0
O'REILLY AUTOMOTIVE
  INC COM             COMMON   686091109     475      13000    SHARES                X                        13000   0      0
THE PMI GROUP INC     COMMON   69344M101     125       2800    SHARES                X                         2800   0      0
PNC FINANCIAL
  SERVICES GROUP INC  COMMON   693475105    1098      15344    SHARES                X                        15344   0      0
PSS WORLD MED INC COM COMMON   69366A100      91       5000    SHARES                X                         5000   0      0
PACCAR INC            COMMON   693718108     409       4700    SHARES                X                         4700   0      0
PALATIN TECHNOLOGIES
  INC                 COMMON   696077304      10       5000    SHARES                X                         5000   0      0
PARKWAY PROPERTIES
  INCORPORATED        COMMON   70159Q104      72       1500    SHARES                X                         1500   0      0
PAYCHEX INC COM       COMMON   704326107     303       7750    SHARES                X                         7750   0      0
PENGROWTH ENERGY
  TRUST               COMMON   706902509      44       2300    SHARES                X                         2300   0      0
PENNWEST ENERGY TRUST COMMON   707885109      43       1300    SHARES                X                         1300   0      0
PENN VIRGINIA GP
  HOLDINGS LP         COMMON   70788P105      53       1700    SHARES                X                         1700   0      0
PENNEY JC CO INC      COMMON   708160106      72       1000    SHARES                X                         1000   0      0
PENN ESTATE INV TR
  (REIT)              COMMON   709102107      49       1100    SHARES                X                         1100   0      0
PEOPLES UNITED
  FINANCIAL INC       COMMON   712704105     126       7084    SHARES                X                         7084   0      0
PEPCO HOLDINGS INC    COMMON   713291102     103       3655    SHARES                X                         3655   0      0
PEPSICO INC COM       COMMON   713448108    4905      75632    SHARES                X                        75632   0      0
PETROLEO BRASILEIRO
  SA ADR              COMMON   71654V101      23        220    SHARES                X                          220   0      0
PFIZER INC            COMMON   717081103    7889     308558    SHARES                X                       308558   0      0
PHOENIX COS INC COM   COMMON   71902E109      27       1798    SHARES                X                         1798   0      0
PIMCO MUNICIPAL
  INCOME FUND         COMMON   72200R107      16       1000    SHARES                X                         1000   0      0
PITNEY BOWES INC COM  COMMON   724479100     117       2500    SHARES                X                         2500   0      0
PLAINS ALL AMERICAN
  PIPELINE L P        COMMON   726503105    9659     151750    SHARES                X                       151750   0      0
PLUM CREEK TIMBER CO
  INC                 COMMON   729251108      73       1750    SHARES                X                         1750   0      0
POOL CORP             COMMON   73278L105     117       3000    SHARES                X                         3000   0      0
POWERSHARES QQQ       COMMON   73935A104     274       5752    SHARES                X                         5752   0      0
PRAXAIR INC COM       COMMON   74005P104     490       6800    SHARES                X                         6800   0      0
PRECISION DRILLING
  CORP-US$            COMMON   740215108      42       1700    SHARES                X                         1700   0      0
PRICE T ROWE GROUP
  INC COM             COMMON   74144T108     820      15800    SHARES                X                        15800   0      0
PRIMEWEST ENERGY
  TRUST               COMMON   741930309      42       2000    SHARES                X                         2000   0      0
PROCTER & GAMBLE CO
  COM                 COMMON   742718109   19822     323942    SHARES                X                       323942   0      0
PROLOGIS (REIT)       COMMON   743410102      96       1688    SHARES                X                         1688   0      0
PROVIDENT ENERGY
  TRUST UNITS         COMMON   74386K104      40       3400    SHARES                X                         3400   0      0
PULTE HOMES INC COM   COMMON   745867101     112       5000    SHARES                X                         5000   0      0
QUALCOMM INC COM      COMMON   747525103     304       7000    SHARES                X                         7000   0      0
QUEST DIAGNOSTICS INC COMMON   74834L100      93       1800    SHARES                X                         1800   0      0
QWEST COMMUNICATIONS
  INTL INC            COMMON   749121109    3200     329955    SHARES                X                       329955   0      0
RPM INTL INC          COMMON   749685103     827      35800    SHARES                X                        35800   0      0
RAINING DATA
  CORPORATION         COMMON   75087R108     231      70000    SHARES                X                        70000   0      0
RAYONIER INC COM      COMMON   754907103    2605      57700    SHARES                X                        57700   0      0
REALTY INCOME CORP    COMMON   756109104     151       6000    SHARES                X                         6000   0      0
RED HAT INC COM       COMMON   756577102      11        500    SHARES                X                          500   0      0
REDWOOD TRUST
  INC-REIT            COMMON   758075402      48       1000    SHARES                X                         1000   0      0
REGENERX
  BIOPHARMACEUTICALS
  INC                 COMMON   75886X108      24      11400    SHARES                X                        11400   0      0
REGIONS FINANCIAL
  CORP                COMMON   7591EP100       5        164    SHARES                X                          164   0      0
RESEARCH IN MOTION
  LIMITED             COMMON   760975102   11699      58500    SHARES                X                        58500   0      0
ROCKWELL AUTOMATION
  INC.                COMMON   773903109     113       1632    SHARES                X                         1632   0      0
ROCKWELL COLLINS COM  COMMON   774341101     115       1632    SHARES                X                         1632   0      0
ROYAL BK CANADA       COMMON   780087102      42        800    SHARES                X                          800   0      0
ROYAL DUTCH SHELL
  PLC-ADR B           COMMON   780259107      67        800    SHARES                X                          800   0      0
ROYAL DUTCH SHELL
  PLC-ADR A           COMMON   780259206     407       5014    SHARES                X                         5014   0      0
RYLAND GROUP INC      COMMON   783764103      41       1100    SHARES                X                         1100   0      0
SCOLR PHARMA INC      COMMON   78402X107      45      20000    SHARES                X                        20000   0      0
SLM CORP COM          COMMON   78442P106   10158     176425    SHARES                X                       176425   0      0
SPDR TRUST SERIES 1
  S&P 500 INDEX FD    COMMON   78462F103     877       5830    SHARES                X                         5830   0      0
SRA INTERNATIONAL
  INCORPORATED CL A   COMMON   78464R105      88       3500    SHARES                X                         3500   0      0
ST JOE CORP           COMMON   790148100    7383     159313    SHARES                X                       159313   0      0
ST MARY LAND &
  EXPLORATION COMPANY COMMON   792228108     220       6000    SHARES                X                         6000   0      0
SAP AG SPONS ADR      COMMON   803054204      13        250    SHARES                X                          250   0      0
SAUL CENTERS
  INCORPORATED        COMMON   804395101     113       2500    SHARES                X                         2500   0      0
SCHERING PLOUGH CORP  COMMON   806605101     645      21200    SHARES                X                        21200   0      0
SCHLUMBERGER LTD      COMMON   806857108    3118      36706    SHARES                X                        36706   0      0



                                    5 of 7





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
THE SCOTTS
  MIRACLE-GRO
  COMPANY CL A        COMMON   810186106     150       3500    SHARES                X                         3500   0      0
ENERGY SELECT SECTOR
  SPDR FD             COMMON   81369Y506      34        500    SHARES                X                          500   0      0
SEMICONDUCTOR MFG
  INTL CORP-ADR       COMMON   81663N206       7       1000    SHARES                X                         1000   0      0
SERVICE CORPORATION
  INTL                COMMON   817565104      93       7300    SHARES                X                         7300   0      0
SIMON PROPERTY GRP
  INC (REIT)          COMMON   828806109    1875      20150    SHARES                X                        20150   0      0
SIRIUS SATELLITE
  RADIO INC COM       COMMON   82966U103      59      19500    SHARES                X                        19500   0      0
SIX FLAGS INC         COMMON   83001P109      24       4000    SHARES                X                         4000   0      0
SMITHFIELD FOODS INC  COMMON   832248108      28        900    SHARES                X                          900   0      0
SOLECTRON CORPORATION COMMON   834182107      49      13400    SHARES                X                        13400   0      0
SOUTHERN CO COM       COMMON   842587107     103       3003    SHARES                X                         3003   0      0
SPRINT NEXTEL CORP    COMMON   852061100    3208     154896    SHARES                X                       154896   0      0
STAPLES INC COM       COMMON   855030102     494      20800    SHARES                X                        20800   0      0
STARBUCKS CORP COM    COMMON   855244109    4531     172650    SHARES                X                       172650   0      0
STATE STREET CORP     COMMON   857477103     616       9000    SHARES                X                         9000   0      0
STEMCELLS
  INCORPORATED        COMMON   85857R105       2       1000    SHARES                X                         1000   0      0
STERICYCLE INC COM    COMMON   858912108      18        400    SHARES                X                          400   0      0
STIFEL FINANCIAL
  CORPORATION         COMMON   860630102      10        176    SHARES                X                          176   0      0
STORM CAT ENERGY CORP COMMON   862168101      23      20000    SHARES                X                        20000   0      0
STRYKER CORP COM      COMMON   863667101    4377      69375    SHARES                X                        69375   0      0
SUBURBAN PROPANE
  PARTNERS LP LIMITED COMMON   864482104      48       1000    SHARES                X                         1000   0      0
SUN MICROSYSTEMS INC
  COM                 COMMON   866810104     106      20000    SHARES                X                        20000   0      0
SUNCOR ENERGY INC     COMMON   867229106      27        300    SHARES                X                          300   0      0
SUNOCO LOGISTICS
  PARTNERS LP         COMMON   86764L108     907      15100    SHARES                X                        15100   0      0
SUNRISE SENIOR
  LIVING INC          COMMON   86768K106    8718     217997    SHARES                X                       217997   0      0
SUNTRUST BANKS INC    COMMON   867914103    1094      12764    SHARES                X                        12764   0      0
SYSCO CORP            COMMON   871829107    5398     163621    SHARES                X                       163621   0      0
TEPPCO PARTNERS LTD
  PARTNERS            COMMON   872384102    4141      93350    SHARES                X                        93350   0      0
TARGET CORP COM       COMMON   87612E106    1075      16900    SHARES                X                        16900   0      0
TECHNE CORP           COMMON   878377100     556       9723    SHARES                X                         9723   0      0
TECHTARGET            COMMON   87874R100      26       2000    SHARES                X                         2000   0      0
TELEFLEX INC COM      COMMON   879369106     204       2500    SHARES                X                         2500   0      0
TELEFONICA S A
  SPONSORED ADR       COMMON   879382208      37        555    SHARES                X                          555   0      0
TEMPLE INLAND INC     COMMON   879868107      49        800    SHARES                X                          800   0      0
TEVA PHARMACEUTICAL
  SPONS ADR           COMMON   881624209      41       1000    SHARES                X                         1000   0      0
TEXAS INSTRUMENTS INC COMMON   882508104    3861     102588    SHARES                X                       102588   0      0
THERMO FISHER
  SCIENTIFIC INC      COMMON   883556102     103       2000    SHARES                X                         2000   0      0
THORNBURG MTG INC
  (REIT)              COMMON   885218107      52       2000    SHARES                X                         2000   0      0
3M CO                 COMMON   88579Y101    9602     110635    SHARES                X                       110635   0      0
TIFFANY & CO          COMMON   886547108    1220      23000    SHARES                X                        23000   0      0
TIME WARNER INC       COMMON   887317105    2357     112006    SHARES                X                       112006   0      0
TOLL BROS INC         COMMON   889478103     134       5350    SHARES                X                         5350   0      0
TRACTOR SUPPLY
  COMPANY             COMMON   892356106     208       4000    SHARES                X                         4000   0      0
TRANSMONTAIGNE
  PARTNERS LP         COMMON   89376V100      42       1200    SHARES                X                         1200   0      0
THE TRAVELERS
  COMPANIES INC       COMMON   89417E109     800      14944    SHARES                X                        14944   0      0
TRIMBLE NAV LTD COM   COMMON   896239100     225       7000    SHARES                X                         7000   0      0
TYCO INTERNATIONAL
  LTD                 COMMON   902124106   10598     313635    SHARES                X                       313635   0      0
TYLER TECHNOLOGIES
  INC                 COMMON   902252105    3300     265900    SHARES                X                       265900   0      0
UAL CORPORATION       COMMON   902549807       8        193    SHARES                X                          193   0      0
U S BANCORP DEL COM
  NEW                 COMMON   902973304     643      19500    SHARES                X                        19500   0      0
UNDER ARMOUR
  INC-CLASS A         COMMON   904311107     100       2200    SHARES                X                         2200   0      0
UNION PACIFIC CORP
  COM                 COMMON   907818108     945       8207    SHARES                X                         8207   0      0
UNITED BANKSHARES INC COMMON   909907107      26        824    SHARES                X                          824   0      0
UNITED PARCEL
  SERVICE CL B        COMMON   911312106   11816     161874    SHARES                X                       161874   0      0
UNITED TECHNOLOGIES
  CORP COM            COMMON   913017109    2518      35510    SHARES                X                        35510   0      0
UNITEDHEALTH GROUP
  INC                 COMMON   91324P102   14692     287287    SHARES                X                       287287   0      0
UNIVERSAL DISPLAY
  CORP                COMMON   91347P105       8        500    SHARES                X                          500   0      0
UNUM GROUP            COMMON   91529Y106    3012     115373    SHARES                X                       115373   0      0
URANIUM RESOURCES INC COMMON   916901507     276      25000    SHARES                X                        25000   0      0
VARIAN MEDICAL SYS
  INC COM             COMMON   92220P105      43       1000    SHARES                X                         1000   0      0
VERIFONE HOLDINGS INC COMMON   92342Y109      35       1000    SHARES                X                         1000   0      0
VERIZON
  COMMUNICATIONS COM  COMMON   92343V104   11158     271032    SHARES                X                       271032   0      0
VIACOM INC-CLASS B    COMMON   92553P201      35        831    SHARES                X                          831   0      0
VITAL IMAGES INC      COMMON   92846N104      41       1500    SHARES                X                         1500   0      0
VODAFONE GROUP
  PLC--SP ADR         COMMON   92857W209     268       7964    SHARES                X                         7964   0      0
VORNADO REALTY TRUST
  (REIT)              COMMON   929042109     319       2900    SHARES                X                         2900   0      0
WCI INDUSTRIES        COMMON   92923C104      25       1500    SHARES                X                         1500   0      0
WGL HLDGS INC COM     COMMON   92924F106      59       1796    SHARES                X                         1796   0      0
WACHOVIA CORP COM     COMMON   929903102    2815      54935    SHARES                X                        54935   0      0
WAL MART STORES INC
  COM                 COMMON   931142103     443       9216    SHARES                X                         9216   0      0
WALGREEN CO           COMMON   931422109      87       2000    SHARES                X                         2000   0      0
WASHINGTON MUTUAL COM COMMON   939322103    5432     127380    SHARES                X                       127380   0      0
WASHINGTON POST CO
  CL B                COMMON   939640108     582        750    SHARES                X                          750   0      0
WEINGARTEN REALTY
  INVESTORS (REIT)    COMMON   948741103    5076     123523    SHARES                X                       123523   0      0
WELLS FARGO & CO      COMMON   949746101   12003     341276    SHARES                X                       341276   0      0
WESTERN ASSET
  MANAGED MUNICIPALS
  FD                  COMMON   95766M105     254      22791    SHARES                X                        22791   0      0
WESTERN ASSET/
  CLAYMORE US TREAS
  INFL                COMMON   95766R104      46       4000    SHARES                X                         4000   0      0
WHOLE FOODS MKT INC
  COM                 COMMON   966837106     655      17120    SHARES                X                        17120   0      0
WILLIAMS COMPANY INC
  (THE)               COMMON   969457100     300       9500    SHARES                X                         9500   0      0
WILLIAMS PARTNERS LP  COMMON   96950F104      43        900    SHARES                X                          900   0      0
WRIGLEY WM JR CO      COMMON   982526105     985      17808    SHARES                X                        17808   0      0
WYETH                 COMMON   983024100    3016      52600    SHARES                X                        52600   0      0



                                    6 of 7





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
XM SATELLITE RADIO
  HLDGS INC CL A      COMMON   983759101      162      13800   SHARES                X                        13800   0      0
YAHOO INC COM         COMMON   984332106      163       6000   SHARES                X                         6000   0      0
YUM! BRANDS INC       COMMON   988498101     1066      32580   SHARES                X                        32580   0      0
ZENITH NATIONAL
  INSURANCE CORP      COMMON   989390109       66       1400   SHARES                X                         1400   0      0
ZIMMER HLDGS INC COM  COMMON   98956P102     6156      72523   SHARES                X                        72523   0      0
DAIMLERCHRYSLER AG    COMMON   D1668R123       11        124   SHARES                X                          124   0      0
ARLINGTON TANKERS LTD COMMON   G04899103     4128     143949   SHARES                X                       143949   0      0
BUNGE LIMITED         COMMON   G16962105      597       7065   SHARES                X                         7065   0      0
GARMIN LIMITED ORD    COMMON   G37260109      222       3000   SHARES                X                         3000   0      0
GLOBALSANTAFE CORP    COMMON   G3930E101       43        600   SHARES                X                          600   0      0
INGERSOLL-RAND
  COMPANY LTD-A       COMMON   G4776G101     9605     175210   SHARES                X                       175210   0      0
UTI WORLDWIDE INC     COMMON   G87210103      107       4000   SHARES                X                         4000   0      0
TRANSOCEAN INC        COMMON   G90078109      329       3100   SHARES                X                         3100   0      0
WHITE MOUNTAINS
  INSURANCE GROUP LTD COMMON   G9618E107      303        500   SHARES                X                          500   0      0
ALCON INC             COMMON   H01301102      162       1200   SHARES                X                         1200   0      0
CHECK POINT SOFTWARE
  TECH COM            COMMON   M22465104      360      15800   SHARES                X                        15800   0      0
VERIGY LTD            COMMON   Y93691106        8        280   SHARES                X                          280   0      0
                                           823745   20235776


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