Market                 SH  Invest Other            Voting Authority
 Name Of Issuer              Type      Cusip            Value        Shares/PV PRN Disc   Mgrs     Sole         Shared       None

                                                                          
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AFLAC Inc                    Equity    001055102          204,212        4,778 S  Sole    0        4,778            0            0

AFLAC Inc                    Equity    001055102           17,096          400 S  Defined 0          400            0            0
AT&T Inc                     Equity    00206R102       11,036,367      408,603 S  Sole    0      407,353            0        1,250
AT&T Inc                     Equity    00206R102        1,022,139       37,843 S  Defined 0       29,678            0        8,165

Abbott Laboratories          Equity    002824100        2,980,815       60,255 S  Sole    0       60,255            0            0
Abbott Laboratories          Equity    002824100          588,693       11,900 S  Defined 0       11,100            0          800

Aetna Inc (New)              Equity    00817Y108          490,949       17,641 S  Sole    0       17,641            0            0
Aetna Inc (New)              Equity    00817Y108           12,245          440 S  Defined 0          440            0            0

Air Products & Chemicals     Equity    009158106        4,839,440       62,380 S  Sole    0       62,280            0          100
Air Products & Chemicals     Equity    009158106          229,094        2,953 S  Defined 0        2,953            0            0
Alcoa Inc                    Equity    013817101        3,200,375      243,931 S  Sole    0      242,941            0          990

Alcoa Inc                    Equity    013817101           96,235        7,335 S  Defined 0        7,035            0          300
Patriot Bancshares Inc       Equity    015489551          315,187      286,534 S  Sole    0      286,534            0            0

Allstate Corp                Equity    020002101          647,613       21,150 S  Sole    0       21,150            0            0
Allstate Corp                Equity    020002101           28,354          926 S  Defined 0          926            0            0
Altria Group Inc             Equity    02209S103          337,179       18,932 S  Sole    0       18,932            0            0

Altria Group Inc             Equity    02209S103           22,975        1,290 S  Defined 0        1,290            0            0
America Movil S.A. de        Equity    02364W105          435,013        9,925 S  Sole    0        9,925            0            0

American Electric Power      Equity    025537101          618,653       19,963 S  Sole    0       19,363          150          450
American Electric Power      Equity    025537101          194,772        6,285 S  Defined 0        4,182            0        2,103

American Express Co          Equity    025816109          926,419       27,328 S  Sole    0       27,328            0            0
American Express Co          Equity    025816109           33,900        1,000 S  Defined 0        1,000            0            0
Amgen Inc                    Equity    031162100        2,599,948       43,167 S  Sole    0       43,167            0            0

Amgen Inc                    Equity    031162100          210,865        3,501 S  Defined 0        3,501            0            0
AmTrust Financial            Equity    032355109          208,500          300 S  Sole    0           45            0          255

Anadarko Petroleum Corp      Equity    032511107          530,696        8,460 S  Sole    0        8,460            0            0
Apache Corp                  Equity    037411105          774,494        8,434 S  Sole    0        8,234            0          200
Apache Corp                  Equity    037411105           25,712          280 S  Defined 0          280            0            0

Apple Computer Inc           Equity    037833100          154,582          834 S  Sole    0          834            0            0
Apple Computer Inc           Equity    037833100          268,758        1,450 S  Defined 0        1,200            0          250

Applied Materials Inc        Equity    038222105          486,042       36,326 S  Sole    0       36,326            0            0
Applied Materials Inc        Equity    038222105           18,063        1,350 S  Defined 0        1,350            0            0

Aqua America Inc             Equity    03836W103          982,654       55,706 S  Sole    0       55,706            0            0
Aqua America Inc             Equity    03836W103           41,895        2,375 S  Defined 0        2,375            0            0
Automatic Data               Equity    053015103       12,265,019      312,087 S  Sole    0      304,487            0        7,600

Automatic Data               Equity    053015103          580,933       14,782 S  Defined 0       14,577            0          205
Avery Dennison               Equity    053611109          205,257        5,700 S  Sole    0        5,700            0            0

Avery Dennison               Equity    053611109           16,205          450 S  Defined 0          450            0            0
BP PLC Sponsored ADR         Equity    055622104        3,176,820       59,681 S  Sole    0       59,299            0          382

BP PLC Sponsored ADR         Equity    055622104          426,266        8,008 S  Defined 0        4,458            0        3,550
Baker Hughes Inc             Equity    057224107        2,874,729       67,387 S  Sole    0       67,237            0          150

Baker Hughes Inc             Equity    057224107          134,379        3,150 S  Defined 0        3,150            0            0
Ball Corp                    Equity    058498106          321,276        6,530 S  Sole    0        6,530            0            0

Bank Of America Corp         Equity    060505104        5,762,360      340,565 S  Sole    0      320,222            0       20,343
Bank Of America Corp         Equity    060505104          373,847       22,095 S  Defined 0       19,079            0        3,016
Bank of America 8.20%        Preferre  060505765          257,145       11,000 S  Sole    0        9,000            0        2,000

Bank of New York Mellon      Equity    064058100        6,113,643      210,888 S  Sole    0      210,465            0          423
Bank of New York Mellon      Equity    064058100          131,847        4,548 S  Defined 0        4,548            0            0

Bard (C R) Inc               Equity    067383109          617,089        7,850 S  Sole    0        7,850            0            0
Barrick Gold Corporation     Equity    067901108          208,450        5,500 S  Sole    0        1,500            0        4,000
Barrick Gold Corporation     Equity    067901108            5,685          150 S  Defined 0          150            0            0

Baxter International Inc     Equity    071813109          505,565        8,868 S  Sole    0        8,668            0          200
Beckman Coulter Inc          Equity    075811109       13,175,951      191,122 S  Sole    0      190,497            0          625

Beckman Coulter Inc          Equity    075811109          409,573        5,941 S  Defined 0        5,641            0          300
Becton Dickinson & Co        Equity    075887109        1,333,620       19,120 S  Sole    0       19,120            0            0

Becton Dickinson & Co        Equity    075887109          282,488        4,050 S  Defined 0        4,050            0            0
Berkshire Hathaway Inc       Equity    084670108        6,767,000           67 S  Sole    0           62            0            5
Berkshire Hathaway Inc       Equity    084670207          867,303          261 S  Sole    0          261            0            0

Berkshire Hathaway Inc       Equity    084670207          338,946          102 S  Defined 0          102            0            0
BHP Billiton Ltd Sponsored   Equity    088606108          247,538        3,750 S  Defined 0        3,750            0            0

Bob Evans Farms Inc          Equity    096761101          771,223       26,539 S  Sole    0       26,539            0            0
Boeing Company (The)         Equity    097023105          826,925       15,271 S  Sole    0       15,171            0          100
Boeing Company (The)         Equity    097023105          161,259        2,978 S  Defined 0        2,978            0            0

Boston Scientific Corp       Equity    101137107          119,053       11,242 S  Sole    0       11,242            0            0
Boston Scientific Corp       Equity    101137107            1,059          100 S  Defined 0          100            0            0

Briggs & Stratton Corp       Equity    109043109          201,359       10,374 S  Sole    0       10,374            0            0
Briggs & Stratton Corp       Equity    109043109          126,165        6,500 S  Defined 0        6,500            0            0

Bristol-Myers Squibb         Equity    110122108        2,260,017      100,356 S  Sole    0      100,256            0          100
Bristol-Myers Squibb         Equity    110122108          141,471        6,282 S  Defined 0        5,082            0        1,200
SuperConductive              Equity    114063767          108,750       37,500 S  Defined 0       37,500            0            0

Brown & Brown Inc            Equity    115236101        1,816,368       94,800 S  Sole    0        6,000            0       88,800
Burlington Northern Santa    Equity    12189T104        1,015,038       12,715 S  Sole    0        6,940            0        5,775

Burlington Northern Santa    Equity    12189T104           82,225        1,030 S  Defined 0        1,030            0            0
Cigna Corp                   Equity    125509109          715,846       25,484 S  Sole    0       25,484            0            0
Cigna Corp                   Equity    125509109           25,281          900 S  Defined 0          900            0            0

CMKM Diamonds Inc            Equity    125809103                0      128,000 S  Sole    0      128,000            0            0
CSX Corporation              Equity    126408103          319,350        7,629 S  Sole    0        7,629            0            0

CSX Corporation              Equity    126408103          175,812        4,200 S  Defined 0        3,000            0        1,200
CTS Corporation              Equity    126501105          111,600       12,000 S  Sole    0       12,000            0            0

CVS Caremark                 Equity    126650100          237,600        6,648 S  Sole    0        6,648            0            0
CVS Caremark                 Equity    126650100           10,722          300 S  Defined 0          300            0            0
Campbell Soup Company        Equity    134429109          196,046        6,010 S  Sole    0        6,010            0            0

Campbell Soup Company        Equity    134429109            6,524          200 S  Defined 0          200            0            0

Georgia Commerce             Equity    151111111          100,000       10,000 S  Sole    0       10,000            0            0
CenturyTel Inc               Equity    156700106        1,425,077       42,413 S  Sole    0       42,413            0            0

CenturyTel Inc               Equity    156700106          202,978        6,041 S  Defined 0        6,041            0            0
Chemtura Corp                Equity    163893100           13,335       14,339 S  Sole    0       14,339            0            0

Chemtura Corp                Equity    163893100           11,640       12,516 S  Defined 0       12,516            0            0
Chevron Corp                 Equity    166764100       18,541,120      263,256 S  Sole    0      259,251            0        4,005
Chevron Corp                 Equity    166764100        1,067,155       15,152 S  Defined 0       12,278            0        2,874

Chubb Corp                   Equity    171232101        7,902,372      156,762 S  Sole    0      156,237            0          525
Chubb Corp                   Equity    171232101          232,793        4,618 S  Defined 0        4,618            0            0

Church & Dwight Inc          Equity    171340102          536,363        9,453 S  Sole    0        9,353            0          100
Cincinnati Financial         Equity    172062101          719,689       27,691 S  Sole    0       27,691            0            0
Cincinnati Financial         Equity    172062101           65,547        2,522 S  Defined 0        1,982            0          540

Cisco Systems Inc            Equity    17275R102       11,382,649      483,545 S  Sole    0      482,370            0        1,175
Cisco Systems Inc            Equity    17275R102          566,490       24,065 S  Defined 0       23,665            0          400

Citigroup Inc                Equity    172967101        1,929,723      398,703 S  Sole    0      397,853            0          850
Citigroup Inc                Equity    172967101          111,126       22,960 S  Defined 0       17,100            0        5,860

Citizens Republic Bancorp    Equity    174420109            7,722       10,160 S  Sole    0       10,160            0            0
Cliffs Natural Resources     Equity    18683K101          245,289        7,580 S  Sole    0        7,580            0            0
Coca-Cola Company            Equity    191216100       18,861,212      351,233 S  Sole    0      351,008            0          225

Coca-Cola Company            Equity    191216100          862,422       16,060 S  Defined 0       13,560            0        2,500
Colgate-Palmolive Company    Equity    194162103        3,678,145       48,219 S  Sole    0       47,769          100          350

Colgate-Palmolive Company    Equity    194162103           64,838          850 S  Defined 0          850            0            0
Clemens Oil Co Inc           Equity    19781978A          500,000        1,768 S  Sole    0        1,768            0            0
Comunibanc Corp              Equity    205846108          368,367       24,974 S  Sole    0       24,974            0            0

ConAgra Foods Inc            Equity    205887102        1,614,076       74,450 S  Sole    0       74,275          175            0
ConAgra Foods Inc            Equity    205887102          146,882        6,775 S  Defined 0        6,375            0          400

ConocoPhillips               Equity    20825C104        5,713,779      126,523 S  Sole    0      125,773            0          750
ConocoPhillips               Equity    20825C104          287,985        6,377 S  Defined 0        6,377            0            0

Corning Inc                  Equity    219350105        1,844,977      120,508 S  Sole    0      120,508            0            0
Corning Inc                  Equity    219350105          161,398       10,542 S  Defined 0       10,542            0            0
Corporate Property Assoc     Equity    22002Y107          115,000       10,000 S  Sole    0       10,000            0            0

Costco Wholesale             Equity    22160K105          340,648        6,042 S  Sole    0        6,042            0            0
Costco Wholesale             Equity    22160K105            5,638          100 S  Defined 0          100            0            0

DPL Inc                      Equity    233293109        1,082,941       41,492 S  Sole    0       41,492            0            0
DPL Inc                      Equity    233293109            5,220          200 S  Defined 0          200            0            0
Danaher Corporation          Equity    235851102        2,159,424       32,077 S  Sole    0       32,077            0            0

Danaher Corporation          Equity    235851102           32,650          485 S  Defined 0          485            0            0
Pataskala Banking Co         Equity    238991566          448,344        1,800 S  Sole    0          720            0        1,080

Truefitt & Hill Series C Pfd Equity    240702504           30,000       30,000 S  Defined 0       30,000            0            0
Deere & Company              Equity    244199105          822,390       19,161 S  Sole    0       19,161            0            0

Deere & Company              Equity    244199105          141,636        3,300 S  Defined 0        3,300            0            0
Dell Inc                     Equity    24702R101        2,539,035      166,385 S  Sole    0      165,885            0          500
Dell Inc                     Equity    24702R101           75,919        4,975 S  Defined 0        4,975            0            0

Urban Industries of Ohio Inc Equity    250123456          300,000          250 S  Defined 0          250            0            0

Devon Energy Corporation     Equity    25179M103          446,398        6,630 S  Sole    0        6,630            0            0
Devon Energy Corporation     Equity    25179M103            6,733          100 S  Defined 0          100            0            0

Diebold Inc                  Equity    253651103          184,606        5,606 S  Sole    0        5,606            0            0
Diebold Inc                  Equity    253651103           29,637          900 S  Defined 0          900            0            0

Disney (Walt) Company        Equity    254687106        3,325,022      121,086 S  Sole    0      120,436            0          650
Disney (Walt) Company        Equity    254687106          215,286        7,840 S  Defined 0        7,840            0            0
Discover Financial Services  Equity    254709108          186,970       11,520 S  Sole    0       11,520            0            0

Discover Financial Services  Equity    254709108           50,151        3,090 S  Defined 0        3,090            0            0
Dominion Resources Inc       Equity    25746U109        1,335,495       38,710 S  Sole    0       37,560          200          950

Dominion Resources Inc       Equity    25746U109           76,935        2,230 S  Defined 0        2,230            0            0
Dow Chemical Company         Equity    260543103        3,659,733      140,381 S  Sole    0      140,181            0          200
Dow Chemical Company         Equity    260543103          145,262        5,572 S  Defined 0        5,472            0          100

Du Pont E I de Nemours &     Equity    263534109        5,251,580      163,397 S  Sole    0      162,147          125        1,125
Du Pont E I de Nemours &     Equity    263534109          403,325       12,549 S  Defined 0        7,939            0        4,610

Duke Energy Corporation      Equity    26441C105        4,924,259      312,850 S  Sole    0      312,100            0          750
Duke Energy Corporation      Equity    26441C105          333,956       21,217 S  Defined 0       21,217            0            0

EMC Corporation              Equity    268648102        6,119,780      359,142 S  Sole    0      359,142            0            0
EMC Corporation              Equity    268648102          232,306       13,633 S  Defined 0       13,433            0          200
ERHC Energy Inc              Equity    26884J104           71,900      100,000 S  Sole    0      100,000            0            0

Eaton Corporation            Equity    278058102          203,894        3,603 S  Sole    0        3,603            0            0
Emerson Electric Company     Equity    291011104       15,328,636      382,451 S  Sole    0      380,526            0        1,925

Emerson Electric Company     Equity    291011104          937,632       23,394 S  Defined 0       21,694            0        1,700
Exelon Corporation           Equity    30161N101        2,649,410       53,394 S  Sole    0       53,119            0          275
Exelon Corporation           Equity    30161N101           90,507        1,824 S  Defined 0        1,724            0          100

Exxon Mobil Corporation      Equity    30231G102       33,625,144      490,091 S  Sole    0      485,861            0        4,230
Exxon Mobil Corporation      Equity    30231G102        4,958,994       72,278 S  Defined 0       69,048            0        3,230

FPL Group Inc                Equity    302571104        4,979,316       90,156 S  Sole    0       89,856            0          300
FPL Group Inc                Equity    302571104          172,594        3,125 S  Defined 0        2,825            0          300

Family Dollar Stores Inc     Equity    307000109          395,208       14,970 S  Sole    0       14,670            0          300
Shriver & Company, Inc       Equity    316603374          311,000          100 S  Sole    0          100            0            0
Fifth Third Bancorp          Equity    316773100        3,191,041      315,009 S  Sole    0      165,773            0      149,236

Fifth Third Bancorp          Equity    316773100          152,943       15,098 S  Defined 0       15,098            0            0
First Defiance Financial     Equity    32006W106          482,413       32,355 S  Defined 0       32,355            0            0

Firstbank Corporation (MI)   Equity    33761G104          198,264       36,048 S  Sole    0       36,048            0            0
Fiserv Inc                   Equity    337738108          248,471        5,155 S  Sole    0        5,155            0            0
FirstMerit Corporation       Equity    337915102          483,781       25,422 S  Sole    0       25,422            0            0

FirstMerit Corporation       Equity    337915102          193,040       10,144 S  Defined 0            0            0       10,144
FirstEnergy Corporation      Equity    337932107          303,718        6,643 S  Sole    0        6,643            0            0

FirstEnergy Corporation      Equity    337932107           40,919          895 S  Defined 0          895            0            0
Ford Motor Company           Equity    345370860           37,290        5,172 S  Sole    0        5,172            0            0

Ford Motor Company           Equity    345370860           72,461       10,050 S  Defined 0        8,050            0        2,000
Franklin Resources Inc       Equity    354613101          246,470        2,450 S  Sole    0        2,450            0            0
Franklin Resources Inc       Equity    354613101            5,030           50 S  Defined 0           50            0            0

Insignia Bank                Equity    362736270           77,700       10,000 S  Sole    0       10,000            0            0

Gannett Company Inc          Equity    364730101          213,583       17,073 S  Sole    0       17,073            0            0
Gannett Company Inc          Equity    364730101            1,564          125 S  Defined 0          125            0            0

General Dynamics             Equity    369550108          774,554       11,990 S  Sole    0       11,990            0            0
General Electric Company     Equity    369604103       12,366,936      753,163 S  Sole    0      751,138            0        2,025

General Electric Company     Equity    369604103        1,789,189      108,964 S  Defined 0       69,529            0       39,435
GlaxoSmithkline PLC          Equity    37733W105          217,937        5,516 S  Sole    0        5,516            0            0
GlaxoSmithkline PLC          Equity    37733W105           79,376        2,009 S  Defined 0        2,009            0            0

Dispatch Printing Co         Equity    382015360        9,708,530          391 S  Sole    0          391            0            0
Gorman-Rupp Company          Equity    383082104          377,685       15,162 S  Sole    0       15,162            0            0

Gorman-Rupp Company          Equity    383082104          699,846       28,095 S  Defined 0       28,095            0            0
Byrne Warehousing Inc        Equity    394939500        1,391,071           77 S  Defined 0           77            0            0
HSBC Holdings PLC            Equity    404280406          264,670        4,615 S  Sole    0        4,615            0            0

Halliburton Company          Equity    406216101        3,838,890      141,552 S  Sole    0      140,777            0          775
Halliburton Company          Equity    406216101           52,884        1,950 S  Defined 0        1,950            0            0

Luikart Heating & Cooling    Equity    410741070          892,500          150 S  Sole    0          150            0            0
Harley-Davidson Inc          Equity    412822108        1,966,247       85,489 S  Sole    0       85,489            0            0

Harley-Davidson Inc          Equity    412822108           69,000        3,000 S  Defined 0        3,000            0            0
RadiOhio Inc Com             Equity    413899689          220,990          103 S  Sole    0          103            0            0
Capital Resin Corporation    Equity    417604176        4,046,340          762 S  Sole    0          762            0            0

H.J. Heinz Company           Equity    423074103        3,603,775       90,661 S  Sole    0       89,871            0          790
H.J. Heinz Company           Equity    423074103          193,781        4,875 S  Defined 0        4,575            0          300

Floyd Bell Inc               Equity    424304243          448,505          271 S  Defined 0          271            0            0
Hershey Company (The)        Equity    427866108          439,235       11,303 S  Sole    0       11,303            0            0
Hershey Company (The)        Equity    427866108          215,673        5,550 S  Defined 0        5,550            0            0

Hewlett-Packard Company      Equity    428236103        2,726,236       57,747 S  Sole    0       56,947            0          800
Hewlett-Packard Company      Equity    428236103          222,076        4,704 S  Defined 0        3,104            0        1,600

Home Depot Inc               Equity    437076102        4,446,163      166,898 S  Sole    0      166,548            0          350
Home Depot Inc               Equity    437076102          330,842       12,419 S  Defined 0       12,219            0          200

Honeywell International Inc  Equity    438516106          405,715       10,921 S  Sole    0       10,921            0            0
Honeywell International Inc  Equity    438516106          154,693        4,164 S  Defined 0        4,164            0            0
Hubbell Inc Class B          Equity    443510201           88,200        2,100 S  Sole    0        2,100            0            0

Hubbell Inc Class B          Equity    443510201          269,640        6,420 S  Defined 0        6,420            0            0
Huntington Bancshares        Equity    446150104        3,023,043      641,835 S  Sole    0      641,835            0            0

Huntington Bancshares        Equity    446150104          129,808       27,560 S  Defined 0       27,460            0          100
ITT Corporation              Equity    450911102           77,078        1,478 S  Sole    0        1,478            0            0
ITT Corporation              Equity    450911102          168,966        3,240 S  Defined 0        2,470            0          770

Illinois Tool Works Inc      Equity    452308109          814,736       19,076 S  Sole    0       19,076            0            0
Illinois Tool Works Inc      Equity    452308109            4,271          100 S  Defined 0            0            0          100

Independent Bank             Equity    453838104           21,616       11,377 S  Sole    0       11,377            0            0
Intel Corporation            Equity    458140100        5,121,371      261,695 S  Sole    0      260,295            0        1,400

Intel Corporation            Equity    458140100          283,961       14,510 S  Defined 0       14,210            0          300
Interleukin Genetics Inc     Equity    458738101           35,100       30,000 S  Sole    0       30,000            0            0
International Business       Equity    459200101       19,183,889      160,387 S  Sole    0      157,037            0        3,350

International Business       Equity    459200101        4,347,345       36,346 S  Defined 0       36,296            0           50

iShares Dow Jones Select     Equity    464287168          567,875       13,760 S  Sole    0       13,010            0          750
iShares Dow Jones Select     Equity    464287168          160,747        3,895 S  Defined 0        3,895            0            0

iShares MSCI EAFE Index      Equity    464287465        2,136,129       39,066 S  Sole    0       39,066            0            0
iShares MSCI EAFE Index      Equity    464287465          233,538        4,271 S  Defined 0        4,271            0            0

iShares Dow Jones US         Equity    464287580          180,021        3,450 S  Sole    0        3,295            0          155
iShares Dow Jones US         Equity    464287580           93,924        1,800 S  Defined 0        1,800            0            0
iShares Dow Jones US         Equity    464287721        1,885,266       36,290 S  Sole    0       35,275            0        1,015

iShares Dow Jones US         Equity    464287721          212,476        4,090 S  Defined 0        3,990            0          100
iShares Dow Jones US         Equity    464287762          383,175        6,500 S  Sole    0        6,325            0          175

iShares Dow Jones US         Equity    464287762          151,207        2,565 S  Defined 0        2,565            0            0
iShares Dow Jones US         Equity    464287788           91,646        1,740 S  Sole    0        1,650            0           90
iShares Dow Jones US         Equity    464287788          127,725        2,425 S  Defined 0        2,425            0            0

iShares Dow Jones US         Equity    464287796          364,250       11,440 S  Sole    0       11,440            0            0
iShares Dow Jones US         Equity    464287796          124,176        3,900 S  Defined 0        3,900            0            0

J P Morgan Chase &           Equity    46625H100       24,288,287      554,274 S  Sole    0      552,646          800          828
J P Morgan Chase &           Equity    46625H100        3,924,169       89,552 S  Defined 0       83,754            0        5,798

Johnson & Johnson            Equity    478160104       15,599,166      256,186 S  Sole    0      252,042            0        4,144
Johnson & Johnson            Equity    478160104        1,568,466       25,759 S  Defined 0       19,384            0        6,375
Johnson Controls Inc         Equity    478366107        3,787,481      148,180 S  Sole    0      147,730            0          450

Johnson Controls Inc         Equity    478366107          137,078        5,363 S  Defined 0        5,363            0            0
Bremen Castings Inc          Equity    492004920          332,000          332 S  Sole    0          332            0            0

KeyCorp                      Equity    493267108          495,799       76,277 S  Sole    0       76,277            0            0
KeyCorp                      Equity    493267108          132,269       20,349 S  Defined 0       20,349            0            0
Kimberly-Clark Corporation   Equity    494368103          269,244        4,565 S  Sole    0        4,565            0            0

Kimberly-Clark Corporation   Equity    494368103          415,809        7,050 S  Defined 0        7,050            0            0
Kraft Foods Inc Class A      Equity    50075N104        6,186,401      235,493 S  Sole    0      235,068            0          425

Kraft Foods Inc Class A      Equity    50075N104          271,579       10,338 S  Defined 0       10,338            0            0
Kroger Co                    Equity    501044101          370,509       17,951 S  Sole    0        7,951            0       10,000

Lancaster Colony             Equity    513847103        1,071,030       20,890 S  Sole    0       20,890            0            0
Lancaster Colony             Equity    513847103           30,762          600 S  Defined 0          600            0            0
Leggett & Platt Inc          Equity    524660107          284,404       14,660 S  Sole    0       14,660            0            0

Lilly (Eli) & Company        Equity    532457108          901,554       27,295 S  Sole    0       27,145            0          150
Lilly (Eli) & Company        Equity    532457108           28,538          864 S  Defined 0          864            0            0

Local Industry Stock         Equity    533201606          600,004       12,265 S  Sole    0       12,265            0            0
Lincoln National Corporation Equity    534187109          474,101       18,298 S  Sole    0       18,298            0            0
Lincoln National Corporation Equity    534187109            5,182          200 S  Defined 0          200            0            0

Lowe's Companies Inc         Equity    548661107          271,173       12,950 S  Sole    0       12,950            0            0
Lowe's Companies Inc         Equity    548661107           35,514        1,696 S  Defined 0            0            0        1,696

Mansfield Brass &            Equity    549000990          192,488      132,750 S  Sole    0      132,750            0            0
Mansfield Brass &            Equity    549990513           21,388       14,750 S  Sole    0       14,750            0            0

Manulife Financial           Equity    56501R106          196,061        9,363 S  Sole    0        9,363            0            0
Manulife Financial           Equity    56501R106           60,600        2,894 S  Defined 0        2,894            0            0
Marathon Oil Corporation     Equity    565849106          484,083       15,175 S  Sole    0       15,175            0            0

Marathon Oil Corporation     Equity    565849106           30,305          950 S  Defined 0          950            0            0

Marshall & Ilsley            Equity    571837103          247,975       30,728 S  Sole    0       30,728            0            0
Marshall & Ilsley            Equity    571837103            6,860          850 S  Defined 0          850            0            0

McDonald's Corporation       Equity    580135101        6,103,123      106,941 S  Sole    0      106,741            0          200
McDonald's Corporation       Equity    580135101          404,912        7,095 S  Defined 0        7,095            0            0

McKesson Corporation         Equity    58155Q103        1,898,811       31,886 S  Sole    0       31,336            0          550
McKesson Corporation         Equity    58155Q103          244,155        4,100 S  Defined 0        3,750            0          350
MeadWestvaco Corporation     Equity    583334107          277,983       12,460 S  Sole    0       12,460            0            0

MeadWestvaco Corporation     Equity    583334107        1,269,305       56,894 S  Defined 0       56,894            0            0
Medco Health Solutions       Equity    58405U102          148,895        2,692 S  Sole    0        2,692            0            0

Medco Health Solutions       Equity    58405U102          123,231        2,228 S  Defined 0        2,228            0            0
Medtronic Inc                Equity    585055106        1,559,731       42,384 S  Sole    0       42,384            0            0
Medtronic Inc                Equity    585055106          143,888        3,910 S  Defined 0        3,910            0            0

Merck & Company Inc          Equity    589331107        1,280,604       40,487 S  Sole    0       40,387            0          100
Merck & Company Inc          Equity    589331107          315,130        9,963 S  Defined 0        9,763            0          200

Metavante Technologies Inc   Equity    591407101          193,709        5,618 S  Sole    0        5,618            0            0
Metavante Technologies Inc   Equity    591407101            7,413          215 S  Defined 0          215            0            0

Microsoft Corporation        Equity    594918104       13,872,211      539,355 S  Sole    0      537,730          200        1,425
Microsoft Corporation        Equity    594918104          769,491       29,918 S  Defined 0       26,918            0        3,000
United Magazine Company      Equity    602324UMG                2    1,048,486 S  Defined 0    1,048,486            0            0

Morgan Stanley               Equity    617446448        1,026,420       33,239 S  Sole    0       33,039            0          200
Morgan Stanley               Equity    617446448          203,190        6,580 S  Defined 0        6,580            0            0

Motorola Inc                 Equity    620076109          423,805       49,337 S  Sole    0       49,337            0            0
Motorola Inc                 Equity    620076109           12,241        1,425 S  Defined 0          300            0        1,125
Navigant Consulting Inc      Equity    63935N107          135,675       10,050 S  Sole    0       10,050            0            0

Neoprobe Corporation         Equity    640518106           15,938       11,425 S  Sole    0       11,425            0            0
Nestle S A Sponsored         Equity    641069406           60,091        1,412 S  Sole    0        1,412            0            0

Nestle S A Sponsored         Equity    641069406          319,183        7,500 S  Defined 0        7,500            0            0
Nike Inc Class B             Equity    654106103        3,397,979       52,519 S  Sole    0       52,519            0            0

Nike Inc Class B             Equity    654106103           61,789          955 S  Defined 0          955            0            0
NiSource Inc                 Equity    65473P105        3,388,993      243,988 S  Sole    0      243,213            0          775
NiSource Inc                 Equity    65473P105           95,744        6,893 S  Defined 0        6,893            0            0

Nokia Corp Sponsored ADR     Equity    654902204          127,062        8,691 S  Sole    0        8,691            0            0
Nokia Corp Sponsored ADR     Equity    654902204           45,322        3,100 S  Defined 0        3,100            0            0

Norfolk Southern             Equity    655844108          717,350       16,640 S  Sole    0       16,640            0            0
Norfolk Southern             Equity    655844108          335,611        7,785 S  Defined 0        4,785            0        3,000
Nuveen Quality Preferred     Equity    67072C105          179,805       24,835 S  Sole    0       24,610            0          225

Occidental Petroleum         Equity    674599105          193,256        2,465 S  Sole    0        2,465            0            0
Occidental Petroleum         Equity    674599105            7,840          100 S  Defined 0          100            0            0

Oracle Corporation           Equity    68389X105          736,548       35,343 S  Sole    0       35,343            0            0
Oracle Corporation           Equity    68389X105           62,520        3,000 S  Defined 0        3,000            0            0

PG&E Corporation             Equity    69331C108          495,395       12,235 S  Sole    0       12,235            0            0
PG&E Corporation             Equity    69331C108           20,245          500 S  Defined 0          500            0            0
PNC Financial Services       Equity    693475105        2,878,034       59,231 S  Sole    0       58,981            0          250

PNC Financial Services       Equity    693475105          253,640        5,220 S  Defined 0        5,220            0            0

PPL Corporation              Equity    69351T106          200,001        6,592 S  Sole    0        6,592            0            0
PPL Corporation              Equity    69351T106           30,340        1,000 S  Defined 0        1,000            0            0

Pall Corporation             Equity    696429307        1,534,107       47,525 S  Sole    0       47,525            0            0
Pall Corporation             Equity    696429307           22,596          700 S  Defined 0          700            0            0

Park National Corporation    Equity    700658107       94,099,517    1,612,950 S  Sole    0    1,197,582            0      415,368
Park National Corporation    Equity    700658107       47,933,914      821,630 S  Defined 0      758,979            0       62,651
PepsiCo Inc                  Equity    713448108       16,582,889      282,695 S  Sole    0      276,890            0        5,805

PepsiCo Inc                  Equity    713448108        1,020,860       17,403 S  Defined 0       16,143            0        1,260
PerkinElmer Inc              Equity    714046109          208,331       10,828 S  Sole    0       10,828            0            0

PerkinElmer Inc              Equity    714046109           16,085          836 S  Defined 0          836            0            0
Perpetual Federal Savings    Equity    714273109           42,106        3,096 S  Sole    0        1,094            0        2,002
Perpetual Federal Savings    Equity    714273109          708,982       52,131 S  Defined 0       52,131            0            0

Pfizer Inc                   Equity    717081103        7,175,666      433,575 S  Sole    0      431,445          150        1,980
Pfizer Inc                   Equity    717081103          567,682       34,301 S  Defined 0       32,263            0        2,038

Philip Morris International  Equity    718172109        1,035,481       21,245 S  Sole    0       21,245            0            0
Philip Morris International  Equity    718172109           90,900        1,865 S  Defined 0        1,865            0            0

Pitney Bowes Inc             Equity    724479100          503,536       20,263 S  Sole    0       20,263            0            0
Pitney Bowes Inc             Equity    724479100            4,970          200 S  Defined 0          200            0            0
Praxair Inc                  Equity    74005P104          629,912        7,711 S  Sole    0        7,711            0            0

Praxair Inc                  Equity    74005P104          100,070        1,225 S  Defined 0        1,225            0            0
T Rowe Price Group Inc       Equity    74144T108          754,050       16,500 S  Sole    0       16,500            0            0

T Rowe Price Group Inc       Equity    74144T108           11,425          250 S  Defined 0          250            0            0
Procter & Gamble Company     Equity    742718109       28,122,303      485,537 S  Sole    0      480,141            0        5,396
Procter & Gamble Company     Equity    742718109        2,382,018       41,126 S  Defined 0       35,576            0        5,550

Progressive Corporation      Equity    743315103          235,602       14,210 S  Sole    0       14,210            0            0
QUALCOMM Incorporated        Equity    747525103          466,623       10,374 S  Sole    0       10,374            0            0

QUALCOMM Incorporated        Equity    747525103           49,478        1,100 S  Defined 0        1,000            0          100
RPM International Inc        Equity    749685103          275,464       14,898 S  Sole    0       14,898            0            0

RPM International Inc        Equity    749685103           16,327          883 S  Defined 0          683            0          200
Regions Financial            Equity    7591EP100           95,119       15,317 S  Sole    0       15,317            0            0
Regions Financial            Equity    7591EP100            5,806          935 S  Defined 0          935            0            0

Community Bancshares         Equity    762991271          357,155        6,592 S  Sole    0        6,592            0            0
Rockwell Automation Inc      Equity    773903109           13,419          315 S  Sole    0          315            0            0

Rockwell Automation Inc      Equity    773903109          221,776        5,206 S  Defined 0        5,206            0            0
Rockwell Collins Inc         Equity    774341101           35,560          700 S  Sole    0          700            0            0
Rockwell Collins Inc         Equity    774341101          248,209        4,886 S  Defined 0        4,886            0            0

Royal Dutch Shell PLC        Equity    780259206          298,246        5,215 S  Sole    0        5,215            0            0
Royal Dutch Shell PLC        Equity    780259206          248,777        4,350 S  Defined 0        3,750            0          600

SCI Engineered Materials     Equity    78402S108          542,388      155,412 S  Defined 0      155,412            0            0
SLM Corporation              Equity    78442P106          151,728       17,400 S  Sole    0       17,400            0            0

SLM Corporation              Equity    78442P106           18,094        2,075 S  Defined 0        2,075            0            0
Sara Lee Corporation         Equity    803111103          495,452       44,475 S  Sole    0       44,475            0            0
Sara Lee Corporation         Equity    803111103           25,065        2,250 S  Defined 0        1,050            0        1,200

Muskingum Valley             Equity    803991272          428,736        8,304 S  Sole    0        8,304            0            0

Scana Corporation (New)      Equity    80589M102          263,146        7,540 S  Sole    0        7,540            0            0
Schering-Plough              Equity    806605101          353,125       12,500 S  Sole    0       12,500            0            0

Schering-Plough              Equity    806605101          226,876        8,031 S  Defined 0        2,031            0        6,000
Schlumberger Limited         Equity    806857108        6,430,840      107,900 S  Sole    0      103,525            0        4,375

Schlumberger Limited         Equity    806857108          507,196        8,510 S  Defined 0        8,510            0            0
Communitybanc, Inc           Equity    808991277          675,226       10,078 S  Sole    0       10,078            0            0
Serac Holdings Inc           Equity    81747S106                0       31,000 S  Sole    0       31,000            0            0

Sherwin-Williams             Equity    824348106        1,924,819       31,995 S  Sole    0       25,595            0        6,400
Sherwin-Williams             Equity    824348106          132,653        2,205 S  Defined 0        2,205            0            0

Smucker (J M) Co (New)       Equity    832696405          264,944        4,998 S  Sole    0        4,998            0            0
Smucker (J M) Co (New)       Equity    832696405           40,924          772 S  Defined 0          484            0          288
Snap-on Incorporated         Equity    833034101          301,995        8,688 S  Sole    0        7,788          150          750

Snap-on Incorporated         Equity    833034101           13,035          375 S  Defined 0          200            0          175
SonTek/YSI                   Equity    835689100        1,714,551        7,829 S  Sole    0        7,829            0            0

Southern Company             Equity    842587107          697,025       22,009 S  Sole    0       21,834            0          175
Southern Company             Equity    842587107           55,201        1,743 S  Defined 0        1,743            0            0

Spectra Energy Corporation   Equity    847560109          642,540       33,925 S  Sole    0       33,925            0            0
Spectra Energy Corporation   Equity    847560109           51,005        2,693 S  Defined 0        2,693            0            0
Sprint Nextel Corporation    Equity    852061100           76,535       19,376 S  Sole    0       19,376            0            0

Sprint Nextel Corporation    Equity    852061100          261,806       66,280 S  Defined 0       66,280            0            0
Stryker Corporation          Equity    863667101          689,991       15,188 S  Sole    0       15,188            0            0

Stryker Corporation          Equity    863667101          331,639        7,300 S  Defined 0        1,300            0        6,000
Sun Life Financial Inc       Equity    866796105          249,764        7,995 S  Sole    0        7,995            0            0
SunTrust Banks Inc           Equity    867914103          794,053       35,213 S  Sole    0       26,636            0        8,577

SYSCO Corporation            Equity    871829107        2,117,145       85,197 S  Sole    0       84,647            0          550
SYSCO Corporation            Equity    871829107           81,260        3,270 S  Defined 0        2,100            0        1,170

TECO Energy Inc              Equity    872375100          319,954       22,724 S  Sole    0       22,724            0            0
TECO Energy Inc              Equity    872375100           90,112        6,400 S  Defined 0          400            0        6,000

Target Corporation           Equity    87612E106        8,449,967      181,019 S  Sole    0      180,569            0          450
Target Corporation           Equity    87612E106          226,911        4,861 S  Defined 0        4,586            0          275
Texas Instruments Inc        Equity    882508104       11,984,297      505,880 S  Sole    0      504,380            0        1,500

Texas Instruments Inc        Equity    882508104          435,019       18,363 S  Defined 0       18,363            0            0
3M Company                   Equity    88579Y101       13,754,549      186,376 S  Sole    0      185,671           75          630

3M Company                   Equity    88579Y101          944,050       12,792 S  Defined 0       12,692            0          100
Travelers Companies Inc      Equity    89417E109          554,527       11,264 S  Sole    0       11,264            0            0
Travelers Companies Inc      Equity    89417E109           98,460        2,000 S  Defined 0        2,000            0            0

Trinity Bank, N.A.           Equity    89641T104          222,500       10,000 S  Sole    0            0            0       10,000
Trinity Industries Inc       Equity    896522109          186,512       10,850 S  Sole    0       10,850            0            0

US Bancorp (DE)              Equity    902973304        5,158,195      235,965 S  Sole    0      235,615            0          350
US Bancorp (DE)              Equity    902973304          156,408        7,155 S  Defined 0        6,855            0          300

Union Pacific Corporation    Equity    907818108        3,964,416       67,942 S  Sole    0       67,342            0          600
Union Pacific Corporation    Equity    907818108           11,670          200 S  Defined 0          200            0            0
United Parcel Service Inc    Equity    911312106        3,192,983       56,543 S  Sole    0       56,418            0          125

United Parcel Service Inc    Equity    911312106           99,782        1,767 S  Defined 0        1,567            0          200

United Technologies          Equity    913017109        1,226,094       20,123 S  Sole    0       19,998            0          125
United Technologies          Equity    913017109          220,871        3,625 S  Defined 0        3,575            0           50

UnitedHealth Group Inc       Equity    91324P102          828,974       33,106 S  Sole    0       33,106            0            0
UnitedHealth Group Inc       Equity    91324P102           60,096        2,400 S  Defined 0        2,400            0            0

Valero Energy Corporation    Equity    91913Y100          395,769       20,411 S  Sole    0       20,411            0            0
Valero Energy Corporation    Equity    91913Y100           23,268        1,200 S  Defined 0            0            0        1,200
Vanguard REIT ETF            Equity    922908553          188,598        4,550 S  Sole    0        4,550            0            0

Vanguard REIT ETF            Equity    922908553           24,870          600 S  Defined 0          600            0            0
Verizon Communications       Equity    92343V104        9,242,067      305,321 S  Sole    0      303,911            0        1,410

Verizon Communications       Equity    92343V104          600,496       19,838 S  Defined 0       18,844            0          994
Vishay Intertechnology Inc   Equity    928298108          223,452       28,285 S  Sole    0       28,285            0            0
Wal-Mart Stores Inc          Equity    931142103        6,026,436      122,763 S  Sole    0      117,863            0        4,900

Wal-Mart Stores Inc          Equity    931142103          330,376        6,730 S  Defined 0        6,515            0          215
Wal-Mart de Mexico SAB       Equity    93114W107          297,813        8,594 S  Sole    0        8,594            0            0

Walgreen Company             Equity    931422109        4,963,801      132,474 S  Sole    0      132,349            0          125
Walgreen Company             Equity    931422109            7,494          200 S  Defined 0          200            0            0

Wells Fargo & Co (New)       Equity    949746101        5,201,154      184,569 S  Sole    0      182,802          219        1,548
Wells Fargo & Co (New)       Equity    949746101          168,376        5,975 S  Defined 0        5,825            0          150
Wells Fargo & Co 8.00%       Preferre  949746879          249,100       10,000 S  Sole    0        9,000            0        1,000

Wendy's / Arby's Group Inc   Equity    950587105           18,665        3,946 S  Sole    0        3,946            0            0
Wendy's / Arby's Group Inc   Equity    950587105           32,992        6,975 S  Defined 0        6,975            0            0

WesBanco Inc                 Equity    950810101          234,729       15,183 S  Sole    0       10,983            0        4,200
WesBanco Inc                 Equity    950810101           45,406        2,937 S  Defined 0        2,937            0            0
Windstream Corporation       Equity    97381W104          175,948       17,369 S  Sole    0       12,298            0        5,071

Windstream Corporation       Equity    97381W104           33,399        3,297 S  Defined 0        2,805            0          492
Wisconsin Energy             Equity    976657106          152,765        3,382 S  Sole    0        3,382            0            0

Wisconsin Energy             Equity    976657106          103,394        2,289 S  Defined 0        2,289            0            0
Worthington Industries Inc   Equity    981811102          366,779       26,387 S  Sole    0       26,387            0            0

Worthington Industries Inc   Equity    981811102           54,905        3,950 S  Defined 0        2,938            0        1,012
Wyeth                        Equity    983024100       10,187,323      209,702 S  Sole    0      209,052            0          650
Wyeth                        Equity    983024100          939,051       19,330 S  Defined 0       18,630            0          700

Yum Brands Inc               Equity    988498101          423,891       12,556 S  Sole    0       12,556            0            0
Yum Brands Inc               Equity    988498101           18,906          560 S  Defined 0          560            0            0

Columbus Dispatch            Equity    A19535251        1,986,400           80 S  Sole    0           80            0            0
Kinder Morgan Inc            Equity    EKE55U103               44       92,540 S  Defined 0       92,540            0            0
Amdocs Ltd                   Equity    G02602103          437,956       16,293 S  Sole    0       16,293            0            0

Accenture PLC Ireland        Equity    G1151C101        5,443,358      146,052 S  Sole    0      144,902            0        1,150
Accenture PLC Ireland        Equity    G1151C101           81,994        2,200 S  Defined 0        2,200            0            0

Ingersoll-Rand PLC           Equity    G47791101        4,751,764      154,932 S  Sole    0      154,082            0          850
Ingersoll-Rand PLC           Equity    G47791101          228,553        7,452 S  Defined 0        4,952            0        2,500

Noble Corp (Switzerland)     Equity    H5833N103        1,849,335       48,718 S  Sole    0       48,543            0          175
Noble Corp (Switzerland)     Equity    H5833N103          107,237        2,825 S  Defined 0        2,825            0            0
Transocean Ltd               Equity    H8817H100          377,786        4,417 S  Sole    0        4,417            0            0

Newsgrade Corp               Equity    NEWSGRADE           50,000       80,000 S  Sole    0       80,000            0            0

Pentaflex, Inc Non-Voting    Equity    PENT00077          804,464          420 S  Sole    0          420            0            0
Wyandot Inc                  Equity    WYANDOTCO        1,094,184      105,210 S  Defined 0      105,210            0            0