================================================================================

                                 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
                                   [_]  adds new holding entries

Institutional Investment Manager Filing this Report:

Name:     OLD NATIONAL TRUST COMPANY

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

13F File Number: 28-02327

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

Person Signing this Report on Behalf of Reporting Manager:

Name: ELLEN D SPRADLIN

Title: VICE PRESIDENT

Phone: (812) 464-1496

Signature, Place, and Date of Signing:

1  EVANSVILLE, INDIANA    02142012

Report Type (Check only one)

[X]  13F HOLDINGS REPORT

[_]  13F NOTICE

[_]  13F COMBINATION REPORT

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

================================================================================



                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                  0
Form 13F Information Table Entry Total:           362
Form 13F Information Table Value Total:     $ 738,148

List of Other Included Managers:

NONE




                  OLD NATIONAL TRUST COMPANY        SECURITIES AND EXCHANGE COMMISSION FORM 13F                        PAGE    1
                                                                    AS OF 12/31/11
  - - - - COL1 - - - - - - - - - - COL2 - - - - - COL3 - - - COL4 - - - -  COL5  - - - - COL6 - - COL7 - - - - - - COL8 - - - - - -
                                                                                      INVESTMENT
                                                          MARKET                      DISCRETION            VOTING AUTHORITY
                                                          VALUE       SHS OR     PUT SOLE SHR OTH OTH  SOLE      SHARED      NONE
 NAME OF ISSUER                TITLE OF CLASS  CUSIP      (X$1000)    PRN AMT    CALL (A) (B) (C) MGR   (A)        (B)        (C)
                                                                                      
 COVIDIEN PLC                       SHS        G2554F103       386      8,574 SH       X                 7,681                   893
 ABM INDS INC                       COM        000957100       204      9,879 SH       X                 6,750                 3,129
 AFLAC INC                          COM        001055102       205      4,732 SH       X                 4,732
 AFLAC INC                          COM        001055102        90      2,070 SH               X         2,070
 AGL RES INC                        COM        001204106       297      7,017 SH       X                 7,017
 AT&T INC                           COM        00206R102     1,669     55,182 SH       X                47,044                 8,138
 AT&T INC                           COM        00206R102     1,366     45,166 SH               X        44,106                 1,060
 ABBOTT LABS                        COM        002824100    11,455    203,713 SH       X               174,385                29,328
 ABBOTT LABS                        COM        002824100     4,744     84,376 SH               X        83,331        845        200
 ADVANCE AMER CASH ADVANCE CT       COM        00739W107       118     13,157 SH       X                 8,971                 4,186
 AETNA INC NEW                      COM        00817Y108       488     11,564 SH       X                11,564
 ALBEMARLE CORP                     COM        012653101     8,560    166,180 SH       X               139,857                26,323
 ALBEMARLE CORP                     COM        012653101       584     11,340 SH               X        10,174                 1,166
 ALCOA INC                          COM        013817101       198     22,855 SH       X                22,855
 ALCOA INC                          COM        013817101        18      2,049 SH               X         2,049
 ALLEGHENY TECHNOLOGIES INC         COM        01741R102       250      5,221 SH       X                 5,221
 ALTRIA GROUP INC                   COM        02209S103       899     30,335 SH       X                29,760                   575
 ALTRIA GROUP INC                   COM        02209S103       230      7,750 SH               X         7,750
 AMAZON COM INC                     COM        023135106       123        713 SH       X                   713
 AMAZON COM INC                     COM        023135106       216      1,248 SH               X         1,248
 AMERICAN EXPRESS CO                COM        025816109       766     16,237 SH       X                15,708                   529
 AMERICAN EXPRESS CO                COM        025816109         2         50 SH               X            50
 AMERIPRISE FINL INC                COM        03076C106       530     10,685 SH       X                10,685
 ANNALY CAP MGMT INC                COM        035710409       185     11,621 SH       X                10,946                   675
 APACHE CORP                        COM        037411105       182      2,009 SH       X                 1,920                    89





                                                                                      
 APACHE CORP                        COM        037411105       190      2,097 SH               X         2,097
 APPLE INC                          COM        037833100    24,115     59,542 SH       X                50,431                 9,111
 APPLE INC                          COM        037833100     2,230      5,507 SH               X         4,854        258        395
 ASSURANT INC                       COM        04621X108       245      5,960 SH       X                 5,619                   341
 AUTOMATIC DATA PROCESSING IN       COM        053015103       222      4,111 SH       X                 4,111
 AUTOMATIC DATA PROCESSING IN       COM        053015103       184      3,400 SH               X         3,400
 BB&T CORP                          COM        054937107       652     25,889 SH       X                25,889
 BP PLC ADR                      SPONS ADR     055622104       448     10,479 SH       X                 5,508                 4,971
 BALL CORP                          COM        058498106    19,442    544,446 SH       X               124,446    420,000
 BANK OF AMERICA CORPORATION        COM        060505104       201     36,189 SH       X                34,625                 1,564
 BANK OF AMERICA CORPORATION        COM        060505104         2        400 SH               X           100                   300
 BARCLAYS BK PLC              ETN DJUBS IND MT 06738G407    12,302    354,514 SH       X               275,493                79,021
 BECTON DICKINSON & CO              COM        075887109       423      5,663 SH       X                 5,374                   289
 BECTON DICKINSON & CO              COM        075887109        84      1,125 SH               X           725                   400
 BERKSHIRE HATHAWAY INC DEL       CL B NEW     084670702       818     10,725 SH       X                10,725
 BERKSHIRE HATHAWAY INC DEL       CL B NEW     084670702       189      2,474 SH               X         2,474
 BERRY PETE CO                      CL A       085789105       240      5,700 SH       X                 3,892                 1,808
 BOEING CO                          COM        097023105       221      3,008 SH       X                 2,778                   230
 BOEING CO                          COM        097023105       366      4,988 SH               X         4,988
 BRISTOL MYERS SQUIBB CO            COM        110122108     2,436     69,138 SH       X                60,665                 8,473
 BRISTOL MYERS SQUIBB CO            COM        110122108     1,125     31,926 SH               X        31,242                   684
 BRISTOW GROUP INC                  COM        110394103       239      5,041 SH       X                 3,489                 1,552
 BRUNSWICK CORP                     COM        117043109       460     25,453 SH       X                24,152                 1,301
 BUCKEYE TECHNOLOGIES INC           COM        118255108       230      6,868 SH       X                 4,686                 2,182
 CIGNA CORPORATION                  COM        125509109       413      9,834 SH       X                 9,834
 CA INC                             COM        12673P105       587     29,025 SH       X                27,315                 1,710
 CABOT CORP                         COM        127055101       212      6,600 SH       X                 4,507                 2,093
 CALAMOS INV TR NEW              GROWTH FD     128119302       301      6,490 SH       X                 6,490
 CARNIVAL CORP                   PAIRED CTF    143658300       953     29,209 SH       X                28,147                 1,062
 CARNIVAL CORP                   PAIRED CTF    143658300         1         38 SH               X            38
 CARPENTER TECHNOLOGY CORP          COM        144285103       237      4,612 SH       X                 3,149                 1,463





                                                                                      
 CASH AMER INTL INC                 COM        14754D100       340      7,294 SH       X                 4,970                 2,324
 CATERPILLAR INC DEL                COM        149123101       902      9,961 SH       X                 9,649                   312
 CATERPILLAR INC DEL                COM        149123101       509      5,620 SH               X         5,620
 CHEVRON CORP NEW                   COM        166764100    11,851    111,378 SH       X                97,512                13,866
 CHEVRON CORP NEW                   COM        166764100     2,076     19,513 SH               X        17,438                 2,075
 CHICOS FAS INC                     COM        168615102       384     34,462 SH       X                32,467                 1,995
 CHURCH & DWIGHT INC                COM        171340102    16,786    366,823 SH       X               310,407                56,416
 CHURCH & DWIGHT INC                COM        171340102     1,574     34,394 SH               X        29,027                 5,367
 CISCO SYS INC                      COM        17275R102       122      6,723 SH       X                 6,723
 CISCO SYS INC                      COM        17275R102       226     12,500 SH               X         9,800                 2,700
 CITIGROUP INC                    COM NEW      172967424     5,455    207,336 SH       X               166,697                40,639
 CITIGROUP INC                    COM NEW      172967424       212      8,052 SH               X         6,976                 1,076
 CLOROX CO DEL                      COM        189054109       559      8,399 SH       X                 8,399
 CLOROX CO DEL                      COM        189054109        13        200 SH               X           200
 COCA COLA CO                       COM        191216100     1,931     27,601 SH       X                25,201                 2,400
 COCA COLA CO                       COM        191216100       658      9,404 SH               X         9,404
 COGNIZANT TECHNOLOGY SOLUTIO       CL A       192446102       189      2,935 SH       X                 2,935
 COGNIZANT TECHNOLOGY SOLUTIO       CL A       192446102        37        574 SH               X           574
 COLGATE PALMOLIVE CO               COM        194162103       232      2,510 SH       X                 1,860                   650
 COLGATE PALMOLIVE CO               COM        194162103        23        250 SH               X           150                   100
 CONOCOPHILLIPS                     COM        20825C104     1,403     19,247 SH       X                18,889                   358
 CONOCOPHILLIPS                     COM        20825C104       292      4,009 SH               X         4,009
 CONSOLIDATED EDISON INC            COM        209115104       119      1,914 SH       X                 1,914
 CONSOLIDATED EDISON INC            COM        209115104       198      3,200 SH               X         3,200
 COOPER COS INC                   COM NEW      216648402       337      4,779 SH       X                 3,255                 1,524
 COSTCO WHSL CORP NEW               COM        22160K105     9,157    109,896 SH       X                93,098                16,798
 COSTCO WHSL CORP NEW               COM        22160K105       754      9,052 SH               X         7,337                 1,715
 CRANE CO                           COM        224399105       213      4,564 SH       X                 3,112                 1,452
 CUMMINS INC                        COM        231021106       294      3,335 SH       X                 3,335
 CUMMINS INC                        COM        231021106       189      2,149 SH               X         2,149
 DST SYS INC DEL                    COM        233326107       480     10,540 SH       X                 9,920                   620
 DANAHER CORP DEL                   COM        235851102    16,507    350,916 SH       X               296,864                54,052





                                                                                      
 DANAHER CORP DEL                   COM        235851102     1,417     30,129 SH               X        25,054      1,575      3,500
 DEERE & CO                         COM        244199105    12,816    165,693 SH       X               140,971                24,722
 DEERE & CO                         COM        244199105     1,131     14,626 SH               X        11,491                 3,135
1DIRECTV                          COM CL A     25490A101     9,332    218,238 SH       X               183,595                34,643
 DIRECTV                          COM CL A     25490A101       532     12,441 SH               X        11,131                 1,310
 DOMINION RES INC VA NEW            COM        25746U109       227      4,285 SH       X                 4,285
 DOMINION RES INC VA NEW            COM        25746U109        64      1,200 SH               X         1,200
 DOW CHEM CO                        COM        260543103       467     16,226 SH       X                16,226
 DOW CHEM CO                        COM        260543103       105      3,650 SH               X         2,850                   800
 DU PONT E I DE NEMOURS & CO        COM        263534109       615     13,441 SH       X                13,078                   363
 DU PONT E I DE NEMOURS & CO        COM        263534109     1,096     23,934 SH               X        23,934
 DUKE ENERGY CORP NEW               COM        26441C105       445     20,213 SH       X                20,213
 DUKE ENERGY CORP NEW               COM        26441C105       319     14,522 SH               X        13,654                   868
 E M C CORP MASS                    COM        268648102    12,762    592,495 SH       X               501,234                91,261
 E M C CORP MASS                    COM        268648102       872     40,482 SH               X        33,999                 6,483
 E TRADE FINANCIAL CORP           COM NEW      269246401       309     38,785 SH       X                36,493                 2,292
 EXCO RESOURCES INC                 COM        269279402       244     23,350 SH       X                21,825                 1,525
 EARTHLINK INC                      COM        270321102       224     34,795 SH       X                32,780                 2,015
 EASTMAN KODAK CO                   COM        277461109         9     13,363 SH       X                13,363
 EASTMAN KODAK CO                   COM        277461109         1      1,000 SH               X         1,000
 EATON CORP                         COM        278058102       659     15,134 SH       X                15,134
 EBAY INC                           COM        278642103       363     11,975 SH       X                11,270                   705
 ECOLAB INC                         COM        278865100        30        522 SH       X                   522
 ECOLAB INC                         COM        278865100       236      4,075 SH               X         2,485                 1,590
 EMERSON ELEC CO                    COM        291011104    11,778    252,791 SH       X               215,093                37,698
 EMERSON ELEC CO                    COM        291011104       854     18,328 SH               X        15,559                 2,769
 ENERGIZER HLDGS INC                COM        29266R108       389      5,025 SH       X                 5,025
 ENTERGY CORP NEW                   COM        29364G103       263      3,607 SH       X                 3,607
 ENTERGY CORP NEW                   COM        29364G103        24        323 SH               X           323
 EXPRESS SCRIPTS INC                COM        302182100       262      5,853 SH       X                 5,853
 EXXON MOBIL CORP                   COM        30231G102    28,432    335,438 SH       X               288,388                47,050





                                                                                      
 EXXON MOBIL CORP                   COM        30231G102     8,562    101,018 SH               X        82,569      1,169     17,280
 FAIR ISAAC CORP                    COM        303250104       536     14,944 SH       X                13,436                 1,508
 FIDELITY NATL INFORMATION SV       COM        31620M106       313     11,764 SH       X                11,070                   694
 FIFTH THIRD BANCORP                COM        316773100     1,022     80,358 SH       X                79,427                   931
 FIFTH THIRD BANCORP                COM        316773100        44      3,420 SH               X         3,420
 FIRST BK CORP, FT SMITH AR                    319109104     5,148      1,800 SH               X         1,800
 FIRST FINL CORP IND                COM        320218100     3,524    105,882 SH       X                75,358                30,524
 FIRST FINL CORP IND                COM        320218100       194      5,832 SH               X         5,832
 FORD MTR CO DEL               COM PAR $0.01   345370860       201     18,706 SH       X                18,306                   400
 FORD MTR CO DEL               COM PAR $0.01   345370860        38      3,496 SH               X         3,496
 FOREST OIL CORP               COM PAR $0.01   346091705       144     10,613 SH       X                 9,981                   632
 FORWARD AIR CORP                   COM        349853101       291      9,076 SH       X                 6,397                 2,679
 FRANKLIN RES INC                   COM        354613101     5,100     53,088 SH       X                44,148                 8,940
 FRANKLIN RES INC                   COM        354613101       341      3,549 SH               X         3,286                   263
 FREEPORT-MCMORAN CPR & GLD         COM        35671D857       199      5,422 SH       X                 1,924                 3,498
 GATX CORP                          COM        361448103       293      6,720 SH       X                 4,585                 2,135
 GENERAL DYNAMICS CORP              COM        369550108       612      9,218 SH       X                 8,616                   602
 GENERAL DYNAMICS CORP              COM        369550108        90      1,348 SH               X         1,348
 GENERAL ELECTRIC CO                COM        369604103     2,592    144,729 SH       X               141,248                 3,481
 GENERAL ELECTRIC CO                COM        369604103       866     48,363 SH               X        46,163                 2,200
1GENERAL MLS INC                    COM        370334104     1,043     25,818 SH       X                25,818
 GENERAL MLS INC                    COM        370334104        36        900 SH               X           900
 GERMAN AMERN BANCORP INC           COM        373865104       310     17,052 SH       X                17,052
 GERMAN AMERN BANCORP INC           COM        373865104        50      2,749 SH               X         2,749
 GLAXOSMITHKLINE PLC                COM        37733W105       339      7,439 SH       X                 6,839                   600
 GLOBE SPECIALTY METALS INC         COM        37954N206       154     11,514 SH       X                 7,865                 3,649
 GOLDMAN SACHS GROUP INC            COM        38141G104     4,995     55,234 SH       X                44,563                10,671
 GOLDMAN SACHS GROUP INC            COM        38141G104       298      3,297 SH               X         2,601                   696
 GOOGLE INC                         CL A       38259P508       193        299 SH       X                   299
 GOOGLE INC                         CL A       38259P508        28         44 SH               X            44
 GRAINGER W W INC                   COM        384802104       215      1,147 SH       X                 1,147
 GRAINGER W W INC                   COM        384802104        37        200 SH               X           200





                                                                                      
 GUESS INC                          COM        401617105       465     15,593 SH       X                10,640                 4,953
 HCC INS HLDGS INC                  COM        404132102       508     18,483 SH       X                12,317                 6,166
 HANCOCK HLDG CO                    COM        410120109       355     11,113 SH       X                 7,604                 3,509
 HANOVER INS GROUP INC              COM        410867105       400     11,454 SH       X                 7,835                 3,619
 HARTFORD FINL SVCS GROUP INC       COM        416515104       254     15,661 SH       X                15,661
 HEINZ H J CO                       COM        423074103       129      2,378 SH       X                 2,378
 HEINZ H J CO                       COM        423074103       108      2,000 SH               X         2,000
 HEWLETT PACKARD CO                 COM        428236103       104      4,054 SH       X                 4,054
 HEWLETT PACKARD CO                 COM        428236103       152      5,910 SH               X         4,107                 1,803
 HOME DEPOT INC                     COM        437076102       238      5,657 SH       X                 5,657
 HOME DEPOT INC                     COM        437076102        78      1,850 SH               X         1,300                   550
 HONEYWELL INTL INC                 COM        438516106       844     15,523 SH       X                15,523
 HONEYWELL INTL INC                 COM        438516106       128      2,350 SH               X         2,350
 HUMANA INC                         COM        444859102     9,803    111,894 SH       X                94,044                17,850
 HUMANA INC                         COM        444859102       471      5,381 SH               X         4,861                   520
 ILLINOIS TOOL WKS INC              COM        452308109        98      2,092 SH       X                 2,092
 ILLINOIS TOOL WKS INC              COM        452308109       106      2,268 SH               X         2,268
 IMAGING3 INC                       COM        45248F103        20    250,000 SH       X               250,000
 IMPERIAL PETE INC             COM PAR $0.006  453078305        34     75,000 SH       X                75,000
 INTEL CORP                         COM        458140100       966     39,825 SH       X                39,825
 INTEL CORP                         COM        458140100       571     23,558 SH               X        23,058                   500
 INTERFACE INC                      CL A       458665106       473     40,953 SH       X                27,919                13,034
 INTERNATIONAL BUSINESS MACHS       COM        459200101    19,333    105,140 SH       X                88,238                16,902
 INTERNATIONAL BUSINESS MACHS       COM        459200101     3,404     18,511 SH               X        17,254                 1,257
 INTERSIL CORP                      CL A       46069S109       341     32,629 SH       X                22,262                10,367
 INTERPUBLIC GROUP COS INC          COM        460690100       552     56,685 SH       X                53,385                 3,300
 INTUITIVE SURGICAL INC           COM NEW      46120E602        81        174 SH       X                   174
 INTUITIVE SURGICAL INC           COM NEW      46120E602       139        300 SH               X           300
 ISHARES S&P 500 INDEX FD           ETF        464287200       235      1,867 SH       X                 1,867
 ISHARES RUSSELL MIDCAP GRWTH     INDEX FD     464287481    10,667    193,771 SH       X               193,771
 JPMORGAN CHASE & CO                COM        46625H100    10,841    326,044 SH       X               273,650                52,394





                                                                                      
 JPMORGAN CHASE & CO                COM        46625H100     1,084     32,600 SH               X        29,755      1,685      1,160
 JMP GROUP INC                      COM        46629U107        87     12,219 SH       X                 8,330                 3,889
 JOHNSON & JOHNSON                  COM        478160104     1,531     23,341 SH       X                21,908                 1,433
 JOHNSON & JOHNSON                  COM        478160104     1,684     25,674 SH               X        22,874                 2,800
 KELLOGG CO                         COM        487836108       381      7,539 SH       X                 7,539
1KELLOGG CO                         COM        487836108        66      1,300 SH               X         1,300
 KIMBALL INTL INC                   CL A       494274202        89     17,500 SH       X                16,000                 1,500
 KIMBERLY CLARK CORP                COM        494368103     1,117     15,180 SH       X                14,980                   200
 KIMBERLY CLARK CORP                COM        494368103       110      1,500 SH               X         1,500
 KRAFT FOODS INC                    CL A       50075N104       704     18,840 SH       X                18,509                   331
 KRAFT FOODS INC                    CL A       50075N104       524     14,023 SH               X        14,023
 LANDAUER INC                       COM        51476K103       185      3,599 SH       X                 1,662                 1,937
 LAS VEGAS SANDS CORP               COM        517834107       224      5,235 SH       X                 5,140                    95
 LASALLE HOTEL PPTYS           COM SH BEN INT  517942108       211      8,732 SH       X                 5,957                 2,775
 LENDER PROCESSING SVCS INC         COM        52602E102       178     11,829 SH       X                11,145                   684
 LENNOX INTL INC                    COM        526107107       252      7,456 SH       X                 5,012                 2,444
 LEUCADIA NATL CORP                 COM        527288104       570     25,063 SH       X                23,580                 1,483
 LEXMARK INTL NEW                   CL A       529771107       451     13,643 SH       X                12,820                   823
 LIFE TECHNOLOGIES CORP             COM        53217V109       346      8,897 SH       X                 8,371                   526
 LILLY ELI & CO                     COM        532457108     1,351     32,506 SH       X                32,506
 LILLY ELI & CO                     COM        532457108     1,848     44,468 SH               X        44,468
 LINCOLN NATL CORP IND              COM        534187109       607     31,239 SH       X                30,358                   881
 LINCOLN NATL CORP IND              COM        534187109        39      2,000 SH               X         2,000
 LOCKHEED MARTIN CORP               COM        539830109       693      8,562 SH       X                 8,562
 LORD ABBETT SECS TR            FUNDM EQTY F   543915565       142     11,777 SH               X                   11,777
 LOWES COS INC                      COM        548661107        44      1,720 SH       X                 1,720
 LOWES COS INC                      COM        548661107       251      9,897 SH               X         7,797                 2,100
 MFS CHARTER INCOME TRUST        SH BEN INT    552727109       126     13,805 SH       X                11,305                 2,500
 MCDONALDS CORP                     COM        580135101    21,374    213,033 SH       X               178,951                34,082
 MCDONALDS CORP                     COM        580135101     2,497     24,886 SH               X        21,647        909      2,330
 MEDTRONIC INC                      COM        585055106       209      5,463 SH       X                 4,463                 1,000
 MERCADOLIBRE INC                   COM        58733R102       439      5,519 SH       X                 5,395                   124





                                                                                      
 MERCK & CO INC NEW                 COM        58933Y105     2,017     53,508 SH       X                52,942                   566
 MERCK & CO INC NEW                 COM        58933Y105       802     21,273 SH               X        21,273
 MEREDITH CORP                      COM        589433101       235      7,200 SH       X                 4,914                 2,286
 METLIFE INC                        COM        59156R108     8,576    275,049 SH       X               222,511                52,538
 METLIFE INC                        COM        59156R108       363     11,639 SH               X         9,383                 2,256
 MICROSOFT CORP                     COM        594918104       591     22,775 SH       X                21,734                 1,041
 MICROSOFT CORP                     COM        594918104       296     11,396 SH               X         7,596                 3,800
 MICROCHIP TECHNOLOGY INC           COM        595017104       163      4,444 SH       X                 4,444
 MICROCHIP TECHNOLOGY INC           COM        595017104        82      2,241 SH               X         2,241
 MID-AMER APT CMNTYS INC            COM        59522J103       223      3,559 SH       X                 2,426                 1,133
 NATIONAL RETAIL PROPERTIES I       COM        637417106       213      8,075 SH       X                 5,507                 2,568
 NETSCOUT SYS INC                   COM        64115T104       279     15,833 SH       X                14,867                   966
 NEWMONT MINING CORP                COM        651639106       360      6,000 SH       X                 6,000
 NEXTERA ENERGY INC                 COM        65339F101       711     11,681 SH       X                11,206                   475
 NEXTERA ENERGY INC                 COM        65339F101       548      9,004 SH               X         8,604                   400
 NISOURCE INC                       COM        65473P105       212      8,923 SH       X                 8,923
 NISOURCE INC                       COM        65473P105        14        600 SH               X           600
 NOBLE ENERGY INC                   COM        655044105    17,278    183,052 SH       X               155,415                27,637
 NOBLE ENERGY INC                   COM        655044105     1,239     13,131 SH               X        11,436                 1,695
 NORFOLK SOUTHERN CORP              COM        655844108       191      2,618 SH       X                 2,404                   214
 NORFOLK SOUTHERN CORP              COM        655844108        73      1,000 SH               X         1,000
 NORTHERN TR CORP                   COM        665859104        12        290 SH       X                   290
 NORTHERN TR CORP                   COM        665859104       207      5,225 SH               X         4,615                   610
 NUTRI SYS INC NEW                  COM        67069D108       153     11,818 SH       X                 8,064                 3,754
 OCCIDENTAL PETROLEUM CORP          COM        674599105       207      2,212 SH       X                   321                 1,891
 OLD NATL BANCORP IND               COM        680033107    10,181    873,870 SH       X               336,040               537,830
 OLD NATL BANCORP IND               COM        680033107     4,382    376,155 SH               X        68,816               307,339
 OLIN CORP                       COM PAR $1    680665205       309     15,730 SH       X                10,731                 4,999
 OMNICARE INC                       COM        681904108       607     17,613 SH       X                15,814                 1,799
1OMNICOM GROUP INC                  COM        681919106       568     12,733 SH       X                12,021                   712
 ORACLE CORP                        COM        68389X105    11,106    432,979 SH       X               365,180                67,799





                                                                                      
 ORACLE CORP                        COM        68389X105       750     29,222 SH               X        26,347      1,950        925
 PPG INDS INC                       COM        693506107        71        847 SH       X                   847
 PPG INDS INC                       COM        693506107       250      3,000 SH               X         3,000
 PEABODY ENERGY CORP                COM        704549104       198      5,973 SH       X                 5,593                   380
 PEPSICO INC                        COM        713448108     3,410     51,396 SH       X                50,225                 1,171
 PEPSICO INC                        COM        713448108     1,004     15,133 SH               X        13,278                 1,855
 PFIZER INC                         COM        717081103     1,499     69,263 SH       X                67,316                 1,947
 PFIZER INC                         COM        717081103       573     26,477 SH               X        24,977                 1,500
 PHILIP MORRIS INTL INC             COM        718172109     1,329     16,936 SH       X                16,936
 PHILIP MORRIS INTL INC             COM        718172109       538      6,850 SH               X         6,850
 PLANTRONICS INC NEW                COM        727493108       249      6,979 SH       X                 4,767                 2,212
 PLUM CREEK TIMBER CO INC           COM        729251108       356      9,730 SH       X                 9,730
 PRAXAIR INC                        COM        74005P104    17,410    162,858 SH       X               137,866                24,992
 PRAXAIR INC                        COM        74005P104     1,464     13,695 SH               X        11,818                 1,877
 PRECISION CASTPARTS CORP           COM        740189105     1,206      7,320 SH       X                 7,320
 PRICE T ROWE GROUP INC             COM        74144T108       118      2,078 SH       X                 2,078
 PRICE T ROWE GROUP INC             COM        74144T108        94      1,650 SH               X           450                 1,200
 PROCTER & GAMBLE CO                COM        742718109       908     13,607 SH       X                13,607
 PROCTER & GAMBLE CO                COM        742718109       581      8,716 SH               X         7,031                 1,685
 PROTECTIVE LIFE CORP               COM        743674103       237     10,500 SH       X                 7,163                 3,337
 PUBLIC SVC ENTERPRISE GROUP        COM        744573106       504     15,257 SH       X                14,696                   561
 PUBLIC SVC ENTERPRISE GROUP        COM        744573106        12        353 SH               X           353
 QEP RES INC                        COM        74733V100       352     12,000 SH               X        12,000
 QUALCOMM INC                       COM        747525103    13,612    248,852 SH       X               209,707                39,145
 QUALCOMM INC                       COM        747525103       792     14,470 SH               X        13,326                 1,144
 QUANTA SVCS INC                    COM        74762E102     7,977    370,346 SH       X               311,974                58,372
 QUANTA SVCS INC                    COM        74762E102       460     21,376 SH               X        19,089                 2,287
 QUESTAR CORP                       COM        748356102       218     11,000 SH               X        11,000
 RADIOSHACK CORP                    COM        750438103       181     18,684 SH       X                12,750                 5,934
 RENT A CTR INC NEW                 COM        76009N100       212      5,721 SH       X                 3,908                 1,813
 RYDER SYS INC                      COM        783549108       229      4,310 SH       X                 2,938                 1,372
 SAIC INC                           COM        78390X101       139     11,344 SH       X                10,660                   684





                                                                                      
 SPDR TR UNIT SER 1S&P 500ETF     TR UNIT      78462F103     2,692     21,452 SH       X                18,768                 2,684
 SCHLUMBERGER LTD                   COM        806857108    13,227    193,625 SH       X               166,627                26,998
 SCHLUMBERGER LTD                   COM        806857108     1,179     17,257 SH               X        14,365        772      2,120
 SCHOLASTIC CORP                    COM        807066105       221      7,377 SH       X                 5,030                 2,347
 SELECT SECTOR SPDR TR         SBI HEALTHCARE  81369Y209    21,834    629,401 SH       X               531,604                97,797
 SELECT SECTOR SPDR TR         SBI HEALTHCARE  81369Y209     1,394     40,194 SH               X        34,474                 5,720
 SELECT SECTOR SPDR TR         SBI CONS DISCR  81369Y407     5,762    147,680 SH       X               125,570                22,110
 SELECT SECTOR SPDR TR         SBI CONS DISCR  81369Y407       326      8,355 SH               X         7,708                   647
1SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605    11,899    915,320 SH       X               844,328                70,992
 SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605     1,721    132,375 SH               X       132,375
 SELECT SECTOR SPDR TR           TECHNOLOGY    81369Y803       371     14,588 SH       X                14,588
 SELECT SECTOR SPDR TR           TECHNOLOGY    81369Y803        24        925 SH               X           925
 SIMON PPTY GROUP INC NEW           COM        828806109        46        355 SH       X                   187                   168
 SIMON PPTY GROUP INC NEW           COM        828806109       197      1,531 SH               X         1,531
 SMITH A O                          COM        831865209       665     16,578 SH       X                11,303                 5,275
 SNAP ON INC                        COM        833034101       436      8,623 SH       X                 5,882                 2,741
 SONIC AUTOMOTIVE INC               CL A       83545G102       201     13,568 SH       X                 9,310                 4,258
 SOUTHERN CO                        COM        842587107     1,382     29,854 SH       X                29,294                   560
 SOUTHERN CO                        COM        842587107        93      2,000 SH               X         2,000
 SOUTHERN COPPER CORP               COM        84265V105       210      6,968 SH       X                 6,838                   130
 SPECTRA ENERGY CORP                COM        847560109       590     19,193 SH       X                19,193
 SPECTRA ENERGY CORP                COM        847560109       110      3,590 SH               X         3,590
 STANCORP FINL GROUP INC            COM        852891100       668     18,180 SH       X                14,208                 3,972
 STERICYCLE INC                     COM        858912108     7,737     99,292 SH       X                84,198                15,094
 STERICYCLE INC                     COM        858912108       724      9,292 SH               X         7,522                 1,770
 SYSCO CORP                         COM        871829107       132      4,497 SH       X                 4,497
 SYSCO CORP                         COM        871829107       120      4,100 SH               X         4,100
 TJX COS INC NEW                    COM        872540109    12,360    191,482 SH       X               161,787                29,695
 TJX COS INC NEW                    COM        872540109       868     13,447 SH               X        12,589                   858
 TANGER FACTORY OUTLET CTRS I       COM        875465106       200      6,823 SH       X                 4,654                 2,169
 TARGET CORP                        COM        87612E106    13,406    261,730 SH       X               223,554                38,176





                                                                                      
 TARGET CORP                        COM        87612E106     1,277     24,936 SH               X        22,018                 2,918
 TEVA PHARMACEUTICAL INDS LTD       ADR        881624209     1,155     28,626 SH       X                26,596                 2,030
 TEXTRON INC                        COM        883203101       506     27,348 SH       X                27,348
 THERMO FISHER SCIENTIFIC INC       COM        883556102    11,114    247,148 SH       X               208,030                39,118
 THERMO FISHER SCIENTIFIC INC       COM        883556102       827     18,387 SH               X        15,628                 2,759
 THOMAS & BETTS CORP                COM        884315102       532      9,749 SH       X                 9,749
 THOR INDS INC                      COM        885160101       262      9,538 SH       X                 6,512                 3,026
 3M CO                              COM        88579Y101     2,020     24,718 SH       X                24,372                   346
 3M CO                              COM        88579Y101       232      2,841 SH               X         2,841
 TIDEWATER INC                      COM        886423102       196      3,985 SH       X                 2,743                 1,242
 TIME WARNER INC                  COM NEW      887317303       336      9,298 SH       X                 8,921                   377
 TIME WARNER INC                  COM NEW      887317303         1         36 SH               X            36
 UMB FINL CORP                      COM        902788108       314      8,429 SH       X                 5,764                 2,665
 US BANCORP DEL                   COM NEW      902973304       204      7,546 SH       X                 7,089                   457
 US BANCORP DEL                   COM NEW      902973304        66      2,443 SH               X         1,743                   700
 UNILEVER NV NY SHS                 ADR        904784709       200      5,826 SH       X                 5,384                   442
 UNION PAC CORP                     COM        907818108       261      2,465 SH       X                 2,190                   275
 UNION PAC CORP                     COM        907818108     1,005      9,482 SH               X         9,482
 UNITED TECHNOLOGIES CORP           COM        913017109     1,260     17,243 SH       X                14,413                 2,830
 UNITED TECHNOLOGIES CORP           COM        913017109       418      5,722 SH               X         4,837                   885
 UNITEDHEALTH GROUP                 COM        91324P102       196      3,876 SH       X                   252                 3,624
 VF CORPORATION                     COM        918204108       182      1,431 SH       X                   631                   800
 VALSPAR CORP                       COM        920355104       619     15,892 SH       X                10,838                 5,054
 VANGUARD INTL EQITY INDEX FD       ETF        922042858       609     15,939 SH       X                13,114                 2,825
 VECTREN CORP                       COM        92240G101     7,494    247,904 SH       X               201,758                46,146
 VECTREN CORP                       COM        92240G101     1,184     39,175 SH               X        36,244                 2,931
 VANGUARD INDEX FDS               REIT ETF     922908553    19,839    342,060 SH       X               325,123                16,937
 VANGUARD INDEX FDS            TOTAL STK MKT   922908769       558      8,676 SH               X         8,676
 VERIZON COMMUNICATIONS INC         COM        92343V104       595     14,824 SH       X                11,456                 3,368
 VERIZON COMMUNICATIONS INC         COM        92343V104       406     10,113 SH               X         9,863                   250
 VIACOM INC NEW                     CL B       92553P201       632     13,912 SH       X                13,090                   822
 VISA INC                         COM CL A     92826C839    20,983    206,667 SH       X               174,880                31,787





                                                                                      
 VISA INC                         COM CL A     92826C839     1,388     13,675 SH               X        12,027                 1,648
 VODAFONE GROUP PLC NEW             ADR        92857W209       388     13,828 SH       X                11,390                 2,438
 WAL MART STORES INC                COM        931142103     7,330    122,654 SH       X               105,658                16,996
 WAL MART STORES INC                COM        931142103       575      9,628 SH               X         8,063                 1,565
 WALGREEN CO                        COM        931422109    12,067    364,991 SH       X               307,724                57,267
 WALGREEN CO                        COM        931422109       911     27,546 SH               X        24,152                 3,394
 WASHINGTON REAL ESTATE INVT     SH BEN INT    939653101       272      9,953 SH       X                 7,913                 2,040
 WASTE MGMT INC DEL                 COM        94106L109       667     20,377 SH       X                20,377
 WATSCO INC                         COM        942622200       256      3,900 SH       X                 2,667                 1,233
 WELLPOINT INC                      COM        94973V107       703     10,615 SH       X                 9,322                 1,293
 WELLPOINT INC                      COM        94973V107        20        299 SH               X           299
 WELLS FARGO & CO NEW               COM        949746101    11,697    424,434 SH       X               355,030                69,404
 WELLS FARGO & CO NEW               COM        949746101       658     23,870 SH               X        21,238                 2,632
 WENDYS CO                          COM        95058W100       258     48,125 SH       X                32,838                15,287
 WHIRLPOOL CORP                     COM        963320106       254      5,346 SH       X                 5,346
 WILLIAMS SONOMA INC                COM        969904101       200      5,200 SH       X                 3,548                 1,652
 XEROX CORP                         COM        984121103       492     61,747 SH       X                58,067                 3,680
 YUM BRANDS INC                     COM        988498101     1,268     21,480 SH       X                21,480
 YUM BRANDS INC                     COM        988498101        42        720 SH               X           720
 ZIMMER HLDGS INC                   COM        98956P102       349      6,535 SH       X                 6,078                   457
 ZIMMER HLDGS INC                   COM        98956P102        53      1,001 SH               X           921                    80

 FINAL TOTALS                                              738,148


 FORM 13F INFORMATION TABLE ENTRY TOTAL      362