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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 12/31/10

CHECK HERE IF AMENDMENT           [ ]; AMENDMENT NUMBER: _______
THIS AMENDMENT (CHECK ONLY ONE.): [ ] IS A RESTATEMENT.
                                  [ ] ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

NAME:    Peapack Gladstone Financial Corp
ADDRESS: 500 Hills Drive Suite 300
         P O Box 700
         Bedminster, NJ 07921

13F FILE NUMBER: 001-16197

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:  Michael Pylypyshyn
TITLE: First VP & Senior Trust OPS Of
PHONE: (908)719-3306

SIGNATURE,PLACE,AND DATE OF SIGNING:


        Michael Pylypyshyn              Gladstone, NJ              1/12/11

REPORT TYPE (CHECK ONLY ONE.):

[X]  13F HOLDINGS REPORT

[ ]  13F NOTICE

[ ]  13F COMBINATION REPORT

LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:

     NONE

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


                             FORM 13F SUMMARY PAGE



INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 1

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                            -----------------------
ABBOTT LABS                                 002824100   5699469   118962        X                  115697     1490     1775
ABBOTT LABS                                 002824100   2661496    55552              X             39377    15900      275
ADOBE SYS INC                               00724F101   3455363   112260        X                  109865     1275     1120
ADOBE SYS INC                               00724F101   1771912    57567              X             42915    14252      400
AFLAC INC                                   001055102    196941     3490        X                    3490        0        0
AFLAC INC                                   001055102     11286      200              X                 0      200        0
AIR PRODUCTS & CHEMICALS
   INC                                      009158106   6893464    75794        X                   65669     9475      650
AIR PRODUCTS & CHEMICALS
   INC                                      009158106   2568792    28244              X             19000     9244        0
ALLSTATE CORP                               020002101    114768     3600        X                    2400        0     1200
ALLSTATE CORP                               020002101    191280     6000              X              6000        0        0
ALTERA CORP                                 021441100    466240    13104        X                   13104        0        0
ALTERA CORP                                 021441100    288198     8100              X              6000     2100        0
ALTRIA GROUP INC                            02209S103    129871     5275        X                    4500        0      775
ALTRIA GROUP INC                            02209S103     93556     3800              X              3800        0        0
AMAZON.COM INC                              023135106    222840     1238        X                    1238        0        0
AMERICAN ELEC PWR INC                       025537101     85920     2388        X                    2388        0        0
AMERICAN ELEC PWR INC                       025537101    210663     5855              X              2237     3618        0
AMERICAN EXPRESS CO                         025816109    322801     7521        X                    5971        0     1550
AMERICAN EXPRESS CO                         025816109    198076     4615              X              4320      295        0
AMGEN INC                                   031162100   1097561    19992        X                   19067      100      825
AMGEN INC                                   031162100    456219     8310              X              4175     4135        0
ANADARKO PETROLEUM
   CORPORATION                              032511107    246758     3240        X                    3240        0        0
ANADARKO PETROLEUM
   CORPORATION                              032511107    740275     9720              X              7920        0     1800
AON CORP                                    037389103    500681    10882        X                   10882        0        0
APACHE CORP                                 037411105    164537     1380        X                    1380        0        0
APACHE CORP                                 037411105    111480      935              X               635        0      300
APPLE INC                                   037833100   1081866     3354        X                    3229        0      125
APPLE INC                                   037833100    598671     1856              X              1340      156      360
APPLIED MATERIALS INC                       038222105    202671    14425        X                   14425        0        0
APPLIED MATERIALS INC                       038222105     42080     2995              X              2935       60        0
ARCHER DANIELS MIDLAND CO                   039483102    157830     5247        X                    5247        0        0
ARCHER DANIELS MIDLAND CO                   039483102     63469     2110              X              2110        0        0
ASHLAND INC                                 044209104   1064246    20925        X                    9925    11000        0
ASHLAND INC                                 044209104     15614      307              X               157      150        0
AT&T INC                                    00206R102   4880488   166116        X                  135066    25000     6050
AT&T INC                                    00206R102   3127472   106449              X             72893    28101     5455
AUTOMATIC DATA PROCESSING
   INC                                      053015103   4487540    96965        X                   93815     2550      600
AUTOMATIC DATA PROCESSING
   INC                                      053015103   2336446    50485              X             34250    15835      400
AVI BIOPHARMA INC                           002346104     31800    15000              X             15000        0        0
AVON PRODUCTS INC                           054303102    239803     8252        X                    8252        0        0
BANK OF AMERICA CORP                        060505104    915698    68643        X                   65443     2200     1000
BANK OF AMERICA CORP                        060505104    660397    49505              X             37660    10545     1300
BECTON DICKINSON                            075887109   1325696    15685        X                   14735      650      300
BECTON DICKINSON                            075887109   1434727    16975              X             15325     1150      500
                                                       -------- -------- ---- ----- -----        -------- -------- --------
SUBTOTALS FOR THIS PAGE                                51566961  1213318                          1027077   159481    26760







INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 2

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                            -----------------------
BERKSHIRE HATHAWAY INC
   CLASS A                                  084670108    240900        2        X                       2        0        0
BERKSHIRE HATHAWAY
   INC-CL B                                 084670702    268369     3350        X                    3350        0        0
BERKSHIRE HATHAWAY
   INC-CL B                                 084670702    240330     3000              X               650     2350        0
BLACKROCK INC CL A                          09247X101    797006     4182        X                    3712      100      370
BLACKROCK INC CL A                          09247X101    419276     2200              X              1170     1030        0
BOEING CO                                   097023105    193496     2965        X                    2965        0        0
BOEING CO                                   097023105     84838     1300              X              1300        0        0
BRISTOL MYERS SQUIBB CO                     110122108    692743    26161        X                   22511        0     3650
BRISTOL MYERS SQUIBB CO                     110122108   1027954    38820              X             38820        0        0
BUCKEYE PARTNERS LP                         118230101    696703    10425        X                    9975        0      450
BUCKEYE PARTNERS LP                         118230101    739808    11070              X              9195     1875        0
CATERPILLAR INC                             149123101   3490708    37270        X                   27270    10000        0
CATERPILLAR INC                             149123101   2289144    24441              X             17171     7070      200
CENTER BANCORP INC                          151408101    179553    22031        X                   22031        0        0
CENTER BANCORP INC                          151408101     24450     3000              X                 0     3000        0
CHEVRON CORPORATION                         166764100  11636200   127520        X                  114545    10425     2550
CHEVRON CORPORATION                         166764100   6327549    69343              X             48715    16428     4200
CHUBB CORP                                  171232101   5058367    84815        X                   81635     1600     1580
CHUBB CORP                                  171232101   2919378    48950              X             37755    11195        0
CISCO SYSTEMS INC                           17275R102   2884272   142574        X                  138899     1075     2600
CISCO SYSTEMS INC                           17275R102   2022636    99982              X             76665    23317        0
CITIGROUP INC                               172967101     41965     8872        X                    8872        0        0
CITIGROUP INC                               172967101     68131    14404              X             10156     1325     2923
CITRIX SYSTEMS INC                          177376100    621847     9090        X                    9090        0        0
CITRIX SYSTEMS INC                          177376100     56780      830              X               375      455        0
COCA COLA CO                                191216100   1574468    23939        X                   23239      700        0
COCA COLA CO                                191216100    228551     3475              X              1200      200     2075
COLGATE PALMOLIVE CO                        194162103   2128278    26481        X                   26481        0        0
COLGATE PALMOLIVE CO                        194162103    736350     9162              X              7882      880      400
COMCAST CORP-CL A                           20030N101    146738     6679        X                    6679        0        0
COMCAST CORP-CL A                           20030N101    150495     6850              X              6303      547        0
COMCAST CORP-SPECIAL CL A                   20030N200    545347    26206              X             26206        0        0
CONOCOPHILLIPS                              20825C104   1027152    15083        X                   14975      108        0
CONOCOPHILLIPS                              20825C104    875630    12858              X             11413     1445        0
CONSOLIDATED EDISON INC                     209115104   1029371    20766        X                   20766        0        0
CONSOLIDATED EDISON INC                     209115104     36236      731              X               731        0        0
COSTCO WHOLESALE CORP NEW                   22160K105   4400044    60934        X                   58284     1300     1350
COSTCO WHOLESALE CORP NEW                   22160K105   3337546    46220              X             36165     9805      250
CSX CORP                                    126408103     64610     1000        X                    1000        0        0
CSX CORP                                    126408103    180391     2792              X              2792        0        0
CUMMINS INC                                 231021106     11001      100        X                     100        0        0
CUMMINS INC                                 231021106    220020     2000              X              2000        0        0
CVS CAREMARK CORP                           126650100    130388     3750        X                    3750        0        0
CVS CAREMARK CORP                           126650100    173224     4982              X              2980     2002        0
                                                       -------- -------- ---- ----- -----        -------- -------- --------
SUBTOTALS FOR THIS PAGE                                60018243  1070605                           939775   108232    22598







INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 3

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                            -----------------------
DANAHER CORP                                235851102   3639637    77160        X                   75060     1500      600
DANAHER CORP                                235851102   1518497    32192              X             20160    12032        0
DATARAM CORP                                238108203     19856    12647        X                   12647        0        0
DEERE & CO                                  244199105    462173     5565        X                    3865        0     1700
DEERE & CO                                  244199105    784823     9450              X              6200     2250     1000
DEVON ENERGY CORPORATION                    25179M103    288917     3680        X                    3365        0      315
DEVON ENERGY CORPORATION                    25179M103     21590      275              X               275        0        0
DISNEY WALT CO NEW                          254687106   5189696   138355        X                  132245     3085     3025
DISNEY WALT CO NEW                          254687106   2873416    76604              X             59511    17093        0
DOMINION RESOURCES INC                      25746U109   1932482    45236        X                   40408     1300     3528
DOMINION RESOURCES INC                      25746U109   1628187    38113              X             24908    12801      404
DOVER CORP                                  260003108    134435     2300        X                    1800        0      500
DOVER CORP                                  260003108    127421     2180              X              2000      180        0
DOW CHEMICAL COMPANY                        260543103    245808     7200        X                    4000        0     3200
DOW CHEMICAL COMPANY                        260543103    365366    10702              X              8865       37     1800
DU PONT E I DE NEMOURS &
   CO                                       263534109   4425154    88716        X                   71466    15200     2050
DU PONT E I DE NEMOURS &
   CO                                       263534109   1671479    33510              X             19400    14110        0
DUKE ENERGY CORP                            26441C105    690707    38782        X                   35007      625     3150
DUKE ENERGY CORP                            26441C105    692702    38894              X             23658    13300     1936
EL PASO CORPORATION                         28336L109    738912    53700        X                   53700        0        0
EL PASO CORPORATION                         28336L109    159478    11590              X             10590     1000        0
EMC CORP MASS                               268648102    701977    30654        X                   30454        0      200
EMC CORP MASS                               268648102    353462    15435              X             12585     2850        0
EMERSON ELEC CO                             291011104   1312680    22961        X                   15961     6000     1000
EMERSON ELEC CO                             291011104   1233214    21571              X             21571        0        0
ENBRIDGE ENERGY PARTNERS
   LP                                       29250R106    424184     6800        X                    6200        0      600
ENBRIDGE ENERGY PARTNERS
   LP                                       29250R106    332485     5330              X              5330        0        0
ENTERGY CORP                                29364G103    252509     3565        X                    3565        0        0
ENTERGY CORP                                29364G103    141660     2000              X              2000        0        0
ENTERPRISE PRODS PARTNERS
   LP                                       293792107    300674     7226        X                    6276        0      950
ENTERPRISE PRODS PARTNERS
   LP                                       293792107     29127      700              X               700        0        0
EXELON CORP                                 30161N101    364392     8751        X                    8241      510        0
EXELON CORP                                 30161N101    104100     2500              X               150     2350        0
EXPRESS SCRIPTS INC CL A                    302182100   2190647    40530        X                   39940      390      200
EXPRESS SCRIPTS INC CL A                    302182100    848855    15705              X             10190     5515        0
EXXONMOBIL CORP                             30231G102  19175062   262241        X                  258146     1795     2300
EXXONMOBIL CORP                             30231G102  17251640   235936              X            153874    29200    52862
FIDELITY NATL INFORMATION
   SVCS                                     31620M106  22035173   804497        X                     316   804181        0
FIDELITY NATL INFORMATION
   SVCS                                     31620M106     21939      801              X               801        0        0
FIRST SOLAR INC                             336433107    240108     1845        X                    1845        0        0
FIRST SOLAR INC                             336433107    208224     1600              X               925      575      100
FORD MOTOR CO DEL                           345370860    175791    10470        X                   10470        0        0
FORD MOTOR CO DEL                           345370860    276196    16450              X             16450        0        0
                                                       -------- -------- ---- ----- -----        -------- -------- --------
SUBTOTALS FOR THIS PAGE                                95584835  2244419                          1215120   947879    81420






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 4

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                            -----------------------
FORTUNE BRANDS INC                          349631101     39163      650        X                     650        0        0
FORTUNE BRANDS INC                          349631101    265100     4400              X              3400     1000        0
FRANKLIN RESOURCES INC                      354613101   1404026    12625        X                   12625        0        0
FREEPORT-MCMORAN COPPER
   AND GOLD INC                             35671D857     42152      351        X                     351        0        0
FREEPORT-MCMORAN COPPER
   AND GOLD INC                             35671D857    278849     2322              X               500     1822        0
FRONTIER COMMUNICATIONS
   CORP                                     35906A108    132990    13668        X                   13160      264      244
FRONTIER COMMUNICATIONS
   CORP                                     35906A108    140501    14440              X             12726     1474      240
GENERAL ELECTRIC CORP                       369604103   8404987   459540        X                  409415    40625     9500
GENERAL ELECTRIC CORP                       369604103   6315519   345299              X            231009    92090    22200
GENERAL MLS INC                             370334104    670943    18852        X                   18852        0        0
GENERAL MLS INC                             370334104    276534     7770              X              2420     5350        0
GENZYME CORPORATION                         372917104    153080     2150        X                    2150        0        0
GENZYME CORPORATION                         372917104    106800     1500              X               900      600        0
GOLDMAN SACHS GROUP INC                     38141G104   2408892    14325        X                   13795      295      235
GOLDMAN SACHS GROUP INC                     38141G104   1452902     8640              X              5975     2465      200
GOOGLE INC CL A                             38259P508    542889      914        X                     914        0        0
GOOGLE INC CL A                             38259P508     12473       21              X                 0       21        0
HALLIBURTON CO                              406216101     36012      882        X                     882        0        0
HALLIBURTON CO                              406216101    277644     6800              X              5000      800     1000
HEINZ H J CO                                423074103    563745    11398        X                   11298      100        0
HEINZ H J CO                                423074103    143434     2900              X               400     2500        0
HESS CORPORATION                            42809H107    291235     3805        X                    3805        0        0
HEWLETT PACKARD CO                          428236103   1859725    44174        X                   28649    15125      400
HEWLETT PACKARD CO                          428236103    785249    18652              X             12752     5525      375
HOME DEPOT INC                              437076102   3574788   101962        X                   76890    24347      725
HOME DEPOT INC                              437076102   1564623    44627              X             34650     9977        0
HONEYWELL INTERNATIONAL
   INC                                      438516106    208015     3913        X                    3913        0        0
HONEYWELL INTERNATIONAL
   INC                                      438516106    143745     2704              X              2504      200        0
HUDSON CITY BANCORP INC                     443683107    130674    10257        X                   10257        0        0
HUDSON CITY BANCORP INC                     443683107     12740     1000              X              1000        0        0
ILLINOIS TOOL WKS INC                       452308109   2984793    55895        X                   41670    14100      125
ILLINOIS TOOL WKS INC                       452308109    742100    13897              X             12547     1350        0
INTEL CORP                                  458140100   4527128   215270        X                  177670    34825     2775
INTEL CORP                                  458140100   1690076    80365              X             52730    25235     2400
INTL. BUSINESS MACHINES
   CORP                                     459200101  10150949    69167        X                   67197     1185      785
INTL. BUSINESS MACHINES
   CORP                                     459200101   6176541    42086              X             31434     8392     2260
ITT CORPORATION                             450911102    366542     7034        X                    7034        0        0
ITT CORPORATION                             450911102    451898     8672              X              7547     1125        0
JOHNSON & JOHNSON                           478160104   8252584   133429        X                  119494    12650     1285
JOHNSON & JOHNSON                           478160104   7647381   123644              X             97585    22140     3919
JOHNSON CONTROLS INC                        478366107    256284     6709        X                    6709        0        0
JOHNSON CONTROLS INC                        478366107    240660     6300              X              6300        0        0
JP MORGAN CHASE & CO                        46625H100   6562289   154698        X                  149883     1525     3290
JP MORGAN CHASE & CO                        46625H100   3441535    81130              X             61511    18596     1023
                                                       -------- -------- ---- ----- -----        -------- -------- --------
SUBTOTALS FOR THIS PAGE                                85730189  2158837                          1760153   345703    52981






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 5

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                            -----------------------
KANSAS CITY SOUTHERN                        485170302    239300     5000        X                    5000        0        0
KANSAS CITY SOUTHERN                        485170302     47860     1000              X                 0     1000        0
KELLOGG CO                                  487836108    237522     4650        X                    4650        0        0
KELLOGG CO                                  487836108     15324      300              X                 0      300        0
KIMBERLY CLARK CORP                         494368103    501483     7955        X                    7955        0        0
KIMBERLY CLARK CORP                         494368103    190696     3025              X              2725      300        0
KINDER MORGAN ENERGY
   PARTNERS LP                              494550106    263475     3750        X                    3225        0      525
KINDER MORGAN ENERGY
   PARTNERS LP                              494550106    365352     5200              X              4200     1000        0
LILLY ELI & CO                              532457108    596556    17025        X                   17025        0        0
LILLY ELI & CO                              532457108    557311    15905              X              9205     6700        0
LOWES COS INC                               548661107   1060834    42298        X                   40848        0     1450
LOWES COS INC                               548661107    820919    32732              X             15630    17102        0
L3 COMMUNICATIONS
   HOLDINGS INC                             502424104    993063    14088        X                   13818        0      270
L3 COMMUNICATIONS
   HOLDINGS INC                             502424104    931525    13215              X              9885     2755      575
MARATHON OIL CORP                           565849106     56656     1530        X                    1530        0        0
MARATHON OIL CORP                           565849106    199962     5400              X              5400        0        0
MARRIOTT INTERNATIONAL
   INC                                      571903202    116437     2803        X                    2803        0        0
MARRIOTT INTERNATIONAL
   INC                                      571903202    665138    16012              X             13792     2220        0
MCCORMICK & CO INC                          579780206   1937928    41649        X                   26149    15500        0
MCCORMICK & CO INC                          579780206    972803    20907              X             17620     2987      300
MCDONALDS CORP                              580135101   6273748    81732        X                   79487      845     1400
MCDONALDS CORP                              580135101   3016207    39294              X             26320    11574     1400
MEAD JOHNSON NUTRITION CO                   582839106      6225      100        X                     100        0        0
MEAD JOHNSON NUTRITION CO                   582839106    339636     5456              X              5456        0        0
MEDCO HEALTH SOLUTIONS
   INC                                      58405U102    194226     3170        X                    3170        0        0
MEDCO HEALTH SOLUTIONS
   INC                                      58405U102    363086     5926              X              5926        0        0
MEDTRONIC INC                               585055106    182854     4930        X                    4930        0        0
MEDTRONIC INC                               585055106    127590     3440              X              3440        0        0
MERCK & CO INC                              58933Y105   4547455   126178        X                  103018    20290     2870
MERCK & CO INC                              58933Y105   3194802    88646              X             60660    25410     2576
METLIFE INC                                 59156R108   1812485    40785        X                   24385    16000      400
METLIFE INC                                 59156R108    402404     9055              X              7785     1270        0
MICROSOFT CORP                              594918104   2759155    98859        X                   95539     2800      520
MICROSOFT CORP                              594918104   1528463    54764              X             40600     9764     4400
MONSANTO CO                                 61166W101    417353     5993        X                    5823        0      170
MONSANTO CO                                 61166W101    453008     6505              X              5630      775      100
MORGAN STANLEY                              617446448    260536     9575        X                    9575        0        0
MORGAN STANLEY                              617446448    149655     5500              X              5300      200        0
NATIONAL FUEL GAS CO                        636180101    209984     3200        X                    3200        0        0
NATIONAL-OILWELL INC                        637071101    553468     8230        X                    8230        0        0
NATIONAL-OILWELL INC                        637071101    464025     6900              X              6300      400      200
NEWMONT MNG CORP                            651639106    187484     3052        X                    3052        0        0
NEWMONT MNG CORP                            651639106     73716     1200              X               700        0      500
                                                       -------- -------- ---- ----- -----        -------- -------- --------
SUBTOTALS FOR THIS PAGE                                38287709   866934                           710086   139192    17656






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 6

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                            -----------------------
NEXTERA ENERGY INC                          65339F101    672335    12932        X                   12502      430        0
NEXTERA ENERGY INC                          65339F101    767632    14765              X              7825     6640      300
NIKE INC-CLASS B                            654106103    772026     9038        X                    8873       25      140
NIKE INC-CLASS B                            654106103    256260     3000              X              2200      800        0
NORFOLK SOUTHERN CORP                       655844108    313158     4985        X                    4185      800        0
NORFOLK SOUTHERN CORP                       655844108    514621     8192              X              7625      567        0
NORTHERN TR CORP                            665859104   2278792    41126        X                   38301      375     2450
NORTHERN TR CORP                            665859104    423887     7650              X              5655     1995        0
OCCIDENTAL PETE CORP                        674599105    568097     5791        X                    5716       75        0
OCCIDENTAL PETE CORP                        674599105    113796     1160              X                 0     1160        0
ORACLE CORPORATION                          68389X105    205798     6575        X                    5825        0      750
ORACLE CORPORATION                          68389X105    136656     4366              X              4366        0        0
PEABODY ENERGY CORP                         704549104    718815    11235        X                   10035     1200        0
PEABODY ENERGY CORP                         704549104    961939    15035              X             12075     2960        0
PEAPACK-GLADSTONE FINL
   CORP                                     704699107   7395892   566735        X                  563735        0     3000
PEAPACK-GLADSTONE FINL
   CORP                                     704699107   6891522   528086              X            502528     6458    19100
PENN VIRGINIA RESOURCE
   PARTNERS LP                              707884102   1459896    51550        X                   26550    25000        0
PENN VIRGINIA RESOURCE
   PARTNERS LP                              707884102    436128    15400              X              7400     8000        0
PEPSICO INC                                 713448108  10252629   156936        X                  139881    12525     4530
PEPSICO INC                                 713448108   4307076    65928              X             48201    17477      250
PFIZER INC                                  717081103   1125053    64252        X                   63052        0     1200
PFIZER INC                                  717081103   1074781    61381              X             56570     4811        0
PHILIP MORRIS
   INTERNATIONAL                            718172109    455129     7776        X                    7201        0      575
PHILIP MORRIS
   INTERNATIONAL                            718172109    281412     4808              X              4500      308        0
PNC FINANCIAL SERVICES
   GROUP                                    693475105    590563     9726        X                    9726        0        0
PNC FINANCIAL SERVICES
   GROUP                                    693475105    217378     3580              X              3580        0        0
PPG INDUSTRIES INC                          693506107    647339     7700        X                    7700        0        0
PPG INDUSTRIES INC                          693506107    540150     6425              X              4025     2400        0
PROCTER & GAMBLE CO                         742718109  10111647   157184        X                  139229    15080     2875
PROCTER & GAMBLE CO                         742718109   6461241   100439              X             64737    34552     1150
PROVIDENT FINL SVCS INC                     74386T105      7565      500        X                     500        0        0
PROVIDENT FINL SVCS INC                     74386T105    242080    16000              X             16000        0        0
PUBLIC SVC ENTERPRISE
   GROUP INC                                744573106   1317761    41426        X                   41126      300        0
PUBLIC SVC ENTERPRISE
   GROUP INC                                744573106    945075    29710              X             25090     4620        0
QUALCOMM INC                                747525103   4791127    96810        X                   90760     3400     2650
QUALCOMM INC                                747525103   1877354    37934              X             29580     8354        0
QUEST DIAGNOSTICS INC                       74834L100   1089384    20185        X                   19565      250      370
QUEST DIAGNOSTICS INC                       74834L100    983603    18225              X             14850     2775      600
ROCKWELL AUTOMATION INC                     773903109    161348     2250        X                    2250        0        0
ROCKWELL AUTOMATION INC                     773903109    264825     3693              X              3018      675        0
RUTH'S HOSPITALITY GROUP
   INC                                      783332109     46976    10146        X                   10146        0        0
SEMPRA ENERGY                               816851109     18368      350        X                     350        0        0
SEMPRA ENERGY                               816851109    188928     3600              X              3600        0        0
                                                       -------- -------- ---- ----- -----        -------- -------- --------
SUBTOTALS FOR THIS PAGE                                72886042  2234585                          2030633   164012    39940





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 7

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                             ----------------------
SOUTHERN COMPANY                            842587107   1928933    50456        X                   34156    15000     1300
SOUTHERN COMPANY                            842587107   1395013    36490              X             31365     4125     1000
SPECTRA ENERGY CORP                         847560109    196122     7848        X                    7848        0        0
SPECTRA ENERGY CORP                         847560109     88814     3554              X              3554        0        0
STAPLES INC                                 855030102    136848     6010        X                    6010        0        0
STAPLES INC                                 855030102     87095     3825              X                 0     3825        0
STARBUCKS CORP                              855244109     12852      400        X                     400        0        0
STARBUCKS CORP                              855244109    271499     8450              X              6200     2250        0
SUBURBAN PROPANE PARTNERS
   LP                                       864482104    218751     3900        X                    3900        0        0
SUBURBAN PROPANE PARTNERS
   LP                                       864482104    314104     5600              X              1600     4000        0
SUPERGEN INC (DELAWARE)                     868059106    131000    50000              X             50000        0        0
SYSCO CORP                                  871829107   3888709   132269        X                  124514      900     6855
SYSCO CORP                                  871829107   1777818    60470              X             33415    27055        0
TARGET CORP                                 87612E106   4354434    72417        X                   60157    11360      900
TARGET CORP                                 87612E106   2023976    33660              X             25245     8065      350
TEXAS INSTRUMENTS INC                       882508104    682078    20987        X                   20987        0        0
TEXAS INSTRUMENTS INC                       882508104    705088    21695              X             18545     2650      500
TRAVELERS COMPANIES INC                     89417E109    682503    12251        X                   10791        0     1460
TRAVELERS COMPANIES INC                     89417E109    215486     3868              X              3868        0        0
UGI CORP                                    902681105    997139    31575        X                    9575    22000        0
UGI CORP                                    902681105    175269     5550              X              5550        0        0
UNION PAC CORP                              907818108   3372917    36401        X                   27526     8875        0
UNION PAC CORP                              907818108   1302244    14054              X              8424     2410     3220
UNITED PARCEL SERVICE
  CL B                                      911312106   1985426    27355        X                   27355        0        0
UNITED PARCEL SERVICE
  CL B                                      911312106     48992      675              X               575      100        0
UNITED TECHNOLOGIES CORP                    913017109   8301575   105457        X                   96077     6950     2430
UNITED TECHNOLOGIES CORP                    913017109   5149941    65421              X             47821    17400      200
US BANCORP NEW                              902973304   2733140   101340        X                   97020     1350     2970
US BANCORP NEW                              902973304   1824359    67644              X             49842    16502     1300
V.F. CORP                                   918204108   3150741    36560        X                   28060     8000      500
V.F. CORP                                   918204108   1598294    18546              X             12825     5521      200
VECTREN CORP                                92240G101   1838781    72450        X                   47790    20000     4660
VECTREN CORP                                92240G101    923832    36400              X             22840    13560        0
VERIZON COMMUNICATIONS                      92343V104   2913852    81438        X                   75518     1100     4820
VERIZON COMMUNICATIONS                      92343V104   2166765    60558              X             50921     6392     3245
VISA INC CL A                               92826C839    809370    11500        X                   11000      500        0
VISA INC CL A                               92826C839    256887     3650              X              3400      250        0
WAL MART STORES INC                         931142103   1167207    21643        X                   19513      130     2000
WAL MART STORES INC                         931142103    348927     6470              X              4850      620     1000
WALGREEN CO                                 931422109    270967     6955        X                    6955        0        0
WALGREEN CO                                 931422109     97400     2500              X                 0     2500        0
WASTE MANAGEMENT INC                        94106L109   4243774   115101        X                   91976    21175     1950
WASTE MANAGEMENT INC                        94106L109   1203621    32645              X             17460    15185        0
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR THIS PAGE                                65992543  1496038                          1205428   249750    40860






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 8

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             DOMESTIC COMMON STOCKS
                             ----------------------
WELLS FARGO & CO                            949746101   2728731    88052        X                   67802    19090     1160
WELLS FARGO & CO                            949746101   1640456    52935              X             46546     6389        0
WESTERN UNION CO                            959802109    203342    10950        X                   10950        0        0
WESTERN UNION CO                            959802109      3714      200              X               200        0        0
WILLIAMS-SONOMA INC                         969904101    207002     5800              X              4800     1000        0
YUM! BRANDS INC                             988498101    302491     6167        X                    6167        0        0
YUM! BRANDS INC                             988498101     32128      655              X               255        0      400
ZIMMER HLDGS INC                            98956P102    100113     1865        X                    1865        0        0
ZIMMER HLDGS INC                            98956P102    130979     2440              X              1290     1150        0
3M CO                                       88579Y101   1296053    15018        X                   15018        0        0
3M CO                                       88579Y101    931781    10797              X             10482      315        0
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR DOMESTIC
   COMMON STOCKS                                      477643312 11479615                          9053647  2142193   283775






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 9

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
A. COMMON STOCK
                             ADR SECURITIES
                             --------------
BHP BILLITON LTD SPONS
   ADR                                      088606108   4066458    43763        X                   36163     7500      100
BHP BILLITON LTD SPONS
   ADR                                      088606108    830240     8935              X              5555     3380        0
BP PLC SPONS ADR                            055622104    311222     7046        X                    6147      399      500
BP PLC SPONS ADR                            055622104    304950     6904              X              4904     2000        0
CHINA MOBILE LIMITED
   SPONS ADR                                16941M109     14886      300        X                     300        0        0
CHINA MOBILE LIMITED
   SPONS ADR                                16941M109    228252     4600              X              1800        0     2800
GLAXO SMITHKLINE SPONS
   ADR                                      37733W105     71577     1825        X                    1825        0        0
GLAXO SMITHKLINE SPONS
   ADR                                      37733W105    368707     9401              X              9401        0        0
NOKIA CORP SPONS ADR                        654902204     97834     9480        X                    9480        0        0
NOKIA CORP SPONS ADR                        654902204      7224      700              X                 0      700        0
NOVARTIS AG SPONS ADR                       66987V109    190114     3225        X                    3225        0        0
NOVARTIS AG SPONS ADR                       66987V109     63666     1080              X               920      160        0
PETROLEO BRASILEIRO SA
   SPONS ADR                                71654V408    652816    17252        X                   15972        0     1280
PETROLEO BRASILEIRO SA
   SPONS ADR                                71654V408    375184     9915              X              8165     1250      500
ROYAL DUTCH SHELL SPONS
   ADR                                      780259206    396940     5944        X                    5944        0        0
ROYAL DUTCH SHELL SPONS
   ADR                                      780259206    423252     6338              X              6238      100        0
TEVA PHARMACEUTICAL INDS
   SPONS ADR                                881624209   5140591    98611        X                   84326    13125     1160
TEVA PHARMACEUTICAL INDS
   SPONS ADR                                881624209   2167722    41583              X             26145    15438        0
TOTAL S.A. SPONS ADR                        89151E109   1286461    24055        X                   12055    12000        0
TOTAL S.A. SPONS ADR                        89151E109     34762      650              X               450      200        0
UNILEVER NV NY SHARES ADR                   904784709    164850     5250        X                    4050        0     1200
UNILEVER NV NY SHARES ADR                   904784709     59660     1900              X              1900        0        0
VODAFONE GROUP SPONS ADR                    92857W209    204963     7752        X                    7752        0        0
VODAFONE GROUP SPONS ADR                    92857W209    313473    11856              X             10038      943      875
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR ADR
   SECURITIES                                          17775804   328365                           262755    57195     8415






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 10

*SUMMARY PAGE FOR A. COMMON STOCK *

MINOR ASSET TYPE                                        MARKET    SH/PV    INVEST    AUTH  MNGR      VOTING AUTH(SHARES)
----------------                                      --------- -------- ---------- ----- ------ --------------------------
                                                                                           
43 DOMESTIC COMMON STOCKS                             477643312 11479615                          9053647  2142193   283775
44 ADR SECURITIES                                      17775804   328365                           262755    57195     8415
                                                      --------- --------                         -------- -------- --------
*SUBTOTALS*                                           495419116 11807980                          9316402  2199388   292190






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 11

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
B. PREFERRED STOCKS
                             FOREIGN PREFERRED STOCKS
                             ------------------------
BARCLAYS BANK PLC 7.100% PFD SER 3          06739H776    398880    16000        X                    N.A.     N.A.     N.A.
BARCLAYS BANK PLC 7.100% PFD SER 3          06739H776    137115     5500              X              N.A.     N.A.     N.A.
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR FOREIGN
   PREFERRED STOCKS                                      535995    21500                             N.A.     N.A.     N.A.






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 12

*SUMMARY PAGE FOR B. PREFERRED STOCK *

MINOR ASSET TYPE                                        MARKET    SH/PV    INVEST    AUTH  MNGR      VOTING AUTH(SHARES)
----------------                                      --------- -------- ---------- ----- ------ --------------------------
                                                                                           
50 FOREIGN PREFERRED STOCKS                              535995    21500                             N.A.     N.A.     N.A.
                                                      --------- --------                         -------- -------- --------
*SUBTOTALS*                                              535995    21500                             N.A.     N.A.     N.A.






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 13

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
C. OTHER
                             REAL ESTATE INVESTMENT TRUSTS
                             -----------------------------
PROLOGIS REIT                             * 743410102     48735     3375        X                    N.A.     N.A.     N.A.
PROLOGIS REIT                             * 743410102     99997     6925              X              N.A.     N.A.     N.A.
SIMON PROPERTY GROUP INC
   REIT                                   * 828806109     12536      126        X                    N.A.     N.A.     N.A.
SIMON PROPERTY GROUP INC
   REIT                                   * 828806109    354682     3565              X              N.A.     N.A.     N.A.
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR REAL ESTATE
   INVESTMENT TRUSTS                                     515950    13991                             N.A.     N.A.     N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 14

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
C. OTHER

                              FOREIGN SECURITIES
                          ---------------------------
ALCON INC                                 * H01301102    115197      705        X                     705        0        0
ALCON INC                                 * H01301102    411768     2520              X              2520        0        0
COVIDIEN PLC                              * G2554F105    321492     7041        X                    7041        0        0
COVIDIEN PLC                              * G2554F105    326926     7160              X              7160        0        0
GOLDCORP INC                              * 380956409     59774     1300        X                    1300        0        0
GOLDCORP INC                              * 380956409    183920     4000              X                 0     4000        0
INGERSOLL-RAND PLC                        * G47791101    191656     4070        X                    4070        0        0
INGERSOLL-RAND PLC                        * G47791101    479517    10183              X             10183        0        0
NABORS INDUSTRIES LTD                     * G6359F103    213416     9097        X                    5097        0     4000
NABORS INDUSTRIES LTD                     * G6359F103     47436     2022              X              1722      300        0
RESEARCH IN MOTION
   LIMITED                                * 760975102    589961    10149        X                   10149        0        0
RESEARCH IN MOTION
   LIMITED                                * 760975102     88067     1515              X                 0     1515        0
ROGERS
   COMMUNICATIONS-CL B                    * 775109200    450190    13000              X             12000     1000        0
SCHLUMBERGER LTD                          * 806857108   6581470    78820        X                   76605      425     1790
SCHLUMBERGER LTD                          * 806857108   4131413    49478              X             37033    12445        0
TRANSOCEAN LTD                            * H8817H100    476908     6861        X                    6861        0        0
TRANSOCEAN LTD                            * H8817H100    530431     7631              X              6932      699        0
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR FOREIGN SECURITIES                       15199542   215552                           189378    20384     5790






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 15

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
C. OTHER

                CLOSED END EQUITY MUTUAL FUND
                -----------------------------
CENTRAL FUND CANADA CL A                  * 153501101    103650     5000        X                    N.A.     N.A.     N.A.
CENTRAL FUND CANADA CL A                  * 153501101    186570     9000                X            N.A.     N.A.     N.A.
ISHARES DJ SELECT
   DIVIDEND INDEX FD                      * 464287168    572991    11492        X                    N.A.     N.A.     N.A.
ISHARES DJ SELECT
   DIVIDEND INDEX FD                      * 464287168     92440     1854                X            N.A.     N.A.     N.A.
ISHARES MSCI EAFE
   INDEX FUND                             * 464287465   4037208    69344        X                    N.A.     N.A.     N.A.
ISHARES MSCI EAFE
   INDEX FUND                             * 464287465    810830    13927                X            N.A.     N.A.     N.A.
ISHARES MSCI EMERGING
   MKT IN                                 * 464287234   4362626    91571        X                    N.A.     N.A.     N.A.
ISHARES MSCI EMERGING
   MKT IN                                 * 464287234   1162941    24410                X            N.A.     N.A.     N.A.
ISHARES NASDAQ BIOTECH
   INDX                                   * 464287556   1308254    14004        X                    N.A.     N.A.     N.A.
ISHARES NASDAQ BIOTECH
   INDX                                   * 464287556    696820     7459                X            N.A.     N.A.     N.A.
ISHARES RUSSELL MIDCAP
   GRWTH                                  * 464287481   2176485    38447        X                    N.A.     N.A.     N.A.
ISHARES RUSSELL MIDCAP
   GRWTH                                  * 464287481   1151787    20346                X            N.A.     N.A.     N.A.
ISHARES RUSSELL MIDCAP
   INDEX FUND                             * 464287499    815018     8010        X                    N.A.     N.A.     N.A.
ISHARES RUSSELL MIDCAP
   INDEX FUND                             * 464287499     54945      540                X            N.A.     N.A.     N.A.
ISHARES RUSSELL MIDCAP
   VALUE                                  * 464287473   2389761    53094        X                    N.A.     N.A.     N.A.
ISHARES RUSSELL MIDCAP
   VALUE                                  * 464287473   1167064    25929                X            N.A.     N.A.     N.A.
ISHARES RUSSELL 1000
   GROWTH INDEX                           * 464287614    334685     5845        X                    N.A.     N.A.     N.A.
ISHARES RUSSELL 1000
   GROWTH INDEX                           * 464287614      4008       70                X            N.A.     N.A.     N.A.
ISHARES S&P PREF STK                      * 464288687    235322     6065        X                    N.A.     N.A.     N.A.
ISHARES S&P PREF STK                      * 464288687    224652     5790                X            N.A.     N.A.     N.A.
ISHARES S&P SMALLCAP 600                  * 464287804    988912    14443        X                    N.A.     N.A.     N.A.
ISHARES S&P SMALLCAP 600                  * 464287804     39576      578                X            N.A.     N.A.     N.A.
ISHARES S&P SMALLCAP
   600/VAL                                * 464287879    331125     4606        X                    N.A.     N.A.     N.A.
ISHARES S&P SMALLCAP
   600/VAL                                * 464287879     14378      200                X            N.A.     N.A.     N.A.
ISHARES S&P 500 GROWTH
   INDEX FD                               * 464287309   1882186    28670        X                    N.A.     N.A.     N.A.
ISHARES S&P 500 GROWTH
   INDEX FD                               * 464287309    255772     3896                X            N.A.     N.A.     N.A.
ISHARES S&P 500 VALUE
   INDEX FUND                             * 464287408   1864988    31297        X                    N.A.     N.A.     N.A.
ISHARES S&P 500 VALUE
   INDEX FUND                             * 464287408    242770     4074                X            N.A.     N.A.     N.A.
ISHARES TR S&P
   SMALLCAP/600 GROWTH                    * 464287887    300595     4141        X                    N.A.     N.A.     N.A.
POWERSHARES QQQ TRUST                     * 73935A104   3132430    57518        X                    N.A.     N.A.     N.A.
POWERSHARES QQQ TRUST                     * 73935A104    431432     7922                X            N.A.     N.A.     N.A.
SPDR GOLD TRUST                           * 78463V107    145656     1050        X                    N.A.     N.A.     N.A.
SPDR GOLD TRUST                           * 78463V107    110976      800                X            N.A.     N.A.     N.A.
SPDR S&P DIVIDEND ETF                     * 78464A763   1873359    36040        X                    N.A.     N.A.     N.A.
SPDR S&P DIVIDEND ETF                     * 78464A763    571780    11000                X            N.A.     N.A.     N.A.
SPDR S&P MIDCAP 400 ETF
   TRUST                                  * 78467Y107   7390344    44877        X                    N.A.     N.A.     N.A.
SPDR S&P MIDCAP 400 ETF
   TRUST                                  * 78467Y107   1195083     7257                X            N.A.     N.A.     N.A.
SPDR S&P 500 ETF TRUST                    * 78462F103   5331171    42395        X                    N.A.     N.A.     N.A.
SPDR S&P 500 ETF TRUST                    * 78462F103    557073     4430                X            N.A.     N.A.     N.A.
VANGUARD EMERGING MARKETS
   FUND ETF                               * 922042858   7013043   145662        X                    N.A.     N.A.     N.A.
VANGUARD EMERGING MARKETS
   FUND ETF                               * 922042858   2648367    55007                X            N.A.     N.A.     N.A.
VANGUARD EUROPE
   PACIFIC ETF                            * 921943858   2435281    67366        X                    N.A.     N.A.     N.A.
VANGUARD EUROPE
   PACIFIC ETF                            * 921943858   1564211    43270                X            N.A.     N.A.     N.A.
                                                      ---------
SUBTOTALS FOR THIS PAGE                                62208565  1028696                             N.A.     N.A.     N.A.






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 16

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
C. OTHER

            CLOSED END EQUITY MUTUAL FUND
            -----------------------------
VANGUARD SMALL CAP
   GROWTH ETF                             * 922908595   3442188    44108        X                    N.A.     N.A.     N.A.
VANGUARD SMALL CAP
   GROWTH ETF                             * 922908595   1444755    18513                X            N.A.     N.A.     N.A.
VANGUARD SMALL CAP
   VALUE ETF                              * 922908611   3089066    46202        X                    N.A.     N.A.     N.A.
VANGUARD SMALL CAP
   VALUE ETF                              * 922908611   1428731    21369                X            N.A.     N.A.     N.A.
VANGUARD SMALL-CAP ETF                    * 922908751   3793029    52224        X                    N.A.     N.A.     N.A.
VANGUARD SMALL-CAP ETF                    * 922908751   1182634    16283                X            N.A.     N.A.     N.A.
WISDOM TREE INTL
   DIVIDEND EX-FIN FD                     * 97717W786   1215018    27514        X                    N.A.     N.A.     N.A.
WISDOM TREE INTL
   DIVIDEND EX-FIN FD                     * 97717W786    248753     5633                X            N.A.     N.A.     N.A.
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUND            78052739  1260542                             N.A.     N.A.     N.A.






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 17

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
C. OTHER

                CLOSED-END FIXED INCOME (TAX)
                -----------------------------
ISHARES BARCLAYS 1-3 YEAR
   TREASURY                               * 464287457    609275     7255        X                    N.A.     N.A.     N.A.
ISHARES BARCLAYS 1-3 YEAR
   TREASURY                               * 464287457    117572     1400                X            N.A.     N.A.     N.A.
VANGUARD
   INTERMEDIATE-TERM
   BOND ETF                               * 921937819    202183     2451        X                    N.A.     N.A.     N.A.
VANGUARD
   INTERMEDIATE-TERM
   BOND ETF                               * 921937819     47844      580                X            N.A.     N.A.     N.A.
VANGUARD SHORT TERM
   BOND ETF                               * 921937827    526450     6543        X                    N.A.     N.A.     N.A.
VANGUARD SHORT TERM
   BOND ETF                               * 921937827    129541     1610                X            N.A.     N.A.     N.A.
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR CLOSED-END FIXED INCOME (TAX)             1632865    19839                             N.A.     N.A.     N.A.






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 18

                                                                         SEC USE ONLY
ITEM 1                        ITEM 2        ITEM 3      ITEM 4    ITEM 5      ITEM 6      ITEM 7           ITEM 8
------------------------- -------------- ------------ --------- -------- ---------------- ------ --------------------------
                                                                           INVEST
                                                                              SHRD-  AUTH            VOTING AUTH(SHARES)
                                                                              INSTR SHRD-        --------------------------
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV  SOLE   V   OTHER  MNGR     SOLE   SHARED    NONE
------------------------- -------------- ------------ --------- -------- ---- ----- ----- ------ -------- -------- --------
                                                                                  
C. OTHER

                CLOSED END FIXED INC-NON-TAX
                ----------------------------
BLACKROCK MUNIYIELD NEW
   JERSEY FUND                            * 09254Y109     68032     4937        X                    N.A.     N.A.     N.A.
BLACKROCK MUNIYIELD NEW
   JERSEY FUND                            * 09254Y109    104494     7583                X            N.A.     N.A.     N.A.
ISHARES S&P S/T NATION
   MUNI                                   * 464288158    518939     4985        X                    N.A.     N.A.     N.A.
NUVEEN N J INVT QUALITY
   MUN FD INC                             * 670971100    140738    10727        X                    N.A.     N.A.     N.A.
NUVEEN N J INVT QUALITY
   MUN FD INC                             * 670971100     18368     1400                X            N.A.     N.A.     N.A.
NUVEEN NJ DVD ADV MUNI FD                 * 67069Y102    181470    13800        X                    N.A.     N.A.     N.A.
                                                      --------- --------                         -------- -------- --------
SUBTOTALS FOR CLOSED END FIXED INC-NON-TAX              1032041    43432                             N.A.     N.A.     N.A.






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 19

*SUMMARY PAGE FOR C. OTHER *

MINOR ASSET TYPE                                        MARKET   SH/PV     INVEST    AUTH  MNGR      VOTING AUTH(SHARES)
-------------------------                             --------- -------- ---------- ----- ------ --------------------------
                                                                                           
97 CLOSED END FIXED
   INC-NON-TAX                                          1032041    43432                             N.A.     N.A.     N.A.
68 CLOSED-END FIXED
   INCOME (TAX)                                         1632865    19839                             N.A.     N.A.     N.A.
63 CLOSED END EQUITY
   MUTUAL FUND                                         78052739  1260542                             N.A.     N.A.     N.A.
54 FOREIGN SECURITIES                                  15199542   215552                           189378    20384     5790
47 REAL ESTATE
   INVESTMENT TRUSTS                                     515950    13991                             N.A.     N.A.     N.A.
                                                      --------- --------                         -------- -------- --------
*SUBTOTALS*                                            96433137  1553356                           189378    20384     5790
*SUBTOTALS*                                            96433137  1553356                             N.A.     N.A.     N.A.

*    THESE ASSETS ARE CODED 13(F) ELIGIBLE, HOWEVER, THE MINOR ASSET TYPE IS NOT
     INCLUDED IN THE MAPPING






INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PREPARED FOR: PEAPACK-GLADSTONE TRUST & INV   ON 1/9/11   AS OF 12/31/10   DEPT ID# 233   PAGE 20

**SUMMARY PAGE FOR: PEAPACK-GLADSTONE TRUST & INV **

CATEGORY                                                MARKET   SH/PV     INVEST    AUTH  MNGR      VOTING AUTH(SHARES)
-------------------------                             --------- -------- ---------- ----- ------ --------------------------
                                                                                           
A. COMMON STOCK                                       495419116 11807980                          9316402  2199388   292190
B. PREFERRED STOCK                                       535995    21500                             N.A.     N.A.     N.A.
C. OTHER                                               96433137  1553356                           189378    20384     5790
                                                      --------- --------                         -------- -------- --------
**GRAND TOTALS**                                      592388248 13382836                          9505780  2219772   297980