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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12/31/2011

Check here if Amendment [_] Amendment Number:

This Amendment  [_] is a restatement

Institutional Investment Manager Filing this Report:

Name:    TEXAS CAPITAL BANCSHARES
Address: 2000 MCKINNEY AVE., SUITE 700
         DALLAS, TX 75201

13F File Number: 028-11275

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

Person Signing this Report on Behalf of Reporting Manager:

Name:  DAVID A. FOLZ
Title: EXECUTIVE VICE PRESIDENT
Phone: 214-932-6625


Signature, Place, and Date of Signing: /s/ David A. Folz
                                       --------------------------------

1                  DALLAS, TX 75201     01/04/12

Report Type (Check only one)

     [X]  13F HOLDINGS REPORT

     [_]  13F COMBINATION REPORT




                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                     0
Form 13F Information Table Entry Total:              223
Form 13F Information Table Value Total:         $ 93,251
                                              (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment Managers with respect to which this report is filed,
other than the Manager filing this report.

NONE




                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
ABB LTD SPONSORED  COMMON STOCK    000375204      358     19018     SH               SOLE                          19018
ADR
AFLAC INC COM      COMMON STOCK    001055102      396      9143     SH               SOLE                           9143
ABBOTT LABS        COMMON STOCK    002824100      981     17450     SH               SOLE                  775
                                                                                     SOLE                          15017
                                                                                     SOLE                                    1658
                                                   61      1080     SH              OTHER                           1080
ADECCO S.A.        COMMON STOCK    006754204      203      9733     SH               SOLE                           9733
ADIDAS AG ADR      COMMON STOCK    00687A107      337     10339     SH               SOLE                          10339
ADOBE SYS INC COM  COMMON STOCK    00724F101      429     15180     SH               SOLE                          15180
                                                   40      1400     SH              OTHER                           1400
AETNA INC NEW COM  COMMON STOCK    00817Y108      536     12701     SH               SOLE                   48
                                                                                     SOLE                          12653
                                                   17       400     SH              OTHER                            400
AIR LIQUIDE ADR    COMMON STOCK    009126202      256     10415     SH               SOLE                          10415
ALLIANZ SE SP ADR  FOREIGN STOCK   018805101      296     31239     SH               SOLE                          31239
1/10  SH
AMPHENOL CORP NEW  COMMON STOCK    032095101      492     10850     SH               SOLE                          10850
CL A
                                                   45      1000     SH              OTHER                           1000
APACHE CORP COM    COMMON STOCK    037411105      435      4800     SH               SOLE                   15
                                                                                     SOLE                           4785
                                                   14       150     SH              OTHER                            150
APPLIED MATLS INC  COMMON STOCK    038222105      472     44075     SH               SOLE                  160
COLUMN TOTALS                                    5368





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
APPLIED MATLS INC  COMMON STOCK    038222105      472     44075     SH               SOLE                          43915
COM
                                                   16      1450     SH              OTHER                           1450
ARCHER DANIELS     COMMON STOCK    039483102      485     16945     SH               SOLE                   60
MIDLAND CO                                                                           SOLE                          16885
                                                   16       550     SH              OTHER                            550
AUTOMATIC DATA     COMMON STOCK    053015103      454      8400     SH               SOLE                           8400
PROCESSING INCOM
                                                   43       800     SH              OTHER                            800
AXA SPONSORED ADR  COMMON STOCK    054536107      261     20306     SH               SOLE                          20306
BASF-SE            COMMON STOCK    055262505      280      4018     SH               SOLE                           4018
BG PLC ADR FIN     COMMON STOCK    055434203      424      3962     SH               SOLE                           3962
INST N
BSD MED CORP DEL   COMMON STOCK    055662100      186     78470     SH               SOLE                78470
COM
BAKER HUGHES INC   COMMON STOCK    057224107      280      5765     SH               SOLE                   20
COM                                                                                  SOLE                           5745
                                                    9       190     SH              OTHER                            190
BANCO BILBAO VIZ   COMMON STOCK    05946K101      214     24945     SH               SOLE                          24945
CAYA
BANCO SANTANDER    COMMON STOCK    05965X109      394      5204     SH               SOLE                           5204
CHILE NEW SP ADR
BANK OF NEW YORK   COMMON STOCK    064058100      310     15550     SH               SOLE                   60
MELLON CORPCOM                                                                       SOLE                          15490
                                                   10       520     SH              OTHER                            520
BARD C R INC COM   COMMON STOCK    067383109      231      2700     SH               SOLE                           2700
                                                   26       300     SH              OTHER                            300
COLUMN TOTALS                                    3639





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
BARD C R INC COM   COMMON STOCK    067383109       26       300     SH
BARCLAYS BK PLC    MASTER LIMITED  06738C778    14003    331499    PRN               SOLE               331201
                   PARTNERSHIPS                                                      SOLE                            298
                                                  546     12929    PRN              OTHER                12177
                                                                                    OTHER                            752
BARCLAYS PLC       COMMON STOCK    06738E204      389     35398     SH               SOLE                          35398
BARRICK GOLD CORP  COMMON STOCK    067901108      351      7750     SH               SOLE                           7750
COM
BAXTER INTL INC    COMMON STOCK    071813109      273      5515     SH               SOLE                   20
COM                                                                                  SOLE                           5495
                                                    9       180     SH              OTHER                            180
BAYER A G          COMMON STOCK    072730302      263      4124     SH               SOLE                           4124
SPONSORED ADR
BECTON DICKINSON   COMMON STOCK    075887109      450      6020     SH               SOLE                           6020
& CO COM
                                                   45       600     SH              OTHER                            600
BHP BILLITON LTD   COMMON STOCK    088606108      367      5200     SH               SOLE                           5200
SPONSORED ADR
BRITISH AMERN TOB  COMMON STOCK    110448107      355      3745     SH               SOLE                           3745
PLC SPONSORED
C H ROBINSON       COMMON STOCK    12541W209      359      5150     SH               SOLE                           5150
WORLDWIDE INC COM
                                                   35       500     SH              OTHER                            500
CSL LIMITED ADR    COMMON STOCK    12637N105      287     17605     SH               SOLE                          17605
CVS                COMMON STOCK    126650100      467     11440     SH               SOLE                   40
                                                                                     SOLE                          11400
                                                   15       380     SH              OTHER                            380
COLUMN TOTALS                                   18214





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
CVS                COMMON STOCK    126650100       15       380     SH
CANADIAN NATURAL   COMMON STOCK    136385101      273      7306     SH               SOLE                           7306
RESOURCES
CANON INC ADR      COMMON STOCK    138006309      368      8361     SH               SOLE                           8361
CHEVRON CORP COM   COMMON STOCK    166764100      586      5510     SH               SOLE                  412
                                                                                     SOLE                           4303
                                                                                     SOLE                                     795
                                                   17       160     SH              OTHER                   50
                                                                                    OTHER                            110
CLP HOLDINGS LTD   COMMON STOCK    18946Q101      212     25107     SH               SOLE                          25107
SPONSORED ADR
COCA COLA CO COM   COMMON STOCK    191216100      241      3450     SH               SOLE                           3450
                                                   21       300     SH              OTHER                            300
COCA COLA          COMMON STOCK    1912EP104      268     16054     SH               SOLE                          16054
HELLENIC BTTLG CO
COGNIZANT          COMMON STOCK    192446102      469      7300     SH               SOLE                           7300
TECHNOLOGY
SOLUTIOCL A                                        45       700     SH              OTHER                            700
COLGATE PALMOLIVE  COMMON STOCK    194162103      477      5160     SH               SOLE                  260
CO COM                                                                               SOLE                           4900
                                                   46       500     SH              OTHER                            500
AMBEV-CIA DE       PREFERRED STOCK 20441W203      385     10658     SH               SOLE                          10658
BEBIDAS DAS
CORNING INC COM    COMMON STOCK    219350105      300     23095     SH               SOLE                   80
                                                                                     SOLE                          23015
                                                   10       760     SH              OTHER                            760
COLUMN TOTALS                                    3718





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
CRUSADER ENERGY    COMMON STOCK    228834107        1   1110725     SH               SOLE              1110725
GROUP INC COM
DANONE SPONSORED   COMMON STOCK    23636T100      199     15769     SH               SOLE                          15769
ADR
DASSAULT SYS S A   COMMON STOCK    237545108      361      4495     SH               SOLE                           4495
SPONSORED ADR
DEVON ENERGY CORP  COMMON STOCK    25179M103      449      7243     SH               SOLE                   23
NEW COM                                                                              SOLE                           7220
                                                   14       230     SH              OTHER                            230
EDAP TMS S. A.     COMMON STOCK    268311107       17     10000     SH               SOLE                10000
EATON CORP COM     COMMON STOCK    278058102      350      8030     SH               SOLE                   30
                                                                                     SOLE                           8000
                                                   12       270     SH              OTHER                            270
EMERSON ELEC CO    COMMON STOCK    291011104      599     12850     SH               SOLE                          12850
COM
                                                   56      1200     SH              OTHER                           1200
ENBRIDGE INC COM   COMMON STOCK    29250N105      525     14023     SH               SOLE                          14023
EQUIFAX            COMMON STOCK    294429105      436     11250     SH               SOLE                          11250
                                                   43      1100     SH              OTHER                           1100
ERICSSON L M TEL   COMMON STOCK    294821608      279     27551     SH               SOLE                          27551
CO ADR B SEK 10
EXXON              COMMON STOCK    30231G102     2931     34583     SH               SOLE                 7139
                                                                                     SOLE                           1630
                                                                                     SOLE                                   25814
                                                  271      3200     SH              OTHER                 1000
                                                                                    OTHER                                    2200
COLUMN TOTALS                                    6543





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
EXXON              COMMON STOCK    30231G102      271      3200     SH
FANUC CORP         COMMON STOCK    307305102      550     21756     SH               SOLE                          21756
FRESENIUS          COMMON STOCK    358029106      341      5014     SH               SOLE                           5014
GIVAUDAN S. A. F   COMMON STOCK    37636P108      259     13401     SH               SOLE                          13401
GLAXOSMITHKLINE    COMMON STOCK    37733W105      320      7009     SH               SOLE                  925
PLC SPONSORED                                                                        SOLE                           4099
                                                                                     SOLE                                    1985
GRUPO TELEVISA SA  COMMON STOCK    40049J206      332     15745     SH               SOLE                          15745
DE CV SP ADR
HSBC HLDGS PLC     COMMON STOCK    404280406      338      8880     SH               SOLE                           8880
HALLIBURTON CO     COMMON STOCK    406216101      457     13230     SH               SOLE                   50
COM                                                                                  SOLE                          13180
                                                   15       430     SH              OTHER                            430
HENKEL LTD         COMMON STOCK    42550U208      306      5282     SH               SOLE                           5282
PARTNERSHIP SPON
HENNES & MAURITZ   COMMON STOCK    425883105      284     44617     SH               SOLE                          44617
AB ADR
HESS CORP COM      COMMON STOCK    42809H107      427      7520     SH               SOLE                   30
                                                                                     SOLE                           7490
                                                   14       250     SH              OTHER                            250
HONDA MOTOR LTD    COMMON STOCK    438128308      483     15811     SH               SOLE                          15811
AMERN SHS
HONEYWELL INTL     COMMON STOCK    438516106      480      8830     SH               SOLE                   33
                                                                                     SOLE                           8797
                                                   16       290     SH              OTHER                            290
HOSPIRA INC COM    COMMON STOCK    441060100      324     10659     SH               SOLE                   42
COLUMN TOTALS                                    4946





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
HOSPIRA INC COM    COMMON STOCK    441060100      324     10659     SH               SOLE                          10617
                                                   11       350     SH              OTHER                            350
ADRINDUSTRIA DED   COMMON STOCK    455793109      433     26663     SH               SOLE                          26663
ISENOF
INFOSYS            COMMON STOCK    456788108      328      6381     SH               SOLE                           6381
TECHNOLOGIES LTD
ISHARES INC MSCI   COMMON STOCK    464286848      474     52029     SH               SOLE                          52029
ISHARES            ETF-EQUITY      464287234      531     14002     SH               SOLE                14002
ISHARES            ETF-EQUITY      464287465      556     11231     SH               SOLE                10331
                                                                                     SOLE                                     900
ISHARES            ETF-EQUITY      464287598     1748     27536     SH               SOLE                27536
                                                  113      1779     SH              OTHER                 1779
ISHARES            ETF-EQUITY      464287614      257      4453     SH               SOLE                 4453
ISREAL CHEM LTD    COMMON STOCK    465036200      141     13380     SH               SOLE                          13380
 J P MORGAN CHASE  MASTER LIMITED  46625H365     6010    154226    PRN               SOLE               154184
                   PARTNERSHIPS                                                      SOLE                             42
                                                  241      6192    PRN              OTHER                 5792
                                                                                    OTHER                            400
KBR INC            COMMON STOCK    48242W106      318     11425     SH               SOLE                   45
                                                                                     SOLE                          11380
                                                   11       380     SH              OTHER                            380
KONINKLIJKE AHOLD  COMMON STOCK    500467402      174     12938     SH               SOLE                          12938
N V SPON ADR
KUBOTA CORP        COMMON STOCK    501173207      287      6916     SH               SOLE                           6916
(FORMERLY KUBOTA
KYOCERA CORP       COMMON STOCK    501556203      231      2891     SH               SOLE                           2891
COLUMN TOTALS                                   11864





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
LVMH MOET          COMMON STOCK    502441306      391     13931     SH               SOLE                          13931
HENNESSY LOU VUI
LABORATORY CORP    COMMON STOCK    50540R409      198      2300     SH               SOLE                           2300
AMER HLDGS COM
                                                   17       200     SH              OTHER                            200
LOUISIANA CENT     MASTER LIMITED  546234204      150        50    PRN               SOLE                   50
OIL & GAS CO UT    PARTNERSHIPS
                                                  117        39    PRN              OTHER                   39
MCDONALDS CORP     COMMON STOCK    580135101      242      2415     SH               SOLE                  750
COM                                                                                  SOLE                                    1665
MEDTRONIC          COMMON STOCK    585055106      831     21732     SH               SOLE                   50
                                                                                     SOLE                          21682
                                                   48      1260     SH              OTHER                           1260
MERCK KGAA ADR     COMMON STOCK    589339100      238      7163     SH               SOLE                           7163
METLIFE INC        COMMON STOCK    59156R108      465     14910     SH               SOLE                   50
                                                                                     SOLE                          14860
                                                   15       480     SH              OTHER                            480
METTLER TOLEDO I   COMMON STOCK    592688105      372      2516     SH               SOLE                           2516
NTERNATIONALCOM
MICROSOFT CORP     COMMON STOCK    594918104      617     23760     SH               SOLE                          23760
                                                   49      1900     SH              OTHER                           1900
MOL MAGYAR         COMMON STOCK    608464202      207      5713     SH               SOLE                           5713
OLAJ-ES GAZIPARI
MOSAIC CO          COMMON STOCK    61945C103      392      7775     SH               SOLE                   30
                                                                                     SOLE                           7745
COLUMN TOTALS                                    4349





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
MOSAIC CO          COMMON STOCK    61945C103      392      7775     SH
                                                   13       260     SH              OTHER                            260
MUNICH RE GROUP    COMMON STOCK    626188106      344     28020     SH               SOLE                          28020
ADR
NTT DOCOMO INC     COMMON STOCK    62942M201      193     10512     SH               SOLE                          10512
SPONS ADR
NYSE EURONEXT COM  COMMON STOCK    629491101      307     11765     SH               SOLE                   40
                                                                                     SOLE                          11725
                                                   10       390     SH              OTHER                            390
NATIONAL OILWELL   COMMON STOCK    637071101      500      7360     SH               SOLE                   20
VARCO INC COM                                                                        SOLE                           7340
                                                   14       210     SH              OTHER                            210
NAVISTAR INTL      COMMON STOCK    63934E108      316      8335     SH               SOLE                   30
CORP NEW COM                                                                         SOLE                           8305
                                                   10       270     SH              OTHER                            270
NESTLE S A         COMMON STOCK    641069406      365      6318     SH               SOLE                           6318
SPONSORED ADR
NIDEC CORP         COMMON STOCK    654090109      357     16565     SH               SOLE                          16565
SPONSORED ADR
NIKE INC CL B      COMMON STOCK    654106103      313      3250     SH               SOLE                           3250
                                                   29       300     SH              OTHER                            300
NITTO DENKO CORP   COMMON STOCK    654802206      245      6908     SH               SOLE                           6908
NORFOLK SOUTHERN   COMMON STOCK    655844108      322      4425     SH               SOLE                   20
CORP COM                                                                             SOLE                           4405
                                                   11       150     SH              OTHER                            150
COLUMN TOTALS                                    3349





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
NOVARTIS A G       COMMON STOCK    66987V109      399      6976     SH               SOLE                  721
SPONSORED ADR                                                                        SOLE                           4785
                                                                                     SOLE                                    1470
OMNICOM GROUP INC  COMMON STOCK    681919106      640     14350     SH               SOLE                          14350
COM
                                                   62      1400     SH              OTHER                           1400
ON SEMICONDUCTOR   COMMON STOCK    682189105      317     41065     SH               SOLE                  150
CORP                                                                                 SOLE                          40915
                                                   11      1410     SH              OTHER                           1410
ORACLE CORP COM    COMMON STOCK    68389X105      496     19320     SH               SOLE                          19320
                                                   44      1700     SH              OTHER                           1700
PAYCHEX INC COM    COMMON STOCK    704326107      301     10005     SH               SOLE                 1270
                                                                                     SOLE                           6110
                                                                                     SOLE                                    2625
                                                   18       600     SH              OTHER                            600
PEPSICO INC        COMMON STOCK    713448108      794     11960     SH               SOLE                  570
                                                                                     SOLE                          10150
                                                                                     SOLE                                    1240
                                                  106      1600     SH              OTHER                  600
                                                                                    OTHER                           1000
PHILIP MORRIS      COMMON STOCK    718172109      447      5697     SH               SOLE                           5697
INTL INC COM
PRAXAIR INC COM    COMMON STOCK    74005P104      529      4950     SH               SOLE                           4950
                                                   53       500     SH              OTHER                            500
COLUMN TOTALS                                    4217





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
PRAXAIR INC COM    COMMON STOCK    74005P104       53       500     SH
PRICE T ROWE       COMMON STOCK    74144T108      624     10950     SH               SOLE                          10950
GROUP INC COM
                                                   63      1100     SH              OTHER                           1100
PROCTER & GAMBLE   COMMON STOCK    742718109      785     11760     SH               SOLE                  555
                                                                                     SOLE                          10050
                                                                                     SOLE                                    1155
                                                  107      1600     SH              OTHER                  600
                                                                                    OTHER                           1000
PRUDENTIAL FINL    COMMON STOCK    744320102      317      6325     SH               SOLE                   20
INC COM                                                                              SOLE                           6305
                                                   11       210     SH              OTHER                            210
PRUDENTIAL PLC     COMMON STOCK    74435K204      384     19435     SH               SOLE                          19435
ADR
RECKITT BENCKISER  COMMON STOCK    756255105      282     28610     SH               SOLE                          28610
GROUP PLC ADR
ROYAL DUTCH SHELL  COMMON STOCK    780259107      901     11860     SH               SOLE                  595
PLC                                                                                  SOLE                          10160
                                                                                     SOLE                                    1105
                                                   16       210     SH              OTHER                            210
RYANAIR HLDGS PLC  COMMON STOCK    783513104      244      8764     SH               SOLE                           8764
SPONSORED ADR
SKF AG ADR         COMMON STOCK    784375404      347     16497     SH               SOLE                          16497
SAB MILLER PLC     COMMON STOCK    78572M105      286      8157     SH               SOLE                           8157
SANDVIK AB ADR     COMMON STOCK    800212201      291     23890     SH               SOLE                          23890
SIEMENS A G        COMMON STOCK    826197501      384      4018     SH               SOLE                           4018
COLUMN TOTALS                                    5042





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
SIEMENS A G        COMMON STOCK    826197501      384      4018     SH
SMITH & NEPHEW     COMMON STOCK    83175M205      268      5556     SH               SOLE                           5556
PLC SPDN ADR NEW
SOCIEDAD QUIMICA   COMMON STOCK    833635105      262      4867     SH               SOLE                           4867
Y MINERA DE
STRYKER CORP COM   COMMON STOCK    863667101      395      7950     SH               SOLE                           7950
                                                   35       700     SH              OTHER                            700
SVENSKA CELLULOSA  COMMON STOCK    869587402      277     18887     SH               SOLE                          18887
ROGERS             ETF-EQUITY      870297801     4704    552778     SH               SOLE               552778
INTERNATIONAL CO
SYNGENTA AG        COMMON STOCK    87160A100      269      4572     SH               SOLE                           4572
SPONSORED ADR
TAIWAN             COMMON STOCK    874039100      387     29953     SH               SOLE                          29953
SEMICONDUCTOR MFG
TARGET CORP        COMMON STOCK    87612E106      454      8855     SH               SOLE                   35
                                                                                     SOLE                           8820
                                                   15       290     SH              OTHER                            290
TEVA               FOREIGN STOCK   881624209      533     13205     SH               SOLE                   33
PHARMACEUTICAL                                                                       SOLE                          13172
INDS LTDADR
                                                   10       260     SH              OTHER                            260
TEXAS CAPITAL      COMMON STOCK    88224Q107     1473     48106     SH               SOLE                                   48106
BANCSHARES, INC.
3M COMPANY COM     COMMON STOCK    88579Y101      588      7200     SH               SOLE                           7200
                                                   57       700     SH              OTHER                            700
TIME WARNER INC    COMMON STOCK    887317303      359      9940     SH               SOLE                   40
                                                                                     SOLE                           9900
COLUMN TOTALS                                   10086





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
TIME WARNER INC    COMMON STOCK    887317303      359      9940     SH
                                                   13       350     SH              OTHER                            350
TORONTO DOMINION   COMMON STOCK    891160509      625      8360     SH               SOLE                           8360
BK ONT COM NEW
UNILEVER N V N Y   COMMON STOCK    904784709      443     12900     SH               SOLE                 1280
SHS NEW                                                                              SOLE                           8995
                                                                                     SOLE                                    2625
                                                   10       290     SH              OTHER                            290
UNION              COMMON STOCK    907818108      341      3219     SH               SOLE                   14
                                                                                     SOLE                           3205
                                                   12       110     SH              OTHER                            110
UNITED OVERSEAS    COMMON STOCK    911271302      263     11178     SH               SOLE                          11178
BK LTD SPONSORED
UNITED             COMMON STOCK    913017109      581      7950     SH               SOLE                           7950
TECHNOLOGIES CORP
COM                                                51       700     SH              OTHER                            700
VANGUARD INTL      ETF-EQUITY      922042676     1106     27163     SH               SOLE                27163
EQUITY INDEX FEMR
VARIAN MED SYS     COMMON STOCK    92220P105      205      3060     SH               SOLE                           3060
INC COM
                                                   20       300     SH              OTHER                            300
VANGUARD           ETF-EQUITY      922908736     3804     61601     SH               SOLE                61601
                                                  281      4543     SH              OTHER                 4163
                                                                                    OTHER                            380
VODAFONE GROUP     COMMON STOCK    92857W209      814     29048     SH               SOLE                   60
COLUMN TOTALS                                    8569





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
VODAFONE GROUP     COMMON STOCK    92857W209      814     29048     SH               SOLE                          28988
PLC NEW SPONS ADR
                                                   15       550     SH              OTHER                            550
WAL MART DE        COMMON STOCK    93114W107      355     12955     SH               SOLE                          12955
MEXICO S A B DE
WATERS CORP COM    COMMON STOCK    941848103      341      4600     SH               SOLE                           4600
                                                   30       400     SH              OTHER                            400
WESTERN UN CO COM  COMMON STOCK    959802109      462     25325     SH               SOLE                   90
                                                                                     SOLE                          25235
                                                   15       840     SH              OTHER                            840
COOPER INDUSTRIES  COMMON STOCK    G24140108      324      5975     SH               SOLE                   20
                                                                                     SOLE                           5955
                                                   10       190     SH              OTHER                            190
INGERSOLL-RAND     COMMON STOCK    G47791101      307     10080     SH               SOLE                   40
PLC SHS                                                                              SOLE                          10040
                                                   10       330     SH              OTHER                            330
WILLIS GROUP       COMMON STOCK    G96666105      325      8365     SH               SOLE                   30
HOLDINGS PLC                                                                         SOLE                           8335
                                                   10       270     SH              OTHER                            270
ACE LTD SHS        COMMON STOCK    H0023R105      341      4858     SH               SOLE                   18
                                                                                     SOLE                           4840
                                                   11       160     SH              OTHER                            160
COLUMN TOTALS                                    2556





                           FORM 13F INFORMATION TABLE



                                               VALUE      SHS                                               VOTING AUTHORITY
NAME OF ISSUER          TITLE                    X        PRN      SH     PUT     INVSTMT    OTHER     --------------------------
SECURITY NAME         OF CLASS       CUSIP     $1000     AMOUNT    PRN    CALL    DISCRTN   MANAGERS    SOLE      SHARED    NONE
-----------------  --------------  ---------   ------   -------   ----   -----   --------   --------   -------   -------    -----
                                                                                           
CORE LABORATORIES  COMMON STOCK    N22717107      242      2123     SH               SOLE                           2123
FLEXTRONICS INTL   COMMON STOCK    Y2573F102      536     94625     SH               SOLE                  255
LTD ORD                                                                              SOLE                          94370
                                                   13      2318     SH              OTHER                           2318
COLUMN TOTALS                                     791
AGGREGATE TOTAL                                 93251