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

                                    FORM 13F

                               FORM 13F COVER PAGE

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

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:         SCBT Financial Corporation
                 -------------------------------
   Address:      ATTN: John C. Pollok
                 -------------------------------
                 520 Gervais Street
                 -------------------------------
                 Columbia, SC 29201-3046
                 -------------------------------

Form 13F File Number: 28-14854
                         ---------------------

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:    John C. Pollok
         -------------------------------------------
Title:   Senior Executive Vice President, CFO, & COO
         -------------------------------------------
Phone:   803-765-4628
         -------------------------------------------

Signature, Place, and Date of Signing:

         /s/ John C. Pollok              Columbia, SC       02/14/13
   -------------------------------    -----------------   -------------
           [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 REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      2
                                        --------------------

Form 13F Information Table Entry Total: 278
                                        --------------------

Form 13F Information Table Value Total: $407,678
                                        --------------------
                                            (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.

    No.       Form 13F File Number         Name

    1         28-14894                     SCBT
    ------       -----------------         ---------------------------------
    2         28-1468                      Minis & Co., Inc.
    ------       -----------------         ---------------------------------



                           FORM 13F INFORMATION TABLE



                                                         VALUE  SHARES/ SH/ PUT/ INVSTMT        OTHER        VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN        MANAGERS   SOLE   SHARED    NONE
------------------------------ -------------- --------- ------- ------- -------- -------------- -------- -------- ------   ------
                                                                                              
3M CO                          COMMON STOCK   88579Y101     705    7597 SH       SHARED-DEFINED        1     7147      0      450
3M CO                          COMMON STOCK   88579y101     850    9154 SH       SHARED-DEFINED        2     7954      0     1200
ABBOTT LABS                    COMMON STOCK   002824100     951   14513 SH       SHARED-DEFINED        1    13888      0      625
ABBOTT LABS                    COMMON STOCK   2824100      1803   27526 SH       SHARED-DEFINED        2    25626      0     1900
ACCENTURE PLC CL A             COMMON STOCK   G1151C101     221    3317 SH       SHARED-DEFINED        1     3317      0        0
ACCENTURE PLC CL A             COMMON STOCK   G1151C101       1      19 SH       SHARED-DEFINED        2        0      0        0
AFLAC INC.                     COMMON STOCK   001055102    2708   50978 SH       SHARED-DEFINED        2    49878      0     1100
ALLSTATE CORP                  COMMON STOCK   020002101      35     875 SH       SHARED-DEFINED        1        0      0      875
ALLSTATE CORP                  COMMON STOCK   020002101     291    7250 SH       SHARED-DEFINED        2     6650      0      600
ALTRIA GROUP INC               COMMON STOCK   02209S103     478   15270 SH       SHARED-DEFINED        1    11333      0     3937
ALTRIA GROUP INC               COMMON STOCK   02209s103     192    6190 SH       SHARED-OTHER          1        0      0     6190
ALTRIA GROUP INC               COMMON STOCK   02209s103     298    9477 SH       SHARED-DEFINED        2     9477      0        0
AMERICAN ELEC PWR INC          COMMON STOCK   025537101     599   14034 SH       SHARED-DEFINED        1    14034      0        0
AMERICAN EXPRESS CO            COMMON STOCK   025816109     222    3861 SH       SHARED-DEFINED        1     3861      0        0
AMERICAN EXPRESS CO            COMMON STOCK   025816109    3554   61827 SH       SHARED-DEFINED        2    57802      0     4025
AMGEN INC                      COMMON STOCK   031162100     330    3827 SH       SHARED-DEFINED        1     3377      0      450
AMGEN INC                      COMMON STOCK   031162100    3723   43195 SH       SHARED-DEFINED        2    39420      0     3775
ANHEUSER-BUSCH INBEV SPONS ADR COMMON STOCK   03524A108     684    7828 SH       SHARED-DEFINED        1     7828      0        0
APPLE INC                      COMMON STOCK   037833100    1587    2982 SH       SHARED-DEFINED        1     2867      0      115
APPLE INC                      COMMON STOCK   037833100     266     499 SH       SHARED-DEFINED        2      374      0      125
AT & T INC                     COMMON STOCK   00206R102    2059   61136 SH       SHARED-DEFINED        1    58045      0     3091
AT & T INC                     COMMON STOCK   00206R102      71    2145 SH       SHARED-OTHER          1        0      0     2145
AT & T INC                     COMMON STOCK   00206R102    3343   99180 SH       SHARED-DEFINED        2    90304      0     8876
AUTOMATIC DATA PROCESSING INC  COMMON STOCK   053015103    4216   74050 SH       SHARED-DEFINED        2    69750      0     4150
AVON PRODUCTS                  COMMON STOCK   054303102     288   20025 SH       SHARED-DEFINED        2    19725      0      300
BANK AMER CORP                 COMMON STOCK   060505104     123   10579 SH       SHARED-DEFINED        1    10579      0        0
BANK AMER CORP                 COMMON STOCK   060505104     540   46535 SH       SHARED-DEFINED        2    43635      0     2900
BARD (C.R.) INC.               COMMON STOCK   067383109    2032   20785 SH       SHARED-DEFINED        2    20385      0      400
BAXTER INTERNATIONAL INC       COMMON STOCK   071813109     208    3125 SH       SHARED-DEFINED        1     2525      0      600
BAXTER INTERNATIONAL INC       COMMON STOCK   071813109     248    3720 SH       SHARED-DEFINED        2     3720      0        0
BB & T CORP                    COMMON STOCK   054937107     639   21958 SH       SHARED-DEFINED        1    20633      0     1325
BCE INC                        COMMON STOCK   05534B760    1284   29896 SH       SHARED-DEFINED        1    29896      0        0
BERKSHIRE HATHAWAY INC-CL A    COMMON STOCK   084670108     402       3 SH       SHARED-DEFINED        1        3      0        0
BERKSHIRE HATHAWAY INC-CL B    COMMON STOCK   084670702    1486   16561 SH       SHARED-DEFINED        1    16561      0        0
BERKSHIRE HATHAWAY INC-CL B    COMMON STOCK   084670702    4252   47407 SH       SHARED-DEFINED        2    44072      0     3335
BLDRS Emerging Market 50 Index
 Trust                         COMMON STOCK   09348r300    1591   39560 SH       SHARED-DEFINED        2    37810      0     1750
BOEING COMPANY                 COMMON STOCK   097023105     313    4154 SH       SHARED-DEFINED        1     4154      0        0
BOEING COMPANY                 COMMON STOCK   097023105       9     122 SH       SHARED-DEFINED        2        0      0        0
BRISTOL MYERS SQUIBB CO        COMMON STOCK   110122108    1991   61233 SH       SHARED-DEFINED        1    58058      0     3175
BRISTOL MYERS SQUIBB CO        COMMON STOCK   110122108      19     600 SH       SHARED-OTHER          1        0      0      600
CATERPILLAR INC                COMMON STOCK   149123101    3289   36700 SH       SHARED-DEFINED        2    34620      0     1880
CATERPILLAR INC                COMMON STOCK   149123101     150    2029 SH       SHARED-DEFINED        1     2029      0        0
CF INDUSTRIES HOLDINGS INC     COMMON STOCK   125269100     202     995 SH       SHARED-DEFINED        1      995      0        0
CHEVRON CORPORATION            COMMON STOCK   166764100    3072   28412 SH       SHARED-DEFINED        1    28062      0      350
CHEVRON CORPORATION            COMMON STOCK   166764100    4101   37927 SH       SHARED-DEFINED        2    35275      0     2652
CHUBB CORP                     COMMON STOCK   171232101     928   12322 SH       SHARED-DEFINED        1    12322      0        0
CISCO SYSTEMS INC              COMMON STOCK   17275R102     340   17282 SH       SHARED-DEFINED        1    17282      0        0
CISCO SYSTEMS INC              COMMON STOCK   17275r102    3389  172456 SH       SHARED-DEFINED        2   161256      0    10450
COCA COLA CO                   COMMON STOCK   191216100    2405   66350 SH       SHARED-DEFINED        1    65400      0      950
COCA COLA CO                   COMMON STOCK   191216100    5014  138312 SH       SHARED-DEFINED        2   123617      0    14245
COLGATE PALMOLIVE CO           COMMON STOCK   194162103     202    1937 SH       SHARED-DEFINED        1     1937      0        0
COLGATE PALMOLIVE CO           COMMON STOCK   194162103    1736   16605 SH       SHARED-DEFINED        2    15805      0      700




                           FORM 13F INFORMATION TABLE



                                                         VALUE  SHARES/ SH/ PUT/ INVSTMT        OTHER        VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN        MANAGERS   SOLE   SHARED    NONE
------------------------------ -------------- --------- ------- ------- -------- -------------- -------- -------- ------   ------
                                                                                              
COMCAST CORP-CL A              COMMON STOCK   20030N101     464   12421 SH       SHARED-DEFINED        1    12421      0        0
COMCAST CORP-CL A              COMMON STOCK   20030N101    2932   78479 SH       SHARED-DEFINED        2    74379      0     3600
CONAGRA FOODS INC              COMMON STOCK   205887102     499   16928 SH       SHARED-DEFINED        1    16928      0        0
CONOCOPHILLIPS                 COMMON STOCK   20825C104     764   13237 SH       SHARED-DEFINED        1    11117      0     2120
CONOCOPHILLIPS                 COMMON STOCK   20825c104      94    1650 SH       SHARED-OTHER          1        0      0     1650
CONOCOPHILLIPS                 COMMON STOCK   20825c104    5265   90795 SH       SHARED-DEFINED        2    83358      0     7167
COSTCO WHOLESALE CORP          COMMON STOCK   22160k105    4308   43636 SH       SHARED-DEFINED        2    38701      0     4935
CSX CORPORATION                COMMON STOCK   126408103     326   16540 SH       SHARED-DEFINED        1    16540      0        0
CVS CAREMARK CORP              COMMON STOCK   126650100     214    4431 SH       SHARED-DEFINED        1     3481      0      950
CVS CAREMARK CORP              COMMON STOCK   126650100    3930   81285 SH       SHARED-DEFINED        2    75485      0     5400
DANAHER CORPORATION            COMMON STOCK   235851102    4774   85396 SH       SHARED-DEFINED        2    81026      0     4020
DEERE & CO.                    COMMON STOCK   244199105     206    2382 SH       SHARED-DEFINED        1     1907      0      475
DEERE & CO.                    COMMON STOCK   244199105      35     400 SH       SHARED-DEFINED        2        0      0        0
DEVON ENERGY CORP              COMMON STOCK   25179m103    2641   50750 SH       SHARED-DEFINED        2    47665      0     2915
DIAGEO PLC ADR                 COMMON STOCK   25243Q205     583    5005 SH       SHARED-DEFINED        1     5005      0        0
DIAGEO PLC ADR                 COMMON STOCK   25243Q205    4038   34641 SH       SHARED-DEFINED        2    32976      0     1665
DISNEY WALT CO NEW             COMMON STOCK   254687106     244    4894 SH       SHARED-DEFINED        1     4294      0      600
DISNEY WALT CO NEW             COMMON STOCK   254687106    6065  121808 SH       SHARED-DEFINED        2   113582      0     7806
DOMINION RES INC VA            COMMON STOCK   25746U109     521   10051 SH       SHARED-DEFINED        1    10051      0        0
DOMINION RES INC VA            COMMON STOCK   25746u109     308    5945 SH       SHARED-DEFINED        2     4545      0     1400
Dow Jones Dividend ETF (DVY)   OTHER          464287168     868   15170 SH       SHARED-DEFINED        2    12945   N.A.     2225
DU PONT E I DE NEMOURS & CO    COMMON STOCK   263534109     369    8212 SH       SHARED-DEFINED        1     7812      0      400
DU PONT E I DE NEMOURS & CO    COMMON STOCK   263534109    3600   80039 SH       SHARED-DEFINED        2    74936      0     5103
DUKE ENERGY CORP               COMMON STOCK   26441C204    1884   29524 SH       SHARED-DEFINED        1    28916      0      608
DUKE ENERGY CORP               COMMON STOCK   26441C105     314    4978 SH       SHARED-DEFINED        1     2536      0     2442
DUKE ENERGY CORP               COMMON STOCK   26441C105      28     447 SH       SHARED-OTHER          1        0      0      447
DUKE ENERGY CORP               COMMON STOCK   26441C204    3084   48331 SH       SHARED-DEFINED        2    45933      0     2328
ELI LILLY & CO.                COMMON STOCK   532457108     278    5645 SH       SHARED-DEFINED        1     5645      0        0
EMC CORP/MASS                  COMMON STOCK   268648102     209    8242 SH       SHARED-DEFINED        1     8242      0        0
EMERSON ELECTRIC               COMMON STOCK   291011104    1128   21298 SH       SHARED-DEFINED        1    21298      0        0
EMERSON ELECTRIC               COMMON STOCK   291011104    2279   43032 SH       SHARED-DEFINED        2    38677      0     3985
ENCANA CORP                    COMMON STOCK   292505104     219   11074 SH       SHARED-DEFINED        1    11074      0        0
EXPRESS SCRIPTS INC            COMMON STOCK   30219G108    4406   81584 SH       SHARED-DEFINED        2    77172      0     4412
EXXON MOBIL CORP               COMMON STOCK   30231G102    3715   42964 SH       SHARED-DEFINED        1    39907      0     3057
EXXON MOBIL CORP               COMMON STOCK   30231G102      95    1121 SH       SHARED-OTHER          1        0      0     1121
EXXON MOBIL CORP               COMMON STOCK   30231G102    5865   67763 SH       SHARED-DEFINED        2    64063      0     3700
FIRST TRUST ISE-REV NAT GAS    OTHER          33734J102    1141   72783 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
FISERV INCORPORATED            COMMON STOCK   337738108    5308   67160 SH       SHARED-DEFINED        2    63095      0     3915
FREEPORTMCMORAN COPPERAND GOLD COMMON STOCK   35671D857     350   10235 SH       SHARED-DEFINED        1    10235      0        0
FRONTIER COMMUNICATIONS CORP   COMMON STOCK   35906A108      43   10055 SH       SHARED-DEFINED        1    10055      0        0
GENERAL ELECTRIC CORP          COMMON STOCK   369604103    1772   84593 SH       SHARED-DEFINED        1    76243      0     8350
GENERAL ELECTRIC CORP          COMMON STOCK   369604103     213   10416 SH       SHARED-OTHER          1        0      0    10416
GENERAL ELECTRIC CORP          COMMON STOCK   369604103    4485  213664 SH       SHARED-DEFINED        2   199671      0    13273
GENERAL MLS INC                COMMON STOCK   370334104     752   18614 SH       SHARED-DEFINED        1    18614      0        0
GENUINE PARTS CO               COMMON STOCK   372460105      79    1250 SH       SHARED-DEFINED        1     1050      0      200
GENUINE PARTS CO               COMMON STOCK   372460105     312    4900 SH       SHARED-DEFINED        2     4400      0      500
GLAXO SMITHKLINE ADS           COMMON STOCK   37733w105    1417   32605 SH       SHARED-DEFINED        2    31825      0      780
GOLDMAN SACHS GROUP            COMMON STOCK   38141g104    1744   13673 SH       SHARED-DEFINED        2    13083      0      590
GOOGLE INC-CL A                COMMON STOCK   38259P508     473     669 SH       SHARED-DEFINED        1      609      0       60
GOOGLE INC-CL A                COMMON STOCK   38259P508    3111    4398 SH       SHARED-DEFINED        2     4101      0      281
HEALTH CARE SELECT SECTOR SPDR OTHER          81369Y209     314    7866 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
HEINZ H J CO                   COMMON STOCK   423074103     652   11297 SH       SHARED-DEFINED        1    11297      0        0




                           FORM 13F INFORMATION TABLE



                                                         VALUE  SHARES/ SH/ PUT/ INVSTMT        OTHER        VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN        MANAGERS   SOLE   SHARED    NONE
------------------------------ -------------- --------- ------- ------- -------- -------------- -------- -------- ------   ------
                                                                                              
HELMERICH & PAYNE              COMMON STOCK   423452101    2156   38490 SH       SHARED-DEFINED        2    37240      0     1250
HOME DEPOT INC                 COMMON STOCK   437076102     768   12501 SH       SHARED-DEFINED        1     9466      0     3035
HOME DEPOT INC                 COMMON STOCK   437076102    6531  105600 SH       SHARED-DEFINED        2    99425      0     5875
HONEYWELL INTL INC             COMMON STOCK   438516106    3884   61195 SH       SHARED-DEFINED        2    56690      0     4505
INFOSYS TECHNOLOGIES           COMMON STOCK   456788108    2854   67475 SH       SHARED-DEFINED        2    62900      0     4575
INTEL CORP                     COMMON STOCK   458140100     651   31564 SH       SHARED-DEFINED        1    31564      0        0
INTEL CORP                     COMMON STOCK   458140100    4330  210014 SH       SHARED-DEFINED        2   193039      0    16475
INTL. BUSINESS MACHINES CORP   COMMON STOCK   459200101    2307   12046 SH       SHARED-DEFINED        1    11796      0      250
INTL. BUSINESS MACHINES CORP   COMMON STOCK   459200101    2673   13957 SH       SHARED-DEFINED        2    13107      0      850
iShares 1-3 Year Treas Bond
 (SHY)                         OTHER          464287457     257    3050 SH       SHARED-DEFINED        2     3050   N.A.     N.A.
iShares Barclays Aggregate
 Bond ETF (AGG)                OTHER          464287226    4118   37075 SH       SHARED-DEFINED        2    37075   N.A.     N.A.
ISHARES BARCLAYS TIPS BOND FUN OTHER          464287176     807    6628 SH       SHARED-DEFINED        1     2275   N.A.     1230
ISHARES BARCLAYS TIPS BOND FUN OTHER          464287176     772    6360 SH       SHARED-DEFINED        2     6360   N.A.     N.A.
ISHARES CORE S&P 500 ETF       OTHER          464287200    1161    8109 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES DJ SELECT DIVIDEND IND OTHER          464287168     592   10343 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES GOLD TRUST             OTHER          464285105     590   36269 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES MSCI EMERGING MARKETS  OTHER          464287234    1781   40157 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES MSCI GLBL GOLD MNRS    OTHER          464286335     248   12839 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES RUSSEL 2000 VALUE INDE OTHER          464287630     234    3096 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES RUSSELL 1000 VALUE     OTHER          464287598    2625   36053 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES RUSSELL 2000 GROWTH IN OTHER          464287648     387    4059 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES RUSSELL 2000 INDEX FUN OTHER          464287655    2127   25226 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
iShares Russell 3000 Index Fd.
 (IWV)                         OTHER          464287689     287    3385 SH       SHARED-DEFINED        2     2885   N.A.      500
ISHARES RUSSELL MIDCAP INDEX F OTHER          464287499    2891   25563 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES RUSSELL MIDCAP VALUE   OTHER          464287473     465    9252 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES S&P GLBL ENERGY SECT   OTHER          464287341    2813   73541 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES SILVER TRUST           OTHER          46428Q109     380   12930 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
ISHARES TR RUSSELL 1000 GROWTH OTHER          464287614    4373   66776 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
iShares Trust Barcl. 1-3Yr Cr. OTHER          464288646     324    3070 SH       SHARED-DEFINED        1      890   N.A.     2180
iShares Trust Barcl. 1-3Yr Cr. OTHER          464288646    8580   81340 SH       SHARED-DEFINED        2    81340   N.A.     N.A.
iShares Trust MSCI EAFE Index
 Fund (EFA)                    OTHER          464287465     288    5071 SH       SHARED-DEFINED        2     5071   N.A.     N.A.
JOHNSON & JOHNSON              COMMON STOCK   478160104    4859   69342 SH       SHARED-DEFINED        1    67738      0     1604
JOHNSON & JOHNSON              COMMON STOCK   478160104     190    2734 SH       SHARED-OTHER          1        0      0     2734
JOHNSON & JOHNSON              COMMON STOCK   478160104    7967  113645 SH       SHARED-DEFINED        2   100255      0    12615
JP MORGAN CHASE & CO           COMMON STOCK   46625H100     506   11544 SH       SHARED-DEFINED        1     9544      0     2000
JP MORGAN CHASE & CO           COMMON STOCK   46625H100     148    3421 SH       SHARED-OTHER          1        0      0     3421
JP MORGAN CHASE & CO           COMMON STOCK   46625H100    1520   34566 SH       SHARED-DEFINED        2    32372      0     2074
JPMORGAN ALERIAN MLP INDEX FUN OTHER          46625H365     237    6150 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
KIMBERLY-CLARK CORP            COMMON STOCK   494368103    1050   12435 SH       SHARED-DEFINED        1    12435      0        0
KINDER MORGAN INC              COMMON STOCK   49456B101     475   13443 SH       SHARED-DEFINED        1    13443      0        0
KRAFT FOODS GROUP INC          COMMON STOCK   50076Q106     230    5050 SH       SHARED-DEFINED        1     5050      0        0
KRAFT FOODS GROUP INC          COMMON STOCK   50076Q106    2019   44395 SH       SHARED-DEFINED        2    42277      0     2008
LARAMIDE RES LTD               COMMON STOCK   51669t101      28   35000 SH       SHARED-DEFINED        2    35000      0        0
LOUISIANA PAC CORP COM         COMMON STOCK   546347105     889   46000 SH       SHARED-DEFINED        1    46000      0        0
LOWE'S COS                     COMMON STOCK   548661107     555   15631 SH       SHARED-DEFINED        2    15342      0      289
M & T BK CORP                  COMMON STOCK   55261F104     271    2751 SH       SHARED-DEFINED        1     2751      0        0
MARKET VECTORS AGRIBUSINESS    OTHER          57060U605    2151   40767 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
MARKET VECTORS GOLD MINERS     OTHER          57060U100     786   16948 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
MASTERCARD INC-A               COMMON STOCK   57636Q104     348     708 SH       SHARED-DEFINED        1      708      0        0
MATTEL, INC                    COMMON STOCK   577081102    2878   78600 SH       SHARED-DEFINED        2    73730      0     4870
MCCORMICK & CO INC             COMMON STOCK   579780206     257    4040 SH       SHARED-DEFINED        2     3840      0      200
MCDONALDS CORP                 COMMON STOCK   580135101    1162   13172 SH       SHARED-DEFINED        1    12847      0      325




                           FORM 13F INFORMATION TABLE



                                                         VALUE  SHARES/ SH/ PUT/ INVSTMT        OTHER        VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN        MANAGERS   SOLE   SHARED    NONE
------------------------------ -------------- --------- ------- ------- -------- -------------- -------- -------- ------   ------
                                                                                              
MCKESSON CORP. COMMON STOCK    COMMON STOCK   58155Q103     212    2186 SH       SHARED-DEFINED        1     2186      0        0
MEDTRONIC INC                  COMMON STOCK   585055106       4     100 SH       SHARED-DEFINED        1      100      0        0
MEDTRONIC INC                  COMMON STOCK   585055106     210    5125 SH       SHARED-DEFINED        2     3625      0     1500
MEGA URANIUM LTD               COMMON STOCK   58516w104       1   10000 SH       SHARED-DEFINED        2    10000      0        0
MERCK & CO INC                 COMMON STOCK   58933Y105     587   14342 SH       SHARED-DEFINED        1    13592      0      750
MERCK & CO INC                 COMMON STOCK   589331107     621   15160 SH       SHARED-DEFINED        2    13648      0     1512
MICROSOFT CORP                 COMMON STOCK   594918104    1550   58016 SH       SHARED-DEFINED        1    56566      0     1450
MICROSOFT CORP                 COMMON STOCK   594918104    2642   98912 SH       SHARED-DEFINED        2    90187      0     8725
MONDELEZ INTERNATIONAL INC     COMMON STOCK   609207105     312   12263 SH       SHARED-DEFINED        1    12263      0        0
MONDELEZ INTERNATIONAL INC     COMMON STOCK   609207105    1991   78232 SH       SHARED-DEFINED        2    72409      0     5473
MORGAN STANLEY                 COMMON STOCK   617446448       4     219 SH       SHARED-DEFINED        1      219      0        0
MORGAN STANLEY                 COMMON STOCK   617446448    1035   54118 SH       SHARED-DEFINED        2    50539      0     3379
MURPHY OIL CORP                COMMON STOCK   626717102    2525   42400 SH       SHARED-DEFINED        2    38800      0     3600
NEXTERA ENERGY INC             COMMON STOCK   65339F101     533    7697 SH       SHARED-DEFINED        1     7697      0        0
NIKE INC CL B                  COMMON STOCK   654106103     878   17020 SH       SHARED-DEFINED        2    16780      0      240
NOVARTIS AG SPONSORED ADR      COMMON STOCK   66987V109     522    8250 SH       SHARED-DEFINED        1     8250      0        0
NOVARTIS AG SPONSORED ADR      COMMON STOCK   66987V109      39     616 SH       SHARED-DEFINED        2      616      0        0
NOVO-NORDISK ADR               COMMON STOCK   670100205    1598    9790 SH       SHARED-DEFINED        2     9340      0      450
NUCOR CORP                     COMMON STOCK   670346105      43    1000 SH       SHARED-DEFINED        1     1000      0        0
NUCOR CORP                     COMMON STOCK   670346105    3399   78765 SH       SHARED-DEFINED        2    74500      0     4265
ORACLE CORPORATION COM         COMMON STOCK   68389X105     563   16908 SH       SHARED-DEFINED        1    15908      0     1000
ORACLE CORPORATION COM         COMMON STOCK   68389X105     407   12205 SH       SHARED-DEFINED        2    11705      0      500
PARKER HANNIFIN CORP COM       COMMON STOCK   701094104     228    2677 SH       SHARED-DEFINED        1     2677      0        0
PEPSICO INC                    COMMON STOCK   713448108     837   12233 SH       SHARED-DEFINED        1    12233      0        0
PEPSICO INC                    COMMON STOCK   713448108    2483   36282 SH       SHARED-DEFINED        2    31992      0     4090
PFIZER INC                     COMMON STOCK   717081103     919   36701 SH       SHARED-DEFINED        1    32782      0     3919
PFIZER INC                     COMMON STOCK   717081103      50    2000 SH       SHARED-OTHER          1        0      0     2000
PFIZER INC                     COMMON STOCK   717081103    2151   85766 SH       SHARED-DEFINED        2    80514      0     5252
PHILIP MORRIS INTERNATIONAL    COMMON STOCK   718172109     936   11194 SH       SHARED-DEFINED        1    10844      0      350
PHILIP MORRIS INTERNATIONAL    COMMON STOCK   718172109     395    4717 SH       SHARED-DEFINED        2     4717      0        0
PHILLIPS 66                    COMMON STOCK   718546104     119    2240 SH       SHARED-DEFINED        1     2189      0       51
PHILLIPS 66                    COMMON STOCK   718546104    2171   40890 SH       SHARED-DEFINED        2    37558      0     3202
PIEDMONT NAT GAS INC COM       COMMON STOCK   720186105     408   13028 SH       SHARED-DEFINED        1    13028      0        0
PIMCO ENHANCED SHORT MATURITY  OTHER          72201R833    1756   17301 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
PIMCO INTERMEDIATE MUNICIPAL B OTHER          72201R866    1049   19287 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
PIMCO SHORT TERM MUNICIPAL BON OTHER          72201R874    2769   54927 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
POWERSHARES H/Y EQ DVD ACHIEVE OTHER          73935X302     875   92946 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
POWERSHARES S&P 500 LOW VOLA   OTHER          73937B779    7205  260301 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
PRAXAIR INC                    COMMON STOCK   74005P104     232    2117 SH       SHARED-DEFINED        1     2117      0        0
PROCTER & GAMBLE COMPANY       COMMON STOCK   742718109    2431   35813 SH       SHARED-DEFINED        1    35313      0      500
PROCTER & GAMBLE COMPANY       COMMON STOCK   742718109    5853   86207 SH       SHARED-DEFINED        2    78652      0     7335
QUALCOMM INC                   COMMON STOCK   747525103     804   12995 SH       SHARED-DEFINED        1    12370      0      625
REPUBLIC SERVICES INC          COMMON STOCK   760759100       2      52 SH       SHARED-DEFINED        1       52      0        0
REPUBLIC SERVICES INC          COMMON STOCK   760759100    2695   91890 SH       SHARED-DEFINED        2    87760      0     3760
REYNOLDS AMERICA               COMMON STOCK   761713106     210    5069 SH       SHARED-DEFINED        1     5069      0        0
ROSS STORES INC COM            COMMON STOCK   778296103     311    5751 SH       SHARED-DEFINED        1     5351      0      400
ROYAL DUTCH-ADR A              COMMON STOCK   780259206     827   12001 SH       SHARED-DEFINED        1    12001      0        0
SCANA CORP                     COMMON STOCK   80589M102     796   17446 SH       SHARED-DEFINED        1    17446      0        0
SCBT FINL CORP                 COMMON STOCK   78401V102     822   20450 SH       SHARED-DEFINED        1        0      0    20450
SCHLUMBERGER LTD               COMMON STOCK   806857108     235    3396 SH       SHARED-DEFINED        1     3096      0      300
SCHLUMBERGER LTD               COMMON STOCK   806857108    3164   45653 SH       SHARED-DEFINED        2    43118      0     2355
SONOCO PRODUCTS CO             COMMON STOCK   835495102     870   29248 SH       SHARED-DEFINED        1    29248      0        0




                           FORM 13F INFORMATION TABLE



                                                         VALUE  SHARES/ SH/ PUT/ INVSTMT        OTHER        VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN        MANAGERS   SOLE   SHARED    NONE
------------------------------ -------------- --------- ------- ------- -------- -------------- -------- -------- ------   ------
                                                                                              
SOUTHERN CO                    COMMON STOCK   842587107    1597   37361 SH       SHARED-DEFINED        1    35761      0     1600
SOUTHERN CO                    COMMON STOCK   842587107      38     890 SH       SHARED-OTHER          1        0      0      890
SPDR DB INTL GOV INFL-PROT     OTHER          78464A490     322    5060 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
SPDR Gold Trust                OTHER          78463V107      16      97 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
SPDR Gold Trust                OTHER          78463V107     660    4075 SH       SHARED-DEFINED        2     3575   N.A.      500
SPDR High Yield Bond ETF       OTHER          78464a417     251    6175 SH       SHARED-DEFINED        2     6175   N.A.     N.A.
SPDR S&P 500 ETF TRUST         OTHER          78462F103     350    2461 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
SPECTRA ENERGY CORP            COMMON STOCK   847560109     356   13014 SH       SHARED-DEFINED        1    13014      0        0
STARBUCKS CORP                 COMMON STOCK   855244109     201    3740 SH       SHARED-DEFINED        1     2940      0      800
STRYKER CORP                   COMMON STOCK   863667101     274    5004 SH       SHARED-DEFINED        1     5004      0        0
STRYKER CORP                   COMMON STOCK   863667101    2757   50288 SH       SHARED-DEFINED        2    46433      0     3855
SUNCOR ENERGY INC              COMMON STOCK   867224107     205    6209 SH       SHARED-DEFINED        1     6209      0        0
SUNOCO LOGISTICS PARTNERS, LP  COMMON STOCK   86764L108     223    4500 SH       SHARED-OTHER          1        0      0     4500
SYSCO CORP                     COMMON STOCK   871829107    4370  138015 SH       SHARED-DEFINED        2   130000      0     8015
TALISMAN ENERGY INC            COMMON STOCK   87425E103     186   16435 SH       SHARED-DEFINED        1    16435      0        0
TEVA PHARMACEUTICAL INDUSTRIES
 LTD ADR                       COMMON STOCK   881624209    1792   47997 SH       SHARED-DEFINED        2    46622      0     1375
TEXAS INSTRUMENTS              COMMON STOCK   882508104     165    5349 SH       SHARED-DEFINED        1     4869      0      480
TEXAS INSTRUMENTS              COMMON STOCK   882508104      37    1200 SH       SHARED-DEFINED        2        0      0        0
TJX COMPANIES INC              COMMON STOCK   872540109    6360  149820 SH       SHARED-DEFINED        2   137270      0    12550
TOCQUEVILLE TR GOLD FUND       COMMON STOCK   888894862     997   15674 SH       SHARED-DEFINED        2    15674      0        0
TYCO INTERNATIONAL LTD         COMMON STOCK   H89128104     212    7248 SH       SHARED-DEFINED        1     7248      0        0
UBS AG JERSEY BRH              OTHER          902641646     312    9600 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
UNILEVER PLC                   COMMON STOCK   904767704     377    9749 SH       SHARED-DEFINED        1     9749      0        0
UNION PACIFIC CORP             COMMON STOCK   907818108    3438   27350 SH       SHARED-DEFINED        2    25375      0     1975
UNITED TECHNOLOGIES CORP       COMMON STOCK   913017109     892   10915 SH       SHARED-DEFINED        1     9550      0     1365
UNITED TECHNOLOGIES CORP       COMMON STOCK   913017109      77     950 SH       SHARED-OTHER          1        0      0      950
UNITED TECHNOLOGIES CORP       COMMON STOCK   913017109    5315   64805 SH       SHARED-DEFINED        2    59685      0     5120
US BANCORP                     COMMON STOCK   902973304      39    1225 SH       SHARED-DEFINED        1     1225      0        0
US BANCORP                     COMMON STOCK   902973304    3928  122996 SH       SHARED-DEFINED        2   119216      0     3410
V F CORP                       COMMON STOCK   918204108     393    2606 SH       SHARED-DEFINED        1     2606      0        0
VANGUARD DIVIDEND APPREC ETF   OTHER          921908844    2365   39709 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
Vanguard Emerging Markets
 Stock ETF (VWO)               OTHER          922042858     321    7217 SH       SHARED-DEFINED        2     7017   N.A.      200
Vanguard Extended Mkt Index
 ETF (VXF)                     OTHER          922908652    1303   21537 SH       SHARED-DEFINED        2    20326   N.A.     1211
VANGUARD INFO TECH ETF         OTHER          92204A702     394    5705 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
Vanguard Int'l Equity Index
 ETF                           OTHER          922042775     219    4865 SH       SHARED-DEFINED        1     N.A.   N.A.     4865
Vanguard Int'l Equity Index
 ETF                           OTHER          922042775    1217   26593 SH       SHARED-DEFINED        2    24973   N.A.     1620
Vanguard Int-Term Govt. Bond
 (VGIT)                        OTHER          92206c706     939   14360 SH       SHARED-DEFINED        2    14360   N.A.     N.A.
VANGUARD MSCI EMERGING MARKETS OTHER          922042858     550   12352 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
Vanguard REIT ETF (VNQ)        OTHER          922908553     275    4227 SH       SHARED-DEFINED        1      500   N.A.     3727
Vanguard REIT ETF (VNQ)        OTHER          922908553    1163   17678 SH       SHARED-DEFINED        2    16053   N.A.     1625
Vanguard Short Term Bond Index OTHER          921937827     968   11950 SH       SHARED-DEFINED        1     4685   N.A.     7265
Vanguard Short Term Bond Index OTHER          921937827   11638  143699 SH       SHARED-DEFINED        2   143699   N.A.     N.A.
VANGUARD SHORT TERM CORP BOND  OTHER          92206C409    8238  102568 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
VANGUARD SMALL CAP VALUE ETF   OTHER          922908611     238    3271 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
Vanguard Total Bond Mkt Index  OTHER          921937835     601    7150 SH       SHARED-DEFINED        1     2700   N.A.     4450
Vanguard Total Bond Mkt Index  OTHER          921937835    4492   53455 SH       SHARED-DEFINED        2    53455   N.A.     N.A.
Vanguard Total Stock Mkt ETF
 (VTI)                         OTHER          922908769     322    4480 SH       SHARED-DEFINED        1     N.A.   N.A.     4480
Vanguard Total Stock Mkt ETF
 (VTI)                         OTHER          922908769     585    7982 SH       SHARED-DEFINED        2     7982   N.A.     N.A.
VANGUARD UTILITIES ETF         OTHER          92204A876     245    3253 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
VANGUARD VALUE ETF             OTHER          922908744     224    3802 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
VARIAN MEDICAL SYSTEMS         COMMON STOCK   92220P105    1773   25245 SH       SHARED-DEFINED        2    24570      0      675
VERIZON COMMUNICATIONS         COMMON STOCK   92343V104    1887   43663 SH       SHARED-DEFINED        1    38020      0     5643




                           FORM 13F INFORMATION TABLE



                                                         VALUE  SHARES/ SH/ PUT/ INVSTMT        OTHER        VOTING AUTHORITY
NAME OF ISSUER                 TITLE OF CLASS   CUSIP   (X1000) PRN AMT PRN CALL DSCRETN        MANAGERS   SOLE   SHARED    NONE
------------------------------ -------------- --------- ------- ------- -------- -------------- -------- -------- ------   ------
                                                                                               
VERIZON COMMUNICATIONS         COMMON STOCK   92343v104      51    1200 SH       SHARED-OTHER          1        0      0     1200
VERIZON COMMUNICATIONS         COMMON STOCK   92343v104     800   18481 SH       SHARED-DEFINED        2    17056      0     1425
VISA INC                       COMMON STOCK   92826C839     690    4549 SH       SHARED-DEFINED        1     4249      0      300
VODAFONE GROUP ADR             COMMON STOCK   92857W209    1199   47585 SH       SHARED-DEFINED        1    47585      0        0
WAL MART STORES INC            COMMON STOCK   931142103    1050   15395 SH       SHARED-DEFINED        1    14895      0      500
WAL MART STORES INC            COMMON STOCK   931142103     774   11338 SH       SHARED-DEFINED        2     9938      0     1400
WALGREEN CO                    COMMON STOCK   931422109     127    3427 SH       SHARED-DEFINED        1     3427      0        0
WALGREEN CO                    COMMON STOCK   931422109     569   15373 SH       SHARED-DEFINED        2    15073      0      300
WELLPOINT INC                  COMMON STOCK   94973v107    1443   23695 SH       SHARED-DEFINED        2    22210      0     1485
WELLS FARGO & CO               COMMON STOCK   949746101     286    8359 SH       SHARED-DEFINED        1     7159      0     1200
WELLS FARGO & CO               COMMON STOCK   949746101     361   10568 SH       SHARED-DEFINED        2     9243      0     1325
WEYERHAEUSER CO                COMMON STOCK   962166104     445   15992 SH       SHARED-DEFINED        1    15992      0        0
WISDOM TREE DIVIDEND EX-FINANC OTHER          97717W406    5627  101235 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
WISDOM TREE INTL DIVIDEND EX-F OTHER          97717W786    3679   87805 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
WISDOMTREE EMERGING MKTS S/C D OTHER          97717W281    1256   25407 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
WISDOMTREE EMRG MKTS DEBT      OTHER          97717X867     315    5891 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
WISDOMTREE INTL S/C DVD FUND   OTHER          97717W760     242    4637 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.
WISDOMTREE MIDCAP DIVIDEND FD  OTHER          97717W505     450    7832 SH       SHARED-DEFINED        1     N.A.   N.A.     N.A.