0000933429-13-000004.txt : 20130513 0000933429-13-000004.hdr.sgml : 20130513 20130513171154 ACCESSION NUMBER: 0000933429-13-000004 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20130331 FILED AS OF DATE: 20130513 DATE AS OF CHANGE: 20130513 EFFECTIVENESS DATE: 20130513 FILER: COMPANY DATA: COMPANY CONFORMED NAME: UMB BANK N A/MO CENTRAL INDEX KEY: 0000933429 IRS NUMBER: 440201230 STATE OF INCORPORATION: MO FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-03395 FILM NUMBER: 13838269 BUSINESS ADDRESS: STREET 1: 1010 GRAND AVE CITY: KANSAS CITY STATE: MO ZIP: 64106 BUSINESS PHONE: 8168607889 MAIL ADDRESS: STREET 1: 1010 GRAND CITY: KANSAS CITY STATE: MO ZIP: 64106 13F-HR 1 UMB13f0313.txt UMB13F0313 13F-HR 03/31/13 0000933429 $bam3rdw NONE 1 13F-HR UMB BANK N A/MO Kansas City, MO 64106 FORM 13F FORM 13F COVER PAGE Report for the Calandar Year or Quarter Ended: March 31, 2013 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: UMB BANK N A/MO Address: 1010 GRAND BLVD KANSAS CITY, MO 64106 13F File Number: 28-492 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: C. Warren Green Title: DIRECTOR OF PROJECT MANAGEMENT AND ADMINISTRATION Phone: (816) 860-7494 Signature, Place, and Date of Signing: C. Warren Green Kansas City, MO 05/13/13 Report Type (Check only one.): [ X] 13F HOLDING REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Mangers Reporting for this Manager: I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. FORM 13F SUMMARY PAGE Report Summary: List of Other Included Managers: No. 13F File Number Name 01 28-492 UMB FINANCIAL CORPORATION VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY----- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE D 3M Corp COMMON 88579Y101 00007400 69606 SH SOLE 55030 1055 13521 D 3M Corp COMMON 88579Y101 00003141 29550 SH DEFINED 26253 2285 1012 D Abbott Laboratories COMMON 002824100 00004885 138307 SH SOLE 123549 1755 13003 D Abbott Laboratories COMMON 002824100 00001780 50390 SH DEFINED 43663 3941 2786 D Abbvie Inc COMMON 00287Y109 00002646 64891 SH SOLE 59280 1485 4126 D Abbvie Inc COMMON 00287Y109 00001208 29630 SH DEFINED 23218 3896 2516 D Aberdeen Asia Pacific Income COMMON 003009107 00000118 15150 SH SOLE 15150 0 0 D Aberdeen Asia Pacific Income COMMON 003009107 00000022 2800 SH DEFINED 2800 0 0 D Adobe Systems Inc COMMON 00724F101 00001337 30734 SH SOLE 22500 1000 7234 D Adobe Systems Inc COMMON 00724F101 00000725 16654 SH DEFINED 16454 200 0 D ADT Corp COMMON 00101J106 00004980 101765 SH SOLE 98779 787 2199 D ADT Corp COMMON 00101J106 00000365 7457 SH DEFINED 4210 3247 0 D Aetna Inc New COMMON 00817Y108 00000494 9658 SH SOLE 9272 0 386 D Aetna Inc New COMMON 00817Y108 00000263 5141 SH DEFINED 4541 600 0 D Affiliated Managers Group Inc COMMON 008252108 00002869 18679 SH SOLE 12709 190 5780 D Affiliated Managers Group Inc COMMON 008252108 00000065 425 SH DEFINED 150 275 0 D AFLAC Inc COMMON 001055102 00001823 35035 SH SOLE 22966 1219 10850 D AFLAC Inc COMMON 001055102 00000510 9804 SH DEFINED 8941 863 0 D Air Methods Corp COMMON 009128307 00003302 68440 SH SOLE 750 0 67690 D Air Products and Chemicals Inc COMMON 009158106 00005237 60108 SH SOLE 55541 520 4047 D Air Products and Chemicals Inc COMMON 009158106 00001312 15058 SH DEFINED 11587 3103 368 D Alcoa Inc COMMON 013817101 00000055 6514 SH SOLE 6514 0 0 D Alcoa Inc COMMON 013817101 00000218 25575 SH DEFINED 25575 0 0 D Alerian MLP ETF COMMON 00162Q866 00000260 14650 SH SOLE 14650 0 0 D Alexander & Baldwin Inc COMMON 014491104 00000353 9874 SH SOLE 8374 0 1500 D Alexander & Baldwin Inc COMMON 014491104 00000141 3941 SH DEFINED 3941 0 0 D Allergan Inc COMMON 018490102 00008214 73579 SH SOLE 54840 400 18339 D Allergan Inc COMMON 018490102 00000610 5465 SH DEFINED 4295 1070 100 D Alliant Energy Corp COMMON 018802108 00001155 23010 SH SOLE 20764 0 2246 D Alliant Energy Corp COMMON 018802108 00000654 13030 SH DEFINED 8860 0 4170 D Allstate Corp COMMON 020002101 00005992 122107 SH SOLE 107631 1640 12836 D Allstate Corp COMMON 020002101 00001044 21273 SH DEFINED 18963 1875 435 D Altera Corp COMMON 021441100 00000405 11425 SH SOLE 10955 0 470 D Altera Corp COMMON 021441100 00000209 5885 SH DEFINED 3530 2225 130 D Altria Group Inc COMMON 02209S103 00000973 28283 SH SOLE 27788 0 495 D Altria Group Inc COMMON 02209S103 00000456 13253 SH DEFINED 11053 150 2050 D Amazon Com Inc COMMON 023135106 00000655 2457 SH SOLE 2432 0 25 D Amazon Com Inc COMMON 023135106 00000192 720 SH DEFINED 720 0 0 D Ameren Corp COMMON 023608102 00000878 25075 SH SOLE 23207 0 1868 D Ameren Corp COMMON 023608102 00000977 27890 SH DEFINED 24664 100 3126 D American Electric Power Inc COMMON 025537101 00001352 27805 SH SOLE 25647 0 2158 D American Electric Power Inc COMMON 025537101 00000440 9057 SH DEFINED 9057 0 0 D American Express Co COMMON 025816109 00005402 80080 SH SOLE 74892 1135 4053 D American Express Co COMMON 025816109 00001190 17640 SH DEFINED 15027 835 1778 D Ameriprise Financial Inc COMMON 03076C106 00000258 3505 SH SOLE 3505 0 0 D Ameriprise Financial Inc COMMON 03076C106 00000012 160 SH DEFINED 160 0 0 D Amgen Inc COMMON 031162100 00001081 10545 SH SOLE 9893 0 652 D Amgen Inc COMMON 031162100 00000576 5620 SH DEFINED 4646 224 750 D Anadarko Pete Corp COMMON 032511107 00001409 16107 SH SOLE 16100 0 7 D Anadarko Pete Corp COMMON 032511107 00000112 1285 SH DEFINED 1285 0 0 D Analytical Bio Chemistry COMMON 03268F107 00002363 812094 SH SOLE 0 0 812094 D Apache Corp COMMON 037411105 00003813 49415 SH SOLE 45264 350 3801 D Apache Corp COMMON 037411105 00000768 9959 SH DEFINED 7282 2527 150 D Apple Inc COMMON 037833100 00026710 60340 SH SOLE 50680 439 9221 D Apple Inc COMMON 037833100 00004878 11019 SH DEFINED 9057 1355 607 D Archer Daniels Midland Co COMMON 039483102 00000296 8771 SH SOLE 8604 0 167 D Archer Daniels Midland Co COMMON 039483102 00000290 8601 SH DEFINED 7851 750 0 D Ashland Inc COMMON 044209104 00000273 3677 SH SOLE 3677 0 0 D AT & T Inc COMMON 00206R102 00011800 321601 SH SOLE 297515 4682 19404 D AT & T Inc COMMON 00206R102 00006413 174796 SH DEFINED 149356 8595 16845 D Athersys Inc COMMON 04744L106 00000017 10000 SH SOLE 10000 0 0 D Autodesk Inc COMMON 052769106 00000246 5973 SH SOLE 2665 0 3308 D Autodesk Inc COMMON 052769106 00000094 2290 SH DEFINED 2290 0 0 D Automatic Data Processing Inc COMMON 053015103 00000642 9871 SH SOLE 8779 75 1017 D Automatic Data Processing Inc COMMON 053015103 00000567 8712 SH DEFINED 3650 1350 3712 D Bank of America Corporation COMMON 060505104 00000437 35889 SH SOLE 34286 0 1603 D Bank of America Corporation COMMON 060505104 00000296 24289 SH DEFINED 24289 0 0 D Bard C R Inc COMMON 067383109 00000261 2594 SH SOLE 2194 400 0 D Bard C R Inc COMMON 067383109 00000121 1200 SH DEFINED 1100 0 100 D Baxter International Inc COMMON 071813109 00003433 47254 SH SOLE 43120 375 3759 D Baxter International Inc COMMON 071813109 00000663 9134 SH DEFINED 6453 1901 780 D Beam Inc COMMON 073730103 00000273 4295 SH SOLE 2845 800 650 D Beam Inc COMMON 073730103 00000201 3160 SH DEFINED 3100 60 0 D Becton Dickinson & Co COMMON 075887109 00000794 8305 SH SOLE 7165 0 1140 D Becton Dickinson & Co COMMON 075887109 00000759 7940 SH DEFINED 7250 650 40 D Bed Bath & Beyond Inc COMMON 075896100 00000224 3472 SH SOLE 3472 0 0 D Bed Bath & Beyond Inc COMMON 075896100 00000050 770 SH DEFINED 570 200 0 D Berkshire Hathaway Inc - Cl B COMMON 084670702 00006522 62591 SH SOLE 45632 360 16599 D Berkshire Hathaway Inc - Cl B COMMON 084670702 00008569 82240 SH DEFINED 80740 1300 200 D Boardwalk Pipeline Partners LP COMMON 096627104 00000442 15065 SH SOLE 13065 0 2000 D Boeing Co COMMON 097023105 00014662 170783 SH SOLE 140972 1605 28206 D Boeing Co COMMON 097023105 00002517 29321 SH DEFINED 22917 4465 1939 D BP Prudhoe Bay Rty Tr COMMON 055630107 00000008 100 SH SOLE 100 0 0 D BP Prudhoe Bay Rty Tr COMMON 055630107 00000209 2500 SH DEFINED 2500 0 0 D Bristol Myers Squibb Co COMMON 110122108 00013915 337813 SH SOLE 315463 2560 19790 D Bristol Myers Squibb Co COMMON 110122108 00002696 65460 SH DEFINED 52350 9495 3615 D Broadcom Corp COMMON 111320107 00004756 137140 SH SOLE 103434 1840 31866 D Broadcom Corp COMMON 111320107 00000327 9440 SH DEFINED 4680 4560 200 D Cabot Oil & Gas Corp COMMON 127097103 00000309 4575 SH SOLE 0 0 4575 D Capitol Federal Financial COMMON 14057J101 00000102 8479 SH SOLE 6479 2000 0 D Capitol Federal Financial COMMON 14057J101 00000190 15730 SH DEFINED 15165 0 565 D Cardinal Health Inc COMMON 14149Y108 00000500 12017 SH SOLE 11832 85 100 D Cardinal Health Inc COMMON 14149Y108 00000128 3065 SH DEFINED 1690 1305 70 D Caterpillar Inc Del COMMON 149123101 00011072 127305 SH SOLE 108536 1580 17189 D Caterpillar Inc Del COMMON 149123101 00003288 37805 SH DEFINED 32039 2621 3145 D Celgene Corp COMMON 151020104 00005083 43850 SH SOLE 42650 310 890 D Celgene Corp COMMON 151020104 00000607 5235 SH DEFINED 4410 825 0 D CenturyLink Inc COMMON 156700106 00001392 39625 SH SOLE 37906 400 1319 D CenturyLink Inc COMMON 156700106 00000305 8668 SH DEFINED 7259 1025 384 D Cerner Corp COMMON 156782104 00018866 199137 SH SOLE 188409 1017 9711 D Cerner Corp COMMON 156782104 00003062 32315 SH DEFINED 27280 4785 250 D Chevron Corp COMMON 166764100 00025380 213603 SH SOLE 188979 2170 22454 D Chevron Corp COMMON 166764100 00007028 59151 SH DEFINED 48984 6499 3668 D Chubb Corp COMMON 171232101 00001728 19741 SH SOLE 16245 800 2696 D Chubb Corp COMMON 171232101 00001229 14036 SH DEFINED 13562 400 74 D Church & Dwight Inc COMMON 171340102 00000263 4070 SH SOLE 4070 0 0 D Cigna Corp COMMON 125509109 00000231 3700 SH SOLE 3700 0 0 D Cigna Corp COMMON 125509109 00000426 6825 SH DEFINED 6025 800 0 D Cisco Systems Inc COMMON 17275R102 00001510 72256 SH SOLE 53135 5000 14121 D Cisco Systems Inc COMMON 17275R102 00000903 43199 SH DEFINED 37624 4875 700 D Citizens Bancshares Co COMMON 17316Q105 00000221 2950 SH SOLE 0 0 2950 D Citrix Sys Inc COMMON 177376100 00004139 57362 SH SOLE 41211 465 15686 D Citrix Sys Inc COMMON 177376100 00000109 1510 SH DEFINED 800 610 100 D Clorox Co Del COMMON 189054109 00000962 10862 SH SOLE 6250 500 4112 D Clorox Co Del COMMON 189054109 00000560 6320 SH DEFINED 2300 0 4020 D Coach Inc COMMON 189754104 00000453 9059 SH SOLE 4559 0 4500 D Coach Inc COMMON 189754104 00000055 1100 SH DEFINED 500 600 0 D Coca Cola Co COMMON 191216100 00011626 287484 SH SOLE 267588 1990 17906 D Coca Cola Co COMMON 191216100 00003536 87427 SH DEFINED 79832 5250 2345 D Cognizant Technology Solutio COMMON 192446102 00004061 52999 SH SOLE 51027 819 1153 D Cognizant Technology Solutio COMMON 192446102 00000336 4385 SH DEFINED 2530 1755 100 D Colgate Palmolive Co COMMON 194162103 00001261 10686 SH SOLE 10053 0 633 D Colgate Palmolive Co COMMON 194162103 00000691 5855 SH DEFINED 5855 0 0 D Columbia Burlap & Bag Company COMMON 19728Z913 00000473 25 SH SOLE 25 0 0 D Commerce Bancshares Inc COMMON 200525103 00002710 66378 SH SOLE 46048 10664 9666 D Commerce Bancshares Inc COMMON 200525103 00001244 30459 SH DEFINED 29359 1100 0 D ConocoPhillips COMMON 20825C104 00007080 117803 SH SOLE 108341 3060 6402 D ConocoPhillips COMMON 20825C104 00002831 47098 SH DEFINED 40563 2675 3860 D Consolidated Edison Inc COMMON 209115104 00000114 1874 SH SOLE 862 0 1012 D Consolidated Edison Inc COMMON 209115104 00000211 3464 SH DEFINED 1064 0 2400 D Continental Resources Inc COMMON 212015101 00004419 50830 SH SOLE 49540 390 900 D Continental Resources Inc COMMON 212015101 00000102 1175 SH DEFINED 965 210 0 D Cooper Cos Inc COMMON 216648402 00000345 3200 SH SOLE 0 0 3200 D Costco Wholesale Corp COMMON 22160K105 00013382 126113 SH SOLE 102741 1560 21812 D Costco Wholesale Corp COMMON 22160K105 00002756 25970 SH DEFINED 20880 2975 2115 D Covance Inc COMMON 222816100 00000467 6285 SH SOLE 5605 0 680 D Cullen Frost Bankers Inc COMMON 229899109 00000094 1500 SH SOLE 1500 0 0 D Cullen Frost Bankers Inc COMMON 229899109 00000151 2410 SH DEFINED 2410 0 0 D Cummins Inc COMMON 231021106 00000213 1838 SH SOLE 1550 0 288 D CVS Caremark Corporation COMMON 126650100 00016647 302732 SH SOLE 257972 2820 41940 D CVS Caremark Corporation COMMON 126650100 00002372 43137 SH DEFINED 32592 8910 1635 D Cytori Therapeutics Inc COMMON 23283K105 00000078 31090 SH SOLE 31090 0 0 D Danaher Corp Del COMMON 235851102 00009813 157889 SH SOLE 119320 1885 36684 D Danaher Corp Del COMMON 235851102 00000958 15415 SH DEFINED 12960 2405 50 D Deere & Company COMMON 244199105 00002236 26009 SH SOLE 21718 100 4191 D Deere & Company COMMON 244199105 00001817 21136 SH DEFINED 18195 2491 450 D Devon Energy Corp New COMMON 25179M103 00000239 4231 SH SOLE 4231 0 0 D Devon Energy Corp New COMMON 25179M103 00000071 1252 SH DEFINED 424 0 828 D Digital Realty Trust Inc COMMON 253868103 00005641 84302 SH SOLE 77657 1300 5345 D Digital Realty Trust Inc COMMON 253868103 00001270 18985 SH DEFINED 16635 1720 630 D Discover Financial Services COMMON 254709108 00001513 33735 SH SOLE 14433 0 19302 D Discover Financial Services COMMON 254709108 00000217 4841 SH DEFINED 3213 0 1628 D Disney Walt Co COMMON 254687106 00014458 254539 SH SOLE 209135 4070 41334 D Disney Walt Co COMMON 254687106 00003817 67198 SH DEFINED 55872 6000 5326 D Dominion Resources Inc COMMON 25746U109 00001634 28090 SH SOLE 24252 0 3838 D Dominion Resources Inc COMMON 25746U109 00001365 23455 SH DEFINED 19955 100 3400 D Dover Corp COMMON 260003108 00000692 9501 SH SOLE 9053 0 448 D Dover Corp COMMON 260003108 00000799 10970 SH DEFINED 9570 1400 0 D Dow Chemical Co COMMON 260543103 00000327 10259 SH SOLE 10237 0 22 D Dow Chemical Co COMMON 260543103 00000157 4944 SH DEFINED 4944 0 0 D DST Systems Inc COMMON 233326107 00000210 2947 SH SOLE 2247 0 700 D DST Systems Inc COMMON 233326107 00000112 1575 SH DEFINED 1100 475 0 D Du Pont E I De Nemours & Co COMMON 263534109 00003703 75325 SH SOLE 70758 1320 3247 D Du Pont E I De Nemours & Co COMMON 263534109 00001787 36344 SH DEFINED 33689 2250 405 D Duke Energy Hldg Corp COMMON 26441C204 00015551 214235 SH SOLE 202471 2024 9740 D Duke Energy Hldg Corp COMMON 26441C204 00004438 61144 SH DEFINED 48279 8248 4617 D Ebay Inc COMMON 278642103 00000374 6907 SH SOLE 6868 0 39 D Ebay Inc COMMON 278642103 00000115 2125 SH DEFINED 1175 950 0 D Ecolab Inc COMMON 278865100 00000328 4096 SH SOLE 3535 0 561 D Ecolab Inc COMMON 278865100 00000538 6704 SH DEFINED 6350 354 0 D EMC Corp COMMON 268648102 00005543 232011 SH SOLE 170458 2090 59463 D EMC Corp COMMON 268648102 00000856 35810 SH DEFINED 26610 6380 2820 D Emerson Electric Co COMMON 291011104 00003744 67011 SH SOLE 59735 1100 6176 D Emerson Electric Co COMMON 291011104 00002873 51414 SH DEFINED 38649 6589 6176 D Empire District Electric Co COMMON 291641108 00000493 22020 SH SOLE 22020 0 0 D Empire District Electric Co COMMON 291641108 00000558 24925 SH DEFINED 21425 0 3500 D Empire Pipeline Corp COMMON 29203Z916 00015432 24300 SH DEFINED 24300 0 0 D Energizer Hldgs Inc COMMON 29266R108 00000246 2466 SH SOLE 2466 0 0 D Energy Select Sector SPDR Fund COMMON 81369Y506 00000325 4100 SH SOLE 4100 0 0 D Energy Transfer Partners LP COMMON 29273R109 00000828 16329 SH SOLE 11329 0 5000 D Energy Transfer Partners LP COMMON 29273R109 00000546 10768 SH DEFINED 768 0 10000 D Entergy Corp COMMON 29364G103 00000191 3016 SH SOLE 1880 0 1136 D Entergy Corp COMMON 29364G103 00000076 1196 SH DEFINED 1196 0 0 D Enterprise Products Partners COMMON 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45 D Fifth Third Bancorp COMMON 316773100 00000238 14578 SH SOLE 14530 0 48 D First Altus Bancorp Inc COMMON 31847Z914 00000733 4560 SH SOLE 0 0 4560 D Firstenergy Corp COMMON 337932107 00000907 21499 SH SOLE 20566 0 933 D Firstenergy Corp COMMON 337932107 00000314 7450 SH DEFINED 7450 0 0 D Fluor Corp New COMMON 343412102 00000108 1625 SH SOLE 0 0 1625 D Fluor Corp New COMMON 343412102 00000133 2000 SH DEFINED 0 0 2000 D Ford Mtr Co Del COMMON 345370860 00000281 21388 SH SOLE 19734 0 1654 D Ford Mtr Co Del COMMON 345370860 00000134 10182 SH DEFINED 3482 1000 5700 D Franklin Res Inc COMMON 354613101 00001317 8732 SH SOLE 6755 50 1927 D Franklin Res Inc COMMON 354613101 00001047 6940 SH DEFINED 6000 220 720 D Freeport-McMoran Copper & Gold COMMON 35671D857 00000840 25385 SH SOLE 25370 0 15 D Freeport-McMoran Copper & Gold COMMON 35671D857 00000109 3292 SH DEFINED 2144 0 1148 D Gallagher Arthur J & CO COMMON 363576109 00000133 3227 SH SOLE 2227 0 1000 D Gallagher Arthur J & CO COMMON 363576109 00000335 8115 SH DEFINED 8115 0 0 D Gen Mill Machine Shop & Mfg COMMON 37034Z914 00000352 83 SH SOLE 83 0 0 D General Dynamics Corp COMMON 369550108 00000296 4198 SH SOLE 4091 0 107 D General Dynamics Corp COMMON 369550108 00000640 9075 SH DEFINED 7425 650 1000 D General Electric Co COMMON 369604103 00015169 656096 SH SOLE 571152 4085 80859 D General Electric Co COMMON 369604103 00003659 158254 SH DEFINED 117307 10645 30302 D General Finance Inc COMMON 369823109 00000565 3403 SH SOLE 3403 0 0 D General Mills Inc COMMON 370334104 00001224 24822 SH SOLE 22535 0 2287 D General Mills Inc COMMON 370334104 00001024 20760 SH DEFINED 18000 2260 500 D Genuine Parts Co COMMON 372460105 00000407 5220 SH SOLE 4220 0 1000 D Genuine Parts Co COMMON 372460105 00000372 4773 SH DEFINED 4773 0 0 D Gilead Sciences Inc COMMON 375558103 00001174 23994 SH SOLE 22130 0 1864 D Gilead Sciences Inc COMMON 375558103 00000558 11400 SH DEFINED 9800 1600 0 D Goldman Sachs Group Inc COMMON 38141G104 00000626 4257 SH SOLE 4003 0 254 D Goldman Sachs Group Inc COMMON 38141G104 00000272 1850 SH DEFINED 1850 0 0 D Google Inc COMMON 38259P508 00010672 13437 SH SOLE 10226 140 3071 D Google Inc COMMON 38259P508 00001376 1733 SH DEFINED 1156 502 75 D Great Plains Energy Inc COMMON 391164100 00000599 25835 SH SOLE 24835 0 1000 D Great Plains Energy Inc COMMON 391164100 00000722 31133 SH DEFINED 31133 0 0 D Gulfport Energy Corp COMMON 402635304 00000270 5900 SH SOLE 0 0 5900 D Halliburton Co COMMON 406216101 00000041 1025 SH SOLE 1011 0 14 D Halliburton Co COMMON 406216101 00000191 4730 SH DEFINED 4600 0 130 D Harley Davidson Inc COMMON 412822108 00000389 7291 SH SOLE 6827 200 264 D Harley Davidson Inc COMMON 412822108 00000969 18180 SH DEFINED 17750 200 230 D Hartford Financial Services COMMON 416515104 00006635 257165 SH SOLE 184890 4585 67690 D Hartford Financial Services COMMON 416515104 00000210 8140 SH DEFINED 5620 2520 0 D Heinz H J Co COMMON 423074103 00000842 11647 SH SOLE 11638 0 9 D Heinz H J Co COMMON 423074103 00000393 5433 SH DEFINED 4933 500 0 D Henry Jack & Assoc Inc COMMON 426281101 00000702 15193 SH SOLE 15068 0 125 D Henry Jack & Assoc Inc COMMON 426281101 00000046 1000 SH DEFINED 1000 0 0 D Hess Corp COMMON 42809H107 00000535 7475 SH SOLE 5850 0 1625 D Hess Corp COMMON 42809H107 00000093 1300 SH DEFINED 1300 0 0 D Hewlett Packard Co COMMON 428236103 00000088 3709 SH SOLE 3709 0 0 D Hewlett Packard Co COMMON 428236103 00000184 7700 SH DEFINED 7700 0 0 D Highway Oil Inc COMMON 43125Z912 00025425 492829 SH DEFINED 0 492829 0 D Home Depot Inc COMMON 437076102 00019536 279965 SH SOLE 234185 2640 43140 D Home Depot Inc COMMON 437076102 00003683 52782 SH DEFINED 41172 9397 2213 D Honeywell International Inc COMMON 438516106 00000319 4237 SH SOLE 3927 300 10 D Honeywell International Inc COMMON 438516106 00000284 3770 SH DEFINED 3770 0 0 D Hormel Foods Corp COMMON 440452100 00000326 7900 SH DEFINED 7900 0 0 D Illinois Tool Works Inc COMMON 452308109 00002176 35715 SH SOLE 29885 0 5830 D Illinois Tool Works Inc COMMON 452308109 00000568 9318 SH DEFINED 9158 160 0 D Integrys Energy Group Inc COMMON 45822P105 00000440 7562 SH SOLE 5655 0 1907 D Integrys Energy Group Inc COMMON 45822P105 00000354 6092 SH DEFINED 0 0 6092 D Intel Corp COMMON 458140100 00006440 294928 SH SOLE 266606 2830 25492 D Intel Corp COMMON 458140100 00002644 121076 SH DEFINED 111865 6706 2505 D InterActiveCorp COMMON 44919P508 00004821 107906 SH SOLE 97121 3470 7315 D InterActiveCorp COMMON 44919P508 00000362 8107 SH DEFINED 4812 3295 0 D International Business COMMON 459200101 00018556 86997 SH SOLE 76680 1130 9187 D International Business COMMON 459200101 00008191 38403 SH DEFINED 30971 3443 3989 D International Paper COMMON 460146103 00000147 3162 SH SOLE 3162 0 0 D International Paper COMMON 460146103 00000062 1322 SH DEFINED 1322 0 0 D Intuit COMMON 461202103 00003598 54804 SH SOLE 50399 1295 3110 D Intuit COMMON 461202103 00000708 10785 SH DEFINED 10410 185 190 D Invesco Ltd COMMON G491BT108 00000337 11650 SH SOLE 11650 0 0 D iShares Barclays TIPS Bond COMMON 464287176 00000253 2089 SH SOLE 2089 0 0 D iShares Barclays TIPS Bond COMMON 464287176 00000015 122 SH DEFINED 122 0 0 D Jacobs Engineering Group Inc COMMON 469814107 00000323 5745 SH SOLE 4810 200 735 D Jacobs Engineering Group Inc COMMON 469814107 00000067 1185 SH DEFINED 1185 0 0 D Janus Cap Group Inc COMMON 47102X105 00000117 12450 SH SOLE 12450 0 0 D Jarden Corp COMMON 471109108 00000225 5242 SH SOLE 5242 0 0 D JDS Uniphase Corporation COMMON 46612J507 00000241 18016 SH SOLE 191 0 17825 D JM Smucker Co COMMON 832696405 00001375 13870 SH SOLE 8694 0 5176 D JM Smucker Co COMMON 832696405 00000107 1076 SH DEFINED 793 183 100 D Johnson & Johnson COMMON 478160104 00011912 146107 SH SOLE 133844 1655 10608 D Johnson & Johnson COMMON 478160104 00005101 62561 SH DEFINED 57219 2273 3069 D Johnson Controls Inc COMMON 478366107 00004184 119302 SH SOLE 101543 745 17014 D Johnson Controls Inc 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