SEC FORM 13F-HR

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F COVER PAGE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

Report for the Calendar Year or Quarter Ended:09-30-2013
Check here if Amendment  Amendment Number:
This Amendment (Check only one.):  is a restatement.
  adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name:FIRST MERCHANTS CORP
Address:200 EAST JACKSON STREET
MUNCIE, IN  47305
Form 13F File Number:028-13037

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:Terry L Blaker
Title:Senior Vice President
Phone:765-747-1570
Signature, Place, and Date of Signing:
Terry L BlakerMuncieIN10-15-2013
[Signature][City, State][Date]
Report Type (Check only one.):
X13F 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).)
Form 13F Summary Page
Report Summary:
Number of Other Included Managers:0
Form 13F Information Table Entry Total:237
Form 13F Information Table Value Total:295,027
(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.
[If there are no entries in this list, state “NONE” and omit the column headings and list entries.]
NONE

SEC FORM 13-F Information Table

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
ACCENTURE PLC ADRFOREIGN EQUITIESG1151C1012,81438,216SH SOLE 37,65149075
ACCENTURE PLC ADRFOREIGN EQUITIESG1151C1012903,940SH DFND 3,94000
COVIDIEN ADRFOREIGN EQUITIESG2554F1131,78129,232SH SOLE 28,7824500
COVIDIEN ADRFOREIGN EQUITIESG2554F1131422,324SH DFND 2,32400
NOBLE CORPORATION COMCOMMON STOCKH5833N1031,32835,157SH SOLE 34,462595100
NOBLE CORPORATION COMCOMMON STOCKH5833N103741,971SH DFND 1,97100
ALERIAN MLP ETFSPECIALTY ALTERNATIVE FUNDS00162Q86665537,217SH SOLE 37,21700
AT&T INC COMCOMMON STOCK00206R1022,90285,842SH SOLE 84,4971,095250
AT&T INC COMCOMMON STOCK00206R1022387,026SH DFND 7,02600
ABBOTT LABS COMCOMMON STOCK0028241002,24467,641SH SOLE 66,501840300
ABBOTT LABS COMCOMMON STOCK0028241002016,060SH DFND 6,06000
ABBVIE INC COMCOMMON STOCK00287Y1092,37553,115SH SOLE 52,065750300
ABBVIE INC COMCOMMON STOCK00287Y1092756,150SH DFND 6,15000
ADOBE SYSTEMS INC COMCOMMON STOCK00724F10196318,550SH SOLE 17,8507000
ADOBE SYSTEMS INC COMCOMMON STOCK00724F1011052,029SH DFND 2,02900
ALLIANT CORP COMCOMMON STOCK0188021081,71034,514SH SOLE 33,7647500
ALLIANT CORP COMCOMMON STOCK0188021082464,961SH DFND 4,96100
ALTRIA GROUP INC COMCOMMON STOCK02209S1032035,900SH DFND 2,90003,000
AMERISOURCE-BERGEN CORP COMCOMMON STOCK03073E1051,63026,681SH SOLE 26,1914900
AMERISOURCE-BERGEN CORP COMCOMMON STOCK03073E1051402,285SH DFND 2,28500
AMERIPRISE FINANCIAL COMCOMMON STOCK03076C1061,36514,989SH SOLE 14,959300
AMERIPRISE FINANCIAL COMCOMMON STOCK03076C1061361,492SH DFND 1,49200
AMPHENOL CORPORATION COMCOMMON STOCK03209510186211,145SH SOLE 11,115300
AMPHENOL CORPORATION COMCOMMON STOCK03209510169890SH DFND 89000
APACHE CORP COMCOMMON STOCK0374111052,27126,670SH SOLE 26,19040575
APACHE CORP COMCOMMON STOCK0374111051151,350SH DFND 1,35000
APPLE COMPUTER INC COMCOMMON STOCK037833100260546SH SOLE 54105
APPLE COMPUTER INC COMCOMMON STOCK03783310072151SH DFND 15100
AUTOMATIC DATA PROCESSING COMCOMMON STOCK0530151034,01955,532SH SOLE 54,527855150
AUTOMATIC DATA PROCESSING COMCOMMON STOCK0530151034526,245SH DFND 6,24500
BB & T CORPORATION COMCOMMON STOCK0549371071,12333,273SH SOLE 33,188850
BB & T CORPORATION COMCOMMON STOCK054937107481,432SH DFND 1,43200
BAKER HUGHES INC COMCOMMON STOCK0572241072,14543,696SH SOLE 43,0366600
BAKER HUGHES INC COMCOMMON STOCK0572241071442,940SH DFND 2,94000
BALL CORP COMCOMMON STOCK0584981062,27950,790SH SOLE 50,79000
BALL CORP COMCOMMON STOCK05849810618400SH DFND 40000
BANK OF NEW YORK MELLON CORPCOMCOMMON STOCK06405810035711,815SH SOLE 11,81500
BAXTER INTERNATIONAL INC COMCOMMON STOCK0718131092,61139,751SH SOLE 38,98174030
BAXTER INTERNATIONAL INC COMCOMMON STOCK0718131093084,690SH DFND 4,69000
BECTON DICKINSON & CO COMCOMMON STOCK0758871092,70627,060SH SOLE 26,57545530
BECTON DICKINSON & CO COMCOMMON STOCK0758871092522,518SH DFND 2,51800
BED BATH & BEYOND COMCOMMON STOCK0758961002,14827,771SH SOLE 27,2315400
BED BATH & BEYOND COMCOMMON STOCK0758961001552,010SH DFND 2,01000
BEMIS COMPANY INC COMCOMMON STOCK0814371051,78745,810SH SOLE 45,81000
BRISTOL-MYERS SQUIBB COMCOMMON STOCK11012210854011,670SH SOLE 11,67000
BRISTOL-MYERS SQUIBB COMCOMMON STOCK1101221081483,200SH DFND 2,20001,000
BUCKLE INC COMCOMMON STOCK1184401062,05137,961SH SOLE 37,5014600
BUCKLE INC COMCOMMON STOCK1184401061232,282SH DFND 2,28200
CAMPBELL SOUP COMCOMMON STOCK1344291093929,631SH SOLE 9,63100
CATERPILLAR INC. COMCOMMON STOCK1491231013594,300SH SOLE 4,2002575
CATERPILLAR INC. COMCOMMON STOCK14912310132380SH DFND 38000
CHEVRON CORP COMCOMMON STOCK1667641004,95940,815SH SOLE 39,865475475
CHEVRON CORP COMCOMMON STOCK1667641006445,300SH DFND 4,30001,000
CHUBB CORP COMCOMMON STOCK1712321013,31137,098SH SOLE 36,41863050
CHUBB CORP COMCOMMON STOCK1712321014014,497SH DFND 4,49700
CISCO SYSTEMS COMCOMMON STOCK17275R1022,499106,673SH SOLE 104,6231,750300
CISCO SYSTEMS COMCOMMON STOCK17275R10224810,585SH DFND 10,58500
COCA COLA CO COMCOMMON STOCK1912161001,56841,395SH SOLE 41,335600
COCA COLA CO COMCOMMON STOCK1912161002486,535SH DFND 6,53500
COLGATE PALMOLIVE CO COMCOMMON STOCK1941621031,92232,415SH SOLE 31,8156000
COLGATE PALMOLIVE CO COMCOMMON STOCK194162103761,290SH DFND 1,29000
CONOCOPHILLIPS COMCOMMON STOCK20825C1041,55422,362SH SOLE 21,7126500
CONOCOPHILLIPS COMCOMMON STOCK20825C1044686,735SH DFND 5,73501,000
CULLEN FROST BANKERS COMCOMMON STOCK2298991091,23117,454SH SOLE 16,91449050
CULLEN FROST BANKERS COMCOMMON STOCK2298991091962,780SH DFND 2,78000
DANAHER CORP COMCOMMON STOCK2358511021,38419,969SH SOLE 19,3196500
DANAHER CORP COMCOMMON STOCK23585110248695SH DFND 69500
DEERE & CO COMCOMMON STOCK2441991051892,325SH SOLE 2,32500
DEERE & CO COMCOMMON STOCK2441991052623,225SH DFND 3,22500
DISNEY WALT COMPANY COMCOMMON STOCK2546871061,93930,062SH SOLE 29,8222400
DISNEY WALT COMPANY COMCOMMON STOCK2546871062674,140SH DFND 4,14000
DONALDSON INC COMCOMMON STOCK2576511091,67043,807SH SOLE 42,6521,07580
DONALDSON INC COMCOMMON STOCK2576511091333,480SH DFND 3,48000
DU PONT E I DE NEMOURS COMCOMMON STOCK2635341091,54526,376SH SOLE 25,8765000
DU PONT E I DE NEMOURS COMCOMMON STOCK2635341091482,532SH DFND 2,53200
EMC CORPORATION COMCOMMON STOCK2686481021,82171,266SH SOLE 70,5667000
EMC CORPORATION COMCOMMON STOCK2686481021054,106SH DFND 4,10600
ECOLAB INC COMCOMMON STOCK2788651001,52415,436SH SOLE 15,01137550
ECOLAB INC COMCOMMON STOCK2788651001881,900SH DFND 1,90000
EMERSON ELEC CO COMCOMMON STOCK2910111041,70226,314SH SOLE 26,274400
EMERSON ELEC CO COMCOMMON STOCK2910111045167,969SH DFND 5,96902,000
EXXON MOBIL CORP COMCOMMON STOCK30231G1024,75755,293SH SOLE 54,313805175
EXXON MOBIL CORP COMCOMMON STOCK30231G1026197,198SH DFND 5,14202,056
FLIR CORPORATION COMCOMMON STOCK3024451011,06633,962SH SOLE 33,887750
FLIR CORPORATION COMCOMMON STOCK30244510120652SH DFND 65200
FIRST MERCHANTS CORP COMCOMMON STOCK3208171091,25172,209SH SOLE 68,5003,7090
FIRST MERCHANTS CORP COMCOMMON STOCK32081710937521,662SH DFND 21,66200
FLOWERS FOOD INC COMCOMMON STOCK34349810171633,411SH SOLE 33,41100
FLOWERS FOOD INC COMCOMMON STOCK3434981011517,062SH DFND 7,06200
FRANKLIN RES INC COMCOMMON STOCK3546131011,27125,151SH SOLE 24,686365100
FRANKLIN RES INC COMCOMMON STOCK354613101741,456SH DFND 1,45600
GENERAL ELECTRIC CO COMCOMMON STOCK3696041031,30554,660SH SOLE 53,1101501,400
GENERAL ELECTRIC CO COMCOMMON STOCK3696041032299,600SH DFND 8,60001,000
GRACO INC COMCOMMON STOCK3841091041,45319,622SH SOLE 19,04750075
GRACO INC COMCOMMON STOCK384109104791,066SH DFND 1,06600
HCC INSURANCE HLDGS COMCOMMON STOCK4041321022,23751,074SH SOLE 50,3047700
HCC INSURANCE HLDGS COMCOMMON STOCK4041321021703,875SH DFND 3,87500
HARRIS CORP DEL COMCOMMON STOCK4138751053,18653,738SH SOLE 52,953685100
HARRIS CORP DEL COMCOMMON STOCK4138751052564,310SH DFND 4,31000
JACK HENRY & ASSOCIATES COMCOMMON STOCK4262811012,38046,089SH SOLE 46,039500
JACK HENRY & ASSOCIATES COMCOMMON STOCK4262811011623,130SH DFND 3,13000
HIBBETT SPORTS INC COMCOMMON STOCK42856710188115,701SH SOLE 15,646550
HIBBETT SPORTS INC COMCOMMON STOCK428567101751,333SH DFND 1,33300
HONEYWELL INTL INC COMCOMMON STOCK4385161061,70720,562SH SOLE 20,3322300
HONEYWELL INTL INC COMCOMMON STOCK4385161061521,825SH DFND 1,82500
HORMEL FOODS CORP COMCOMMON STOCK4404521001,20828,685SH SOLE 28,625600
HORMEL FOODS CORP COMCOMMON STOCK44045210027645SH DFND 64500
HUNTINGTON BANCSHARES INC COMCOMMON STOCK4461501049711,719SH SOLE 11,71900
INTEL CORP COMCOMMON STOCK45814010067329,365SH SOLE 28,7650600
INTEL CORP COMCOMMON STOCK4581401001838,000SH DFND 7,00001,000
INTL BUSINESS MACHINES CORP COMCOMMON STOCK4592001011,8169,809SH SOLE 9,56917070
INTL BUSINESS MACHINES CORP COMCOMMON STOCK45920010146250SH DFND 25000
NASDAQ BIOTECH INDEX ETF ISHARESETF DOMESTIC EQUITY4642875561,5787,527SH SOLE 7,102325100
NASDAQ BIOTECH INDEX ETF ISHARESETF DOMESTIC EQUITY4642875562671,275SH DFND 1,27500
S&P MID-CAP 400 GROWTH ETF ISHARESMID CAP EQUITY FUNDS46428760613,77699,032SH SOLE 98,1129200
S&P MID-CAP 400 GROWTH ETF ISHARESMID CAP EQUITY FUNDS4642876067025,046SH DFND 5,04600
RUSSELL 2000 INDEX ETF ISHARESSMALL CAP EQUITY FUNDS4642876551,24911,712SH SOLE 11,2924200
S&P MID-CAP 400 VALUE ETF ISHARESMID CAP EQUITY FUNDS46428770514,967138,561SH SOLE 137,809608144
S&P MID-CAP 400 VALUE ETF ISHARESMID CAP EQUITY FUNDS4642877057286,742SH DFND 6,74200
S&P SMALL CAP 600 CORE ETF ISHARESSMALL CAP EQUITY FUNDS4642878045,13151,411SH SOLE 50,508707196
S&P SMALL CAP 600 CORE ETF ISHARESSMALL CAP EQUITY FUNDS4642878041291,295SH DFND 1,29500
S&P SMALL CAP 600 VALUE ETF ISHARESSMALL CAP EQUITY FUNDS4642878797,65074,836SH SOLE 74,2425940
S&P SMALL CAP 600 VALUE ETF ISHARESSMALL CAP EQUITY FUNDS4642878791471,440SH DFND 1,44000
S&P SMALL CAP 600 GROWTH ETF ISHARESSMALL CAP EQUITY FUNDS4642878878,10574,800SH SOLE 74,4273730
S&P SMALL CAP 600 GROWTH ETF ISHARESSMALL CAP EQUITY FUNDS4642878871511,397SH DFND 1,39700
J P MORGAN CHASE & CO COMCOMMON STOCK46625H1003,05159,033SH SOLE 58,70875250
J P MORGAN CHASE & CO COMCOMMON STOCK46625H1002224,300SH DFND 4,30000
JARDEN CORPORATION COMCOMMON STOCK47110910829600SH SOLE 60000
JARDEN CORPORATION COMCOMMON STOCK4711091082906,000SH DFND 6,00000
JOHNSON & JOHNSON COMCOMMON STOCK4781601042,70231,164SH SOLE 30,51460050
JOHNSON & JOHNSON COMCOMMON STOCK4781601044735,458SH DFND 3,05802,400
KELLOGG CO COMCOMMON STOCK4878361082604,420SH SOLE 4,42000
KIMBERLY CLARK CORP COMCOMMON STOCK4943681031,79919,089SH SOLE 18,63940050
KIMBERLY CLARK CORP COMCOMMON STOCK4943681035726,075SH DFND 5,07501,000
KOHL'S CORP COMCOMMON STOCK5002551041603,085SH SOLE 3,08500
KOHL'S CORP COMCOMMON STOCK5002551041292,500SH DFND 2,50000
LILLY ELI & CO COMCOMMON STOCK53245710874414,789SH SOLE 14,78900
LORILLARD INC COMCOMMON STOCK5441471012696,000SH DFND 3,00003,000
LOWE'S COMPANIES INC COMCOMMON STOCK5486611074519,475SH SOLE 9,47500
LOWE'S COMPANIES INC COMCOMMON STOCK5486611072866,000SH DFND 6,00000
MDU RES GROUP INC COMCOMMON STOCK5526901092,34083,708SH SOLE 81,9581,650100
MDU RES GROUP INC COMCOMMON STOCK5526901092227,945SH DFND 7,94500
MCDONALDS CORP COMCOMMON STOCK5801351012903,010SH SOLE 3,01000
MCDONALDS CORP COMCOMMON STOCK58013510158600SH DFND 60000
MEDTRONIC INCORPORATED COMCOMMON STOCK5850551061,11921,017SH SOLE 19,992825200
MEDTRONIC INCORPORATED COMCOMMON STOCK58505510632600SH DFND 60000
MERCK & CO INC COMCOMMON STOCK58933Y1052695,649SH SOLE 5,64900
MERCK & CO INC COMCOMMON STOCK58933Y105952,000SH DFND 1,00001,000
MICROSOFT CORPORATION COMCOMMON STOCK5949181041,87156,244SH SOLE 54,5441,300400
MICROSOFT CORPORATION COMCOMMON STOCK59491810433810,167SH DFND 9,16701,000
MICROCHIP TECHNOLOGY COMCOMMON STOCK5950171041,89046,915SH SOLE 45,3901,325200
MICROCHIP TECHNOLOGY COMCOMMON STOCK5950171043087,650SH DFND 6,65001,000
NATIONAL OILWELL VARCO COMCOMMON STOCK6370711011,27216,286SH SOLE 16,251350
NATIONAL OILWELL VARCO COMCOMMON STOCK63707110157725SH DFND 72500
NEXTERA ENERGY INC COMCOMMON STOCK65339F1015797,225SH SOLE 7,175500
NEXTERA ENERGY INC COMCOMMON STOCK65339F1013574,450SH DFND 2,45002,000
NORTHERN TR CORP COMCOMMON STOCK6658591042,13839,318SH SOLE 38,493700125
NORTHERN TR CORP COMCOMMON STOCK6658591041552,850SH DFND 2,85000
NOVARTIS A G SPONSORED ADRFOREIGN EQUITIES66987V1094225,500SH SOLE 5,32550125
NOVARTIS A G SPONSORED ADRFOREIGN EQUITIES66987V1091231,600SH DFND 1,60000
NUCOR CORP COMCOMMON STOCK6703461051,30826,678SH SOLE 26,038475165
NUCOR CORP COMCOMMON STOCK6703461051753,580SH DFND 2,58001,000
NVIDIA CORP COMCOMMON STOCK67066G1041,24780,118SH SOLE 78,3431,7750
NVIDIA CORP COMCOMMON STOCK67066G104915,835SH DFND 5,83500
OCCIDENTAL PETE COMCOMMON STOCK67459910593910,044SH SOLE 10,019250
OCCIDENTAL PETE COMCOMMON STOCK67459910568732SH DFND 73200
OLD NATIONAL BANCORP COMCOMMON STOCK68003310720214,208SH SOLE 14,20800
OMNICOM GROUP INC COMCOMMON STOCK6819191062,23635,253SH SOLE 34,6136400
OMNICOM GROUP INC COMCOMMON STOCK6819191061502,365SH DFND 2,36500
ORACLE CORP COMCOMMON STOCK68389X1051,41242,574SH SOLE 41,2991,175100
ORACLE CORP COMCOMMON STOCK68389X1051103,327SH DFND 3,32700
PEOPLE'S UNITED FINANCIAL COMCOMMON STOCK71270410598768,657SH SOLE 66,5071,950200
PEOPLE'S UNITED FINANCIAL COMCOMMON STOCK71270410515410,690SH DFND 8,69002,000
PEPSICO INC COMCOMMON STOCK7134481082,63133,100SH SOLE 32,4206800
PEPSICO INC COMCOMMON STOCK7134481082022,535SH DFND 1,53501,000
PFIZER INC COMCOMMON STOCK71708110345715,926SH SOLE 15,7760150
PFIZER INC COMCOMMON STOCK717081103371,300SH DFND 1,30000
PHILIP MORRIS INTL INC COMCOMMON STOCK718172109110SH SOLE 1000
PHILIP MORRIS INTL INC COMCOMMON STOCK7181721093383,900SH DFND 1,40002,500
T. ROWE PRICE GROUP INC COMCOMMON STOCK74144T1082,24631,227SH SOLE 30,8673600
T. ROWE PRICE GROUP INC COMCOMMON STOCK74144T1081431,982SH DFND 1,98200
PROCTER & GAMBLE CO COMCOMMON STOCK7427181093,63648,106SH SOLE 47,37668050
PROCTER & GAMBLE CO COMCOMMON STOCK7427181094976,581SH DFND 6,58100
QUALCOMM INCORPORATED COMCOMMON STOCK7475251032,00929,844SH SOLE 29,3045400
QUALCOMM INCORPORATED COMCOMMON STOCK7475251031221,818SH DFND 1,81800
GUGGENHEI EQ WGHT S&P 500 ETFLARGE/MULTI- CAP EQUITY FUNDS78355W1064,18664,211SH SOLE 63,8583530
GUGGENHEI EQ WGHT S&P 500 ETFLARGE/MULTI- CAP EQUITY FUNDS78355W106781,200SH DFND 1,20000
S&P 500 ETF SPDRLARGE/MULTI- CAP EQUITY FUNDS78462F1031,3327,927SH SOLE 7,92700
MSCI ACWI EX-US ETF SPDRINTERNATIONAL EQUITY FUNDS78463X8482,85783,430SH SOLE 83,43000
S&P 400 MID-CAP ETF SPDRMID CAP EQUITY FUNDS78467Y10710,17444,953SH SOLE 44,175569209
S&P 400 MID-CAP ETF SPDRMID CAP EQUITY FUNDS78467Y1073381,495SH DFND 1,49500
SCHLUMBERGER LTD COMCOMMON STOCK8068571083,65541,366SH SOLE 40,426665275
SCHLUMBERGER LTD COMCOMMON STOCK8068571084004,530SH DFND 4,53000
MATERIALS SECTOR ETF SPDRETF DOMESTIC EQUITY81369Y1001,57037,373SH SOLE 37,2537050
MATERIALS SECTOR ETF SPDRETF DOMESTIC EQUITY81369Y1001413,350SH DFND 3,35000
HEALTHCARE SECTOR ETF SPDRETF DOMESTIC EQUITY81369Y2093597,100SH SOLE 7,10000
CONSUMER STAPLES SECTOR ETF SPDRETF DOMESTIC EQUITY81369Y30839810,000SH SOLE 10,00000
TECHNOLOGY SELECT SECTOR ETF SPDRETF DOMESTIC EQUITY81369Y80334910,900SH SOLE 10,90000
THE J.M. SMUCKER COMPANY COMCOMMON STOCK8326964053,28731,294SH SOLE 30,8194750
THE J.M. SMUCKER COMPANY COMCOMMON STOCK8326964053152,996SH DFND 2,99600
SOUTHERN CO COMCOMMON STOCK8425871073648,850SH SOLE 8,350300200
SOUTHERN CO COMCOMMON STOCK8425871071052,550SH DFND 1,55001,000
STRYKER CORP COMCOMMON STOCK8636671012,35134,790SH SOLE 34,0407500
STRYKER CORP COMCOMMON STOCK8636671011662,452SH DFND 2,45200
SYSCO CORP COMCOMMON STOCK8718291072,81688,494SH SOLE 86,9191,475100
SYSCO CORP COMCOMMON STOCK87182910734710,893SH DFND 10,89300
TARGET CORP COMCOMMON STOCK87612E1062,12933,288SH SOLE 32,9033850
TARGET CORP COMCOMMON STOCK87612E1061061,655SH DFND 1,65500
3M COMPANY COMCOMMON STOCK88579Y1012,81523,578SH SOLE 23,0785000
3M COMPANY COMCOMMON STOCK88579Y1011691,415SH DFND 1,41500
US BANCORP DEL COMCOMMON STOCK9029733041,02928,131SH SOLE 27,081800250
US BANCORP DEL COMCOMMON STOCK90297330415400SH DFND 40000
ULTA SALON COS & FRAG COMCOMMON STOCK90384S3037025,879SH SOLE 5,87900
ULTA SALON COS & FRAG COMCOMMON STOCK90384S30359495SH DFND 49500
UNITED PARCEL SERVICE COMCOMMON STOCK9113121061,07011,711SH SOLE 11,36127575
UNITED PARCEL SERVICE COMCOMMON STOCK9113121061511,655SH DFND 1,65500
UNITED TECHNOLOGIES CORP COMCOMMON STOCK9130171094,26139,516SH SOLE 38,8416750
UNITED TECHNOLOGIES CORP COMCOMMON STOCK9130171095595,183SH DFND 5,18300
VF CORP COMCOMMON STOCK9182041082,06410,368SH SOLE 10,033235100
VF CORP COMCOMMON STOCK9182041083041,525SH DFND 1,52500
VANGUARD TOTAL BOND MKT INDXETFTAXABLE BOND MUTUAL FUNDS9219378354,02849,800SH SOLE 49,80000
VANGUARD FTSE ALL WRLD EX-USETFINTERNATIONAL EQUITY FUNDS9220427759,450194,486SH SOLE 192,7771,309400
VANGUARD FTSE ALL WRLD EX-USETFINTERNATIONAL EQUITY FUNDS9220427751643,377SH DFND 3,37700
VARIAN MEDICAL SYSTEMS INC COMCOMMON STOCK92220P10581210,865SH SOLE 10,830350
VARIAN MEDICAL SYSTEMS INC COMCOMMON STOCK92220P10557760SH DFND 76000
VECTREN CORP COMCOMMON STOCK92240G1012,24467,316SH SOLE 65,9411,225150
VECTREN CORP COMCOMMON STOCK92240G1012928,770SH DFND 7,77001,000
VANGUARD REIT INDEX ETFSPECIALTY ALTERNATIVE FUNDS9229085538,499128,516SH SOLE 125,9632,335218
VANGUARD REIT INDEX ETFSPECIALTY ALTERNATIVE FUNDS9229085533234,878SH DFND 4,87800
VERIZON COMMUNICATIONS INC COMCOMMON STOCK92343V1042,01643,188SH SOLE 42,316550322
VERIZON COMMUNICATIONS INC COMCOMMON STOCK92343V1041924,104SH DFND 4,10400
WAL MART STORES INC COMCOMMON STOCK9311421031,76123,813SH SOLE 23,4883250
WAL MART STORES INC COMCOMMON STOCK9311421032593,500SH DFND 3,50000
WELLS FARGO & CO COMCOMMON STOCK9497461011473,548SH SOLE 3,54800
WELLS FARGO & CO COMCOMMON STOCK949746101832,000SH DFND 002,000
XYLEM INC COMCOMMON STOCK98419M1001,17642,092SH SOLE 40,997970125
XYLEM INC COMCOMMON STOCK98419M1001023,645SH DFND 3,64500