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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 09/30/12
                                               -----------------------

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:         DONALD SHEWMAKER
                 -------------------------------
   Address:      1021 ANACAPA STREET
                 -------------------------------
                 TRUST DIVISION
                 -------------------------------
                 SANTA BARBARA, CA 93101
                 -------------------------------

Form 13F File Number: 28-03253
                         ---------------------

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:    DONALD SHEWMAKER
         ------------------------------------
Title:   SENIOR VICE PRESIDENT, TRUST MANAGER
         ------------------------------------
Phone:   805 882-3811
         ------------------------------------

Signature, Place, and Date of Signing:

        /s/ DONALD SHEWMAKER          SANTA BARBARA, CA       11/1/2012
   -------------------------------    ------------------   ---------------
           [Signature]                   [City, State]          [Date]

Report Type (Check only one.):

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

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

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

I AM SIGNING THIS REPORT AS REQUESTED BY THE SECURITES EXCHANGE ACT OF 1934.



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:
                                        --------------------

Form 13F Information Table Entry Total:           389
                                        --------------------

Form 13F Information Table Value Total:      $558,264.00
                                        --------------------
                                            (thousands)

List of Check Included Managers:

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

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

NONE



                                                                        JFPTR289

REPORT PTR289 JF SANTA BARBARA BANK & TRUST SECURITIES & EXCHANGE COMMISSION
ON FORM 13F 10/3/2012 PAGE 1

ASSETS AS OF 09/30/12

REQUESTED MODEL: BNK

REPORT PTR289 JF SANTA BARBARA BANK & TRUST SECURITIES & EXCHANGE COMMISSION
ON FORM 13F 10/3/2012 PAGE 1

                                 AS OF 09/30/12



- - - - - - 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)
                                                                                    
AFLAC INC               COM                      1055102 $  2,183.00     45,599 SH       X                   43,061         2,538
AFLAC INC               COM                      1055102 $    143.00      2,995 SH                X           2,995
AT&T INC                COM                    00206R102 $  4,917.00    130,422 SH       X                  125,656         4,766
AT&T INC                COM                    00206R102 $  1,115.00     29,566 SH                X          22,831   335   6,400
ABBOTT LABS             COM                      2824100 $  4,811.00     70,171 SH       X                   69,705           466
ABBOTT LABS             COM                      2824100 $  2,508.00     36,575 SH                X          31,915         4,660
ABERCROMBIE & FITCH CO  CL A                     2896207 $    665.00     19,600 SH       X                   19,600
ABERCROMBIE & FITCH CO  CL A                     2896207 $     51.00      1,500 SH                X           1,500
ADOBE SYS INC           COM                    00724F101 $  1,233.00     38,000 SH       X                   38,000
ADOBE SYS INC           COM                    00724F101 $     23.00        700 SH                X             700
AIR PRODS & CHEMS INC   COM                      9158106 $    319.00      3,860 SH       X                    3,860
AIR PRODS & CHEMS INC   COM                      9158106 $     81.00        975 SH                X             975
ALLSTATE CORP           COM                     20002101 $    430.00     10,850 SH       X                   10,850
ALLSTATE CORP           COM                     20002101 $     40.00      1,000 SH                X           1,000
ALTRIA GROUP INC        COM                    02209S103 $  2,819.00     84,420 SH       X                   84,420
ALTRIA GROUP INC        COM                    02209S103 $    516.00     15,460 SH                X           8,400         7,060
AMAZON COM INC          COM                     23135106 $  2,124.00      8,350 SH       X                    8,150           200
AMAZON COM INC          COM                     23135106 $      9.00         35 SH                X              35
AMERICAN ELEC PWR INC   COM                     25537101 $    248.00      5,650 SH                X                         5,650
AMERICAN EXPRESS CO     COM                     25816109 $    542.00      9,525 SH       X                    9,525
AMERICAN EXPRESS CO     COM                     25816109 $    677.00     11,915 SH                X           8,100         3,815
AMGEN INC               COM                     31162100 $  2,345.00     27,815 SH       X                   27,665           150
AMGEN INC               COM                     31162100 $    259.00      3,075 SH                X           2,175           900
ANADARKO PETE CORP      COM                     32511107 $  1,461.00     20,900 SH       X                   20,900
ANADARKO PETE CORP      COM                     32511107 $     63.00        900 SH                X             900
APACHE CORP             COM                     37411105 $    758.00      8,766 SH       X                    8,766
APACHE CORP             COM                     37411105 $     89.00      1,025 SH                X           1,025
APPLE INC               COM                     37833100 $ 15,520.00     23,265 SH       X                   22,716           549
APPLE INC               COM                     37833100 $  1,452.00      2,176 SH                X           1,531           645
AUTOMATIC DATA PROCESSI NG IN COM               53015103 $  1,904.00     32,458 SH       X                   31,975           483
AUTOMATIC DATA PROCESSI NG IN COM               53015103 $  2,024.00     34,502 SH                X          32,230 2,272
BB&T CORP               COM                     54937107 $    636.00     19,166 SH       X                   18,833           333
BP PLC                  SPONSORED ADR           55622104 $    246.00      5,804 SH       X                    5,804
BRE PROPERTIES INC      CL A                    5564E109 $  1,992.00     42,480 SH       X                   42,480
BRE PROPERTIES INC      CL A                    5564E109 $     66.00      1,400 SH                X           1,400
BAIDU INC               SPON ADR REP A          56752108 $    210.00      1,800 SH       X                    1,800
BAKER HUGHES INC        COM                     57224107 $    248.00      5,476 SH       X                    5,423            53
BAKER HUGHES INC        COM                     57224107 $    195.00      4,315 SH                X           4,315
BANK OF AMERICA CORPORA TION  COM               60505104 $    271.00     30,718 SH       X                   19,868        10,850
BANK OF AMERICA CORPORA TION  COM               60505104 $     85.00      9,575 SH                X           9,575
BARCLAYS BK PLC         S&P 500 VEQTOR         06740C337 $  1,516.00     11,615 SH       X                   11,615
BARCLAYS BK PLC         S&P 500 VEQTOR         06740C337 $     15.00        115 SH                X             115
BAXTER INTL INC         COM                     71813109 $  1,456.00     24,150 SH       X                   24,150
BAXTER INTL INC         COM                     71813109 $    260.00      4,321 SH                X           4,321
BECTON DICKINSON & CO   COM                     75887109 $    249.00      3,175 SH       X                    3,175
BECTON DICKINSON & CO   COM                     75887109 $    236.00      3,000 SH                X           3,000
BED BATH & BEYOND INC   COM                     75896100 $     36.00        575 SH       X                      575
BED BATH & BEYOND INC   COM                     75896100 $    289.00      4,590 SH                X                         4,590
BEMIS INC               COM                     81437105 $    615.00     19,530 SH       X                   19,530
BERKSHIRE HATHAWAY INC  DEL   CL A              84670108 $    664.00          5 SH       X                        5
BERKSHIRE HATHAWAY INC  DEL   CL B NEW          84670702 $  2,052.00     23,266 SH       X                   22,766           500
BERKSHIRE HATHAWAY INC  DEL   CL B NEW          84670702 $    451.00      5,110 SH                X           4,935           175
BHP BILLITON LTD        SPONSORED ADR           88606108 $    535.00      7,791 SH       X                    7,475           316
BHP BILLITON LTD        SPONSORED ADR           88606108 $     75.00      1,100 SH                X           1,100
BIOGEN IDEC INC         COM                    09062X103 $    865.00      5,800 SH       X                    5,800
BOEING CO               COM                     97023105 $    634.00      9,110 SH       X                    9,110
BOEING CO               COM                     97023105 $    139.00      2,000 SH                X           2,000
BOSWELL J G CO          COM                    101205102 $    246.00        278 SH       X                      100           178
BRISTOL MYERS SQUIBB CO COM                    110122108 $    969.00     28,719 SH       X                   28,719
BRISTOL MYERS SQUIBB CO COM                    110122108 $    446.00     13,225 SH                X          13,225
CBS CORP NEW            CL B                   124857202 $  1,355.00     37,300 SH       X                   37,300
CNOOC LTD               SPONSORED ADR          126132109 $  3,406.00     16,800 SH       X                   16,800
CNOOC LTD               SPONSORED ADR          126132109 $     15.00         75 SH                X              75
CATERPILLAR INC DEL     COM                    149123101 $  1,904.00     22,130 SH       X                   21,190           940
CATERPILLAR INC DEL     COM                    149123101 $     67.00        775 SH                X             500           275





                                                                                    
CELGENE CORP            COM                    151020104 $  1,206.00     15,779 SH       X                   14,745         1,034
CELGENE CORP            COM                    151020104 $     61.00        800 SH                X             800
CHANNEL TECHNOLOGY INC  CDS C                  159173103 $     18.00     39,088 SH                X          39,088
CHEVRON CORP NEW        COM                    166764100 $ 12,588.00    107,998 SH       X                  102,598         5,400
CHEVRON CORP NEW        COM                    166764100 $  3,762.00     32,274 SH                X          29,714         2,560
CHINA MOBILE LIMITED    SPONSORED ADR          16941M109 $  1,550.00     28,000 SH       X                   28,000
CHINA MOBILE LIMITED    SPONSORED ADR          16941M109 $     35.00        625 SH                X             625
CHUBB CORP              COM                    171232101 $    183.00      2,400 SH       X                    2,400
CHUBB CORP              COM                    171232101 $    330.00      4,330 SH                X           1,060         3,270
CISCO SYS INC           COM                    17275R102 $  2,533.00    132,671 SH       X                  132,371           300
CISCO SYS INC           COM                    17275R102 $    255.00     13,380 SH                X          11,780         1,600
CLOROX CO DEL           COM                    189054109 $    291.00      4,045 SH       X                    4,045
CLOROX CO DEL           COM                    189054109 $    111.00      1,535 SH                X           1,535
COACH INC               COM                    189754104 $  2,891.00     51,607 SH       X                   50,655           952
COACH INC               COM                    189754104 $    316.00      5,645 SH                X           5,645
COCA COLA CO            COM                    191216100 $  4,794.00    126,386 SH       X                  125,386         1,000
COCA COLA CO            COM                    191216100 $  1,080.00     28,480 SH                X          16,550        11,930
COGNIZANT TECHNOLOGY SO LUTIO CL A             192446102 $  2,563.00     36,676 SH       X                   36,676
COGNIZANT TECHNOLOGY SO LUTIO CL A             192446102 $    427.00      6,105 SH                X           6,105
COLGATE PALMOLIVE CO    COM                    194162103 $  2,942.00     27,438 SH       X                   27,438
COLGATE PALMOLIVE CO    COM                    194162103 $    955.00      8,910 SH                X           6,655         2,255
COMCAST CORP NEW        CL A                   20030N101 $  1,012.00     28,308 SH       X                   28,308
COMCAST CORP NEW        CL A                   20030N101 $     71.00      2,000 SH                X           2,000
CONOCOPHILLIPS          COM                    20825C104 $  2,606.00     45,579 SH       X                   45,579
CONOCOPHILLIPS          COM                    20825C104 $    520.00      9,097 SH                X           5,722   480   2,895
CONSOLIDATED EDISON INC COM                    209115104 $  4,199.00     70,108 SH       X                   67,675         2,433
CONSOLIDATED EDISON INC COM                    209115104 $    102.00      1,700 SH                X             600         1,100
COSTCO WHSL CORP NEW    COM                    22160K105 $  2,123.00     21,198 SH       X                   19,048         2,150
COSTCO WHSL CORP NEW    COM                    22160K105 $    160.00      1,600 SH                X           1,600
CUMMINS INC             COM                    231021106 $    442.00      4,795 SH       X                    4,795
CUMMINS INC             COM                    231021106 $     16.00        175 SH                X             175
DANAHER CORP DEL        COM                    235851102 $  1,656.00     30,022 SH       X                   30,022
DANAHER CORP DEL        COM                    235851102 $    475.00      8,615 SH                X           4,175         4,440
DEERE & CO              COM                    244199105 $    326.00      3,950 SH       X                    3,950
DEERE & CO              COM                    244199105 $    107.00      1,300 SH                X                         1,300
DISNEY WALT CO          COM DISNEY             254687106 $  4,664.00     89,215 SH       X                   88,215         1,000
DISNEY WALT CO          COM DISNEY             254687106 $    243.00      4,650 SH                X           4,650
DOMINION RES INC VA NEW COM                    25746U109 $    216.00      4,088 SH       X                    4,088
DOMINION RES INC VA NEW COM                    25746U109 $    118.00      2,225 SH                X                         2,225
DOW CHEM CO             COM                    260543103 $    812.00     28,051 SH       X                   24,851         3,200
DOW CHEM CO             COM                    260543103 $    208.00      7,200 SH                X           4,500         2,700
DU PONT E I DE NEMOURS  & CO  COM              263534109 $  1,751.00     34,840 SH       X                   31,640         3,200
DU PONT E I DE NEMOURS  & CO  COM              263534109 $     59.00      1,175 SH                X           1,175
DUKE ENERGY CORP NEW    COM NEW                26441C204 $    141.00      2,180 SH       X                    2,180
DUKE ENERGY CORP NEW    COM NEW                26441C204 $     84.00      1,299 SH                X           1,299
E M C CORP MASS         COM                    268648102 $  4,758.00    174,479 SH       X                  171,545         2,934
E M C CORP MASS         COM                    268648102 $    270.00      9,905 SH                X           9,905
EOG RES INC             COM                    26875P101 $    448.00      3,997 SH       X                    3,997
EOG RES INC             COM                    26875P101 $    179.00      1,600 SH                X           1,600
EBAY INC                COM                    278642103 $     24.00        500 SH       X                                    500
EBAY INC                COM                    278642103 $    349.00      7,220 SH                X                         7,220
EMERSON ELEC CO         COM                    291011104 $  2,066.00     42,791 SH       X                   42,575           216
EMERSON ELEC CO         COM                    291011104 $    729.00     15,102 SH                X          15,102
EXELON CORP             COM                    30161N101 $    322.00      9,060 SH       X                    9,060
EXELON CORP             COM                    30161N101 $     18.00        500 SH                X             500
EXPRESS SCRIPTS HLDG CO COM                    30219G108 $  1,344.00     21,464 SH       X                   19,747         1,717
EXPRESS SCRIPTS HLDG CO COM                    30219G108 $    435.00      6,949 SH                X           2,887         4,062
EXXON MOBIL CORP        COM                    30231G102 $ 11,624.00    127,110 SH       X                  120,750         6,360
EXXON MOBIL CORP        COM                    30231G102 $  5,941.00     64,962 SH                X          53,797   400  10,765
FEDEX CORP              COM                    31428X106 $  2,945.00     34,800 SH       X                   34,800
FEDEX CORP              COM                    31428X106 $    474.00      5,600 SH                X           5,600
1ST CAPITAL BANK MONTER EY CA COM              31944C107 $     25.00      2,020 SH       X                    2,020
1ST CAPITAL BANK MONTER EY CA COM              31944C107 $    105.00      8,568 SH                X                         8,568
FISERV INC              COM                    337738108 $    215.00      2,898 SH       X                    2,898
FISERV INC              COM                    337738108 $    489.00      6,600 SH                X           3,000         3,600
FREEPORT-MCMORAN COPPER & GO COM               35671D857 $  3,238.00     81,820 SH       X                   79,820         2,000
FREEPORT-MCMORAN COPPER & GO COM               35671D857 $    578.00     14,600 SH                X          14,400           200
GAP INC DEL             COM                    364760108 $    215.00      6,000 SH                X           6,000
GENERAL DYNAMICS CORP   COM                    369550108 $  3,055.00     46,205 SH       X                   46,205
GENERAL DYNAMICS CORP   COM                    369550108 $    178.00      2,685 SH                X           2,060           625
GENERAL ELECTRIC CO     COM                    369604103 $  4,952.00    218,043 SH       X                  209,343         8,700
GENERAL ELECTRIC CO     COM                    369604103 $  3,952.00    174,025 SH                X         142,900 3,360  27,765
GENERAL MLS INC         COM                    370334104 $  1,938.00     48,632 SH       X                   48,632
GENERAL MLS INC         COM                    370334104 $    412.00     10,330 SH                X           4,740         5,590
GENUINE PARTS CO        COM                    372460105 $    244.00      4,000 SH       X                    4,000
GENUINE PARTS CO        COM                    372460105 $     73.00      1,200 SH                X           1,200
GILEAD SCIENCES INC     COM                    375558103 $    459.00      6,920 SH       X                    6,920
GILEAD SCIENCES INC     COM                    375558103 $    397.00      5,990 SH                X             825         5,165





                                                                                     
GOLDMAN SACHS GROUP INC COM                    38141G104 $  1,842.00     16,206 SH       X                   16,206
GOLDMAN SACHS GROUP INC COM                    38141G104 $    234.00      2,060 SH                X           2,060
GOOGLE INC              CL A                   38259P508 $  5,834.00      7,732 SH       X                    7,562           170
GOOGLE INC              CL A                   38259P508 $    395.00        523 SH                X             523
GRAINGER W W INC        COM                    384802104 $  2,604.00     12,495 SH       X                   12,495
GRAINGER W W INC        COM                    384802104 $    754.00      3,620 SH                X           3,620
HEINZ H J CO            COM                    423074103 $    241.00      4,306 SH       X                    4,073           233
HEINZ H J CO            COM                    423074103 $    199.00      3,550 SH                X           1,650         1,900
HERSHEY CO              COM                    427866108 $  1,029.00     14,518 SH       X                   13,234         1,284
HERSHEY CO              COM                    427866108 $    321.00      4,535 SH                X                         4,535
HOME DEPOT INC          COM                    437076102 $    337.00      5,575 SH       X                    4,375         1,200
HOME DEPOT INC          COM                    437076102 $    502.00      8,315 SH                X           3,290         5,025
HONEYWELL INTL INC      COM                    438516106 $  2,929.00     49,024 SH       X                   49,024
HONEYWELL INTL INC      COM                    438516106 $    527.00      8,825 SH                X           5,000         3,825
ILLINOIS TOOL WKS INC   COM                    452308109 $    224.00      3,759 SH       X                    3,759
ILLINOIS TOOL WKS INC   COM                    452308109 $     40.00        680 SH                X             680
INTEL CORP              COM                    458140100 $  6,824.00    301,233 SH       X                  296,491         4,742
INTEL CORP              COM                    458140100 $    832.00     36,725 SH                X          30,375         6,350
INTERNATIONAL BUSINESS  MACHS COM              459200101 $ 14,800.00     71,343 SH       X                   70,576           767
INTERNATIONAL BUSINESS  MACHS COM              459200101 $  4,938.00     23,805 SH                X          18,555         5,250
ISHARES INC             MSCI CDA INDEX         464286509 $  1,052.00     36,940 SH       X                   36,940
ISHARES INC             MSCI CDA INDEX         464286509 $     77.00      2,700 SH                X           2,700
ISHARES INC             MSCI EMU INDEX         464286608 $    220.00      7,320 SH                X                         7,320
ISHARES INC             MSCI PAC J IDX         464286665 $  2,370.00     53,155 SH       X                   53,155
ISHARES INC             MSCI PAC J IDX         464286665 $    462.00     10,355 SH                X          10,355
ISHARES TR              S&P 100 IDX FD         464287101 $    977.00     14,705 SH       X                   14,705
ISHARES TR              DJ SEL DIV INX         464287168 $    433.00      7,510 SH       X                    7,510
ISHARES TR              DJ SEL DIV INX         464287168 $     17.00        300 SH                X             300
ISHARES TR              S&P 500 INDEX          464287200 $    448.00      3,105 SH       X                    3,105
ISHARES TR              MSCI EMERG MKT         464287234 $  3,391.00     82,066 SH       X                   82,066
ISHARES TR              MSCI EMERG MKT         464287234 $    641.00     15,500 SH                X          15,150           350
ISHARES TR              IBOXX INV CPBD         464287242 $    284.00      2,330 SH                X                         2,330
ISHARES TR              S&P500 GRW             464287309 $    300.00      3,850 SH       X                    3,850
ISHARES TR              S&P500 GRW             464287309 $    119.00      1,525 SH                X           1,525
ISHARES TR              S&P GBL HLTHCR         464287325 $    447.00      6,969 SH       X                    6,969
ISHARES TR              S&P GBL HLTHCR         464287325 $     56.00        870 SH                X             870
ISHARES TR              S&P GBL ENER           464287341 $    111.00      2,825 SH       X                    2,825
ISHARES TR              S&P GBL ENER           464287341 $    235.00      5,965 SH                X                         5,965
ISHARES TR              S&P 500 VALUE          464287408 $    283.00      4,300 SH       X                    4,300
ISHARES TR              S&P 500 VALUE          464287408 $     72.00      1,090 SH                X           1,090
ISHARES TR              MSCI EAFE INDEX        464287465 $  2,218.00     41,848 SH       X                   41,848
ISHARES TR              MSCI EAFE INDEX        464287465 $    494.00      9,320 SH                X           9,320
ISHARES TR              RUSSELL MIDCAP         464287499 $    386.00      3,485 SH       X                    3,485
ISHARES TR              S&P MC 400 GRW         464287606 $  3,829.00     34,197 SH       X                   34,197
ISHARES TR              S&P MC 400 GRW         464287606 $    424.00      3,785 SH                X           3,785
ISHARES TR              RUSL 2000 VALU         464287630 $    407.00      5,500 SH       X                    5,500
ISHARES TR              RUSSELL 2000           464287655 $    796.00      9,535 SH       X                    9,535
ISHARES TR              RUSSELL 2000           464287655 $    350.00      4,200 SH                X           4,200
ISHARES TR              S&P MIDCP VALU         464287705 $    962.00     11,311 SH       X                   11,311
ISHARES TR              S&P MIDCP VALU         464287705 $    150.00      1,770 SH                X           1,660           110
ISHARES TR              S&P SMLCAP 600         464287804 $  9,851.00    127,815 SH       X                  127,815
ISHARES TR              S&P SMLCAP 600         464287804 $    642.00      8,335 SH                X           8,160   175
ISHARES TR              S&P SMLCP VALU         464287879 $  1,194.00     15,117 SH       X                   15,117
ISHARES TR              S&P SMLCP VALU         464287879 $    250.00      3,170 SH                X           3,170
ISHARES TR              S&P SMLCP GROW         464287887 $  3,691.00     44,145 SH       X                   44,145
ISHARES TR              S&P SMLCP GROW         464287887 $    203.00      2,425 SH                X           2,425
ISHARES TR              HIGH YLD CORP          464288513 $    236.00      2,560 SH                X                         2,560
ISHARES TR              US PFD STK IDX         464288687 $  3,700.00     92,830 SH       X                   92,830
ISHARES TR              US PFD STK IDX         464288687 $    343.00      8,595 SH                X           2,775         5,820
JPMORGAN CHASE & CO     COM                    46625H100 $  3,081.00     76,122 SH       X                   73,356         2,766
JPMORGAN CHASE & CO     COM                    46625H100 $    705.00     17,411 SH                X          12,516         4,895
JOHNSON & JOHNSON       COM                    478160104 $  9,448.00    137,102 SH       X                  134,815         2,287
JOHNSON & JOHNSON       COM                    478160104 $  2,256.00     32,736 SH                X          29,986         2,750
KIMBERLY CLARK CORP     COM                    494368103 $  3,948.00     46,021 SH       X                   46,021
KIMBERLY CLARK CORP     COM                    494368103 $    950.00     11,075 SH                X          11,075
KRAFT FOODS INC         CL A                   50075N104 $  2,063.00     49,898 SH       X                   48,248         1,650
KRAFT FOODS INC         CL A                   50075N104 $    196.00      4,744 SH                X           4,744
L-3 COMMUNICATIONS HLDG S INC COM              502424104 $  1,366.00     19,055 SH       X                   19,055
L-3 COMMUNICATIONS HLDG S INC COM              502424104 $     22.00        300 SH                X             300
LANX OFFSHORE PARTNERS  (QP)                   51655A900 $  1,067.00          1 SH       X                        1
LASEN LTD. 8.3567% INT.                        51790A906 $    234.00          1 SH       X                        1
LILLY ELI & CO          COM                    532457108 $  1,812.00     38,210 SH       X                   37,010         1,200
LILLY ELI & CO          COM                    532457108 $    284.00      6,000 SH                X           6,000
LIMONEIRA CO            COM                    532746104 $    885.00     48,000 SH       X                   48,000
LOCKHEED MARTIN CORP    COM                    539830109 $    416.00      4,450 SH       X                    4,450
LOEWS CORP              COM                    540424108 $    276.00      6,700 SH                X           6,700
LOWES COS INC           COM                    548661107 $    698.00     23,077 SH       X                   23,077
LOWES COS INC           COM                    548661107 $    184.00      6,100 SH                X           6,100





                                                                                    
MARKET VECTORS ETF TR   GOLD MINER ETF         57060U100 $    245.00      4,565 SH       X                    4,565
MARKET VECTORS ETF TR   PHARMACEUTICAL         57060U217 $    304.00      7,420 SH       X                    7,420
MARKET VECTORS ETF TR   PHARMACEUTICAL         57060U217 $     24.00        575 SH                X             575
MCDONALDS CORP          COM                    580135101 $  9,361.00    102,031 SH       X                  100,481         1,550
MCDONALDS CORP          COM                    580135101 $    743.00      8,095 SH                X           7,095         1,000
MEDTRONIC INC           COM                    585055106 $  1,104.00     25,601 SH       X                   25,468           133
MEDTRONIC INC           COM                    585055106 $    512.00     11,880 SH                X          10,580         1,300
MERCK & CO INC NEW      COM                    58933Y105 $  1,227.00     27,209 SH       X                   26,609           600
MERCK & CO INC NEW      COM                    58933Y105 $  1,963.00     43,527 SH                X          37,527         6,000
MICROSOFT CORP          COM                    594918104 $  6,536.00    219,635 SH       X                  218,935           700
MICROSOFT CORP          COM                    594918104 $    947.00     31,805 SH                X          31,205           600
NESTLE S A              SPONSORED ADR          641069406 $    289.00      4,585 SH       X                    4,585
NESTLE S A              SPONSORED ADR          641069406 $     65.00      1,025 SH                X           1,025
NEXTERA ENERGY INC      COM                    65339F101 $  1,728.00     24,573 SH       X                   22,173         2,400
NIKE INC                CL B                   654106103 $  2,786.00     29,355 SH       X                   29,355
NIKE INC                CL B                   654106103 $     20.00        215 SH                X             215
NISOURCE INC            COM                    65473P105 $  1,346.00     52,827 SH       X                   52,827
NORDSTROM INC           COM                    655664100 $     55.00      1,000 SH       X                    1,000
NORDSTROM INC           COM                    655664100 $    221.00      4,000 SH                X           4,000
NOVARTIS A G            SPONSORED ADR          66987V109 $    636.00     10,375 SH       X                   10,375
NOVARTIS A G            SPONSORED ADR          66987V109 $     75.00      1,220 SH                X           1,220
OCCIDENTAL PETE CORP
 DE L                   COM                    674599105 $    636.00      7,395 SH       X                    7,395
OCCIDENTAL PETE CORP
 DE L                   COM                    674599105 $      0.00          0 SH                X
OMNICOM GROUP INC       COM                    681919106 $    407.00      7,900 SH       X                    7,900
OMNICOM GROUP INC       COM                    681919106 $    649.00     12,590 SH                X          12,590
ORACLE CORP             COM                    68389X105 $  5,394.00    171,444 SH       X                  169,310         2,134
ORACLE CORP             COM                    68389X105 $    434.00     13,800 SH                X          10,250         3,550
PNC FINL SVCS GROUP INC COM                    693475105 $    579.00      9,175 SH       X                    9,175
PNC FINL SVCS GROUP INC COM                    693475105 $    126.00      2,000 SH                X           2,000
PPG INDS INC            COM                    693506107 $  3,850.00     33,523 SH       X                   33,523
PPG INDS INC            COM                    693506107 $     34.00        300 SH                X             300
PACIFIC CAP BANCORP NEW COM NEW                69404P200 $    158.00      3,451 SH       X                    3,451
PACIFIC CAP BANCORP NEW COM NEW                69404P200 $    127.00      2,758 SH                X           2,758
PEPSICO INC             COM                    713448108 $  5,891.00     83,240 SH       X                   81,685         1,555
PEPSICO INC             COM                    713448108 $  1,195.00     16,890 SH                X          13,390         3,500
PETROLEO BRASILEIRO SA  PETRO SPONSORED ADR    71654V408 $  1,680.00     73,261 SH       X                   69,261         4,000
PETROLEO BRASILEIRO SA  PETRO SPONSORED ADR    71654V408 $     38.00      1,650 SH                X           1,650
PFIZER INC              COM                    717081103 $  3,800.00    152,923 SH       X                  149,223         3,700
PFIZER INC              COM                    717081103 $  1,429.00     57,517 SH                X          52,517         5,000
PHILIP MORRIS INTL INC  COM                    718172109 $  6,486.00     72,115 SH       X                   72,115
PHILIP MORRIS INTL INC  COM                    718172109 $    744.00      8,275 SH                X           8,275
PHILLIPS 66             COM                    718546104 $    787.00     16,973 SH       X                   16,973
PHILLIPS 66             COM                    718546104 $    199.00      4,298 SH                X           2,611         1,687
PLUM CREEK TIMBER
 CO IN C                COM                    729251108 $    167.00      3,805 SH       X                    3,805
PLUM CREEK TIMBER
 CO IN C                COM                    729251108 $    145.00      3,300 SH                X           3,300
POTASH CORP SASK INC    COM                    73755L107 $    933.00     21,490 SH       X                   21,490
POWERSHARES QQQ TRUST   UNIT SER 1             73935A104 $  1,921.00     28,010 SH       X                   28,010
POWERSHARES QQQ TRUST   UNIT SER 1             73935A104 $    154.00      2,250 SH                X           2,250
PRECISION CASTPARTS
 CORP                   COM                    740189105 $  1,004.00      6,144 SH       X                    6,144
PRECISION CASTPARTS
 CORP                   COM                    740189105 $     31.00        190 SH                X             190
PRICE T ROWE GROUP INC  COM                    74144T108 $  1,494.00     23,600 SH       X                   23,600
PRICE T ROWE GROUP INC  COM                    74144T108 $     78.00      1,230 SH                X           1,230
PRICELINE COM INC       COM NEW                741503403 $    867.00      1,400 SH       X                    1,400
PROCTER & GAMBLE CO     COM                    742718109 $  6,421.00     92,572 SH       X                   92,039           533
PROCTER & GAMBLE CO     COM                    742718109 $  4,797.00     69,154 SH                X          58,754        10,400
QUALCOMM INC            COM                    747525103 $  3,716.00     59,482 SH       X                   58,641           841
QUALCOMM INC            COM                    747525103 $    347.00      5,550 SH                X           3,350         2,200
QUANTUM CORP            COM DSSG               747906204 $     52.00     32,000 SH       X                   32,000
QUEST DIAGNOSTICS INC   COM                    74834L100 $    864.00     13,621 SH       X                   13,288           333
QUEST DIAGNOSTICS INC   COM                    74834L100 $    206.00      3,250 SH                X           3,250
RAYTHEON CO             COM NEW                755111507 $    545.00      9,540 SH       X                    9,540
RAYTHEON CO             COM NEW                755111507 $     31.00        550 SH                X             550
ROSS STORES INC         COM                    778296103 $    218.00      3,370 SH                X                         3,370
ROYAL DUTCH SHELL PLC   SPON ADR B             780259107 $    225.00      3,152 SH       X                    3,152
ROYAL DUTCH SHELL PLC   SPON ADR B             780259107 $      6.00         85 SH                X              85
ROYAL DUTCH SHELL PLC   SPONS ADR A            780259206 $  2,178.00     31,372 SH       X                   29,889         1,483
ROYAL DUTCH SHELL PLC   SPONS ADR A            780259206 $    285.00      4,100 SH                X           4,100
RYDEX ETF TRUST         GUG S&P500 EQ W T      78355W106 $  8,058.00    154,422 SH       X                  154,422
RYDEX ETF TRUST         GUG S&P500 EQ W T      78355W106 $    477.00      9,150 SH                X           9,150
SPDR S&P 500 ETF TR     TR UNIT                78462F103 $  2,895.00     20,105 SH       X                   20,105
SPDR S&P 500 ETF TR     TR UNIT                78462F103 $    204.00      1,420 SH                X           1,250           170
SPDR GOLD TRUST         GOLD SHS               78463V107 $    619.00      3,603 SH       X                    3,603
SPDR GOLD TRUST         GOLD SHS               78463V107 $    432.00      2,515 SH                X             700         1,815
SPDR SERIES TRUST       BRCLYS CAP CONV        78464A359 $  2,209.00     55,814 SH       X                   55,814
SPDR SERIES TRUST       BRCLYS CAP CONV        78464A359 $    113.00      2,850 SH                X           2,850
SPDR SERIES TRUST       BRCLYS YLD ETF         78464A417 $    458.00     11,390 SH                X                        11,390
SPDR SERIES TRUST       S&P REGL BKG           78464A698 $    269.00      9,375 SH                X                         9,375
SPDR DOW JONES INDL
 AVRG                   ETF UT SER 1           78467X109 $    221.00      1,650 SH       X                    1,650





                                                                                    
SPDR S&P MIDCAP 400 ETF TR   UTSER1 S&PDCRP    78467Y107 $ 12,241.00     68,037 SH       X                   68,037
SPDR S&P MIDCAP 400 ETF TR   UTSER1 S&PDCRP    78467Y107 $  1,589.00      8,830 SH                X           8,755    75
SVB FINL GROUP          COM                    78486Q101 $  4,691.00     77,590 SH       X                   77,590
SVB FINL GROUP          COM                    78486Q101 $     26.00        425 SH                X             425
SCHEIN HENRY INC        COM                    806407102 $  1,244.00     15,704 SH       X                   15,704
SCHEIN HENRY INC        COM                    806407102 $     61.00        775 SH                X             625           150
SCHLUMBERGER LTD        COM                    806857108 $  5,349.00     73,957 SH       X                   72,399         1,558
SCHLUMBERGER LTD        COM                    806857108 $    791.00     10,942 SH                X          10,942
SEARCHLIGHT MINERALS
 CORP                   COM NEW                812224202 $     14.00     17,000 SH       X                   17,000
SELECT SECTOR SPDR TR   SBI HEALTHCARE         81369Y209 $    268.00      6,680 SH                X                         6,680
SELECT SECTOR SPDR TR   SBI CONS STPLS         81369Y308 $    549.00     15,325 SH       X                   15,325
SELECT SECTOR SPDR TR   SBI CONS DISCR         81369Y407 $    452.00      9,655 SH       X                    9,655
SELECT SECTOR SPDR TR   SBI CONS DISCR         81369Y407 $    304.00      6,505 SH                X             650         5,855
SELECT SECTOR SPDR TR   SBI INT-ENERGY         81369Y506 $    316.00      4,306 SH       X                    4,306
SELECT SECTOR SPDR TR   SBI INT-ENERGY         81369Y506 $     15.00        200 SH                X                           200
SELECT SECTOR SPDR TR   TECHNOLOGY             81369Y803 $      9.00        300 SH       X                      300
SELECT SECTOR SPDR TR   TECHNOLOGY             81369Y803 $    525.00     17,040 SH                X                        17,040
SELECT SECTOR SPDR TR   SBI INT-UTILS          81369Y886 $  1,031.00     28,325 SH       X                   28,325
SELECT SECTOR SPDR TR   SBI INT-UTILS          81369Y886 $     89.00      2,440 SH                X           1,475           965
SEMPRA ENERGY           COM                    816851109 $    206.00      3,196 SH       X                    3,196
SEMPRA ENERGY           COM                    816851109 $    145.00      2,250 SH                X           2,250
SOUTHERN CO             COM                    842587107 $  3,014.00     65,394 SH       X                   64,928           466
SOUTHERN CO             COM                    842587107 $     76.00      1,640 SH                X           1,640
STERICYCLE INC          COM                    858912108 $  2,177.00     24,055 SH       X                   24,055
STRYKER CORP            COM                    863667101 $  3,930.00     70,616 SH       X                   70,383           233
STRYKER CORP            COM                    863667101 $    239.00      4,300 SH                X           4,300
SYSCO CORP              COM                    871829107 $    922.00     29,495 SH       X                   28,695           800
SYSCO CORP              COM                    871829107 $    150.00      4,785 SH                X           4,785
TAIWAN SEMICONDUCTOR
 MFG LTD                SPONSORED ADR          874039100 $    509.00     32,159 SH       X                   32,159
TARGET CORP             COM                    87612E110 $  1,453.00     22,890 SH       X                   22,890
TARGET CORP             COM                    87612E110 $    230.00      3,625 SH                X           3,625
TEVA PHARMACEUTICAL
 INDS                   LTD ADR                881624209 $    830.00     20,042 SH       X                   20,042
TEVA PHARMACEUTICAL
 INDS                   LTD ADR                881624209 $     41.00      1,000 SH                X           1,000
TEXAS INSTRS INC        COM                    882508104 $    206.00      7,474 SH       X                    7,474
TEXAS INSTRS INC        COM                    882508104 $     55.00      2,000 SH                X           2,000
3M CO                   COM                    88579Y101 $  4,064.00     43,973 SH       X                   42,773         1,200
3M CO                   COM                    88579Y101 $  1,608.00     17,400 SH                X          14,400         3,000
TIFFANY & CO NEW        COM                    886547108 $  1,465.00     23,680 SH       X                   23,480           200
TIFFANY & CO NEW        COM                    886547108 $     96.00      1,550 SH                X           1,550
TORONTO DOMINION BK ONT COM NEW                891160509 $  1,324.00     15,885 SH       X                   15,885
TORONTO DOMINION BK ONT COM NEW                891160509 $    403.00      4,836 SH                X           1,866         2,970
TOTAL S A               SPONSORED ADR          89151E113 $  1,519.00     30,318 SH       X                   30,318
TOTAL S A               SPONSORED ADR          89151E113 $     93.00      1,860 SH                X           1,860
TOYOTA MOTOR CORP       SP ADR REP2COM         892331307 $  3,305.00     42,095 SH       X                   40,895         1,200
TOYOTA MOTOR CORP       SP ADR REP2COM         892331307 $     39.00        500 SH                X             500
TRAVELERS COMPANIES INC COM                    89417E113 $  1,565.00     22,926 SH       X                   22,926
US BANCORP DEL          COM NEW                902973304 $    213.00      6,221 SH       X                    6,221
US BANCORP DEL          COM NEW                902973304 $    132.00      3,850 SH                X           3,850
UNION PAC CORP          COM                    907818108 $    252.00      2,124 SH       X                    1,190           934
UNION PAC CORP          COM                    907818108 $  1,401.00     11,806 SH                X           2,816         8,990
UNITED TECHNOLOGIES
 CORP                   COM                    913017109 $  4,766.00     60,873 SH       X                   60,390           483
UNITED TECHNOLOGIES
 CORP                   COM                    913017109 $    701.00      8,955 SH                X           7,155         1,800
UNITEDHEALTH GROUP INC  COM                    91324P102 $    229.00      4,133 SH       X                    4,133
UNITEDHEALTH GROUP INC  COM                    91324P102 $     11.00        200 SH                X             200
V F CORP                COM                    918204108 $  1,177.00      7,385 SH       X                    7,385
V F CORP                COM                    918204108 $    135.00        850 SH                X             800            50
VALE S A                ADR                    91912E109 $    655.00     36,613 SH       X                   36,613
VALE S A                ADR                    91912E109 $     81.00      4,500 SH                X           4,500
VALUECLICK INC          COM                    92046N102 $    310.00     18,075 SH       X                   18,075
VANGUARD SPECIALIZED PO RTFOL DIV APP ETF      921908844 $    380.00      6,370 SH       X                    6,370
VANGUARD SPECIALIZED PO RTFOL DIV APP ETF      921908844 $    161.00      2,700 SH                X           2,700
VANGUARD INTL EQUITY
 INDEX                  F FTSE SMCAP ETF       922042718 $  1,586.00     18,140 SH       X                   18,140
VANGUARD INTL EQUITY
 INDEX                  F FTSE SMCAP ETF       922042718 $     13.00        150 SH                X             150
VANGUARD INTL EQUITY
 INDEX                  F ALLWRLD EX US        922042775 $  8,793.00    204,670 SH       X                  204,670
VANGUARD INTL EQUITY
 INDEX                  F ALLWRLD EX US        922042775 $    987.00     22,975 SH                X          22,600   375
VANGUARD INTL EQUITY
 INDEX                  F MSCI EMR MKT ETF     922042858 $  4,566.00    109,445 SH       X                  109,445
VANGUARD INTL EQUITY
 INDEX                  F MSCI EMR MKT ETF     922042858 $    427.00     10,240 SH                X          10,015           225
VANGUARD INDEX FDS      TOTAL STK MKT          922908769 $  1,160.00     15,750 SH       X                   15,750
VANGUARD INDEX FDS      TOTAL STK MKT          922908769 $    219.00      2,975 SH                X           2,975
VERIZON COMMUNICATIONS  INC   COM              92343V104 $  3,620.00     79,430 SH       X                   75,430         4,000
VERIZON COMMUNICATIONS  INC   COM              92343V104 $    918.00     20,135 SH                X          14,645         5,490
VISA INC                COM CL A               92826C839 $  2,832.00     21,090 SH       X                   21,090
VISA INC                COM CL A               92826C839 $    268.00      1,995 SH                X             200         1,795
VODAFONE GROUP PLC NEW  SPONS ADR NEW          92857W209 $    856.00     30,044 SH       X                   30,044
VODAFONE GROUP PLC NEW  SPONS ADR NEW          92857W209 $    145.00      5,087 SH                X           5,087
WAL-MART STORES INC     COM                    931142103 $  2,675.00     36,245 SH       X                   35,845           400
WAL-MART STORES INC     COM                    931142103 $  1,232.00     16,700 SH                X          16,700
WALGREEN CO             COM                    931422109 $    870.00     23,875 SH       X                   23,375           500





                                                                                     
WALGREEN CO             COM                    931422109 $    126.00      3,455 SH                X           3,180           275
WELLPOINT INC           COM                    94973V107 $    896.00     15,450 SH       X                   15,450
WELLPOINT INC           COM                    94973V107 $     58.00      1,000 SH                X           1,000
WELLS FARGO & CO NEW    COM                    949746101 $ 39,768.00  1,151,706 SH       X                1,151,206           500
WELLS FARGO & CO NEW    COM                    949746101 $    450.00     13,020 SH                X           4,320 2,000   6,700
WESTERN UN CO           COM                    959802109 $     81.00      4,466 SH       X                    3,233         1,233
WESTERN UN CO           COM                    959802109 $    219.00     12,000 SH                X          12,000
WHOLE FOODS MKT INC     COM                    966837106 $    534.00      5,481 SH       X                    5,481
WHOLE FOODS MKT INC     COM                    966837106 $     49.00        500 SH                X             500
WILLIAMS COS INC DEL    COM                    969457100 $    215.00      6,150 SH       X                                  6,150
YUM BRANDS INC          COM                    988498101 $  2,495.00     37,605 SH       X                   37,605
YUM BRANDS INC          COM                    988498101 $    260.00      3,915 SH                X           2,120   195   1,600

FINAL TOTALS                                             $558,264.00

FORM 13F INFORMATION TABLE  ENTRY TOTAL              389