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

                                    FORM 13F

                               FORM 13F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED:

CHECK HERE IF AMENDMENT           [_]; AMENDMENT NUMBER: 12/31/11
THIS AMENDMENT (CHECK ONLY ONE.): [_] IS A RESTATEMENT.
                                  [_] ADDS NEW HOLDINGS ENTRIES

INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:

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

13F FILE NUMBER: 001-16197

THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT AND THE PERSON BY WHOM
IT IS SIGNED HEREBY REPRESENT THAT THE PERSON SIGNING THE REPORT IS AUTHORIZED
TO SUBMIT IT, THAT ALL INFORMATION CONTAINED HEREIN IS TRUE, CORRECT AND
COMPLETE, AND THAT IT IS UNDERSTOOD THAT ALL REQUIRED ITEMS, STATEMENTS
SCHEDULES, LISTS, AND TABLES, ARE CONSIDERED INTEGRAL PARTS OF THIS FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

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

SIGNATURE,PLACE,AND DATE OF SIGNING:

 Michael Pylypyshyn              Gladstone, NJ              12/30/11
----------------------          ----------------           ----------

REPORT TYPE (CHECK ONLY ONE.):

[X] 13F HOLDINGS REPORT

[_] 13F NOTICE

[_] 13F COMBINATION REPORT

LIST OF OTHER MANAGERS REPORTING FOR THIS MANAGER:

  NONE

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

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INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 1

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
ABBOTT LABS                            002824100    8558487    152205        X                     150555       0    1650
ABBOTT LABS                            002824100    3326229     59154               X               56904    1250    1000
ADOBE SYS INC                          00724F101    2943161    104109        X                     102809       0    1300
ADOBE SYS INC                          00724F101    1500063     53062               X               50762     500    1800
AFLAC INC                              001055102     312337      7220        X                       7220       0       0
AFLAC INC                              001055102       8652       200               X                 200       0       0
AIR PRODUCTS & CHEMICALS INC           009158106    6551026     76899        X                      76124       0     775
AIR PRODUCTS & CHEMICALS INC           009158106    3470129     40734               X               29219   11000     515
ALTERA CORP                            021441100     370073      9975        X                       9275       0     700
ALTERA CORP                            021441100     165095      4450               X                3100       0    1350
ALTRIA GROUP INC                       02209S103     220092      7423        X                       7423       0       0
ALTRIA GROUP INC                       02209S103      74718      2520               X                2520       0       0
AMAZON.COM INC                         023135106     209970      1213        X                       1213       0       0
AMERICAN ELEC PWR INC                  025537101     107943      2613        X                       2613       0       0
AMERICAN ELEC PWR INC                  025537101     221215      5355               X                5355       0       0
AMERICAN EXPRESS CO                    025816109     440568      9340        X                       9340       0       0
AMERICAN EXPRESS CO                    025816109     217690      4615               X                4615       0       0
AMGEN INC                              031162100    1275018     19857        X                      19257       0     600
AMGEN INC                              031162100     297613      4635               X                4135     500       0
ANADARKO PETROLEUM CORPORATION         032511107     250133      3277        X                       3277       0       0
ANADARKO PETROLEUM CORPORATION         032511107     704297      9227               X                8827       0     400
APACHE CORP                            037411105     183968      2031        X                       2031       0       0
APACHE CORP                            037411105      36232       400               X                 400       0       0
APPLE INC                              037833100    3820365      9433        X                       9203       0     230
APPLE INC                              037833100    1822500      4500               X                2800    1700       0
ARCHER DANIELS MIDLAND CO              039483102     157929      5522        X                       5522       0       0
ARCHER DANIELS MIDLAND CO              039483102      60346      2110               X                2110       0       0
ASHLAND INC                            044209104     445848      7800        X                       7800       0       0
ASHLAND INC                            044209104     114720      2007               X                2007       0       0
ASTEX PHARMACEUTICALS INC              04624B103      94500     50000               X               50000       0       0
AT&T INC                               00206R102    5247517    173529        X                     170155       0    3374
AT&T INC                               00206R102    3109882    102840               X               74167   27252    1421
AUTOMATIC DATA PROCESSING INC          053015103    5409912    100165        X                      99275       0     890
AUTOMATIC DATA PROCESSING INC          053015103    2557698     47356               X               44906    1650     800
AVI BIOPHARMA INC                      002346104      11175     15000               X               15000       0       0
BANK OF AMERICA CORP                   060505104     181779     32694        X                      30344       0    2350
BANK OF AMERICA CORP                   060505104     162697     29262               X               27962       0    1300
BARD CR INC                            067383109     205200      2400        X                       2400       0       0
BAXTER INTL INC                        071813109     186490      3769        X                       3769       0       0
BAXTER INTL INC                        071813109      74220      1500               X                1500       0       0
BECTON DICKINSON                       075887109     996391     13335        X                      13085       0     250
BECTON DICKINSON                       075887109    1212332     16225               X               15725       0     500
BERKSHIRE HATHAWAY INC CLASS A         084670108     229510         2        X                          2       0       0
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                            57545720   1199963                             1134906   43852   21205





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 2

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
BERKSHIRE HATHAWAY INC-CL B            084670702     816944     10707        X                      10557       0     150
BERKSHIRE HATHAWAY INC-CL B            084670702     228900      3000               X                3000       0       0
BLACKROCK INC CL A                     09247X101    3707927     20803        X                      20628       0     175
BLACKROCK INC CL A                     09247X101    1760120      9875               X                6475    3400       0
BOEING CO                              097023105     249757      3405        X                       3405       0       0
BOEING CO                              097023105      88020      1200               X                1200       0       0
BRISTOL MYERS SQUIBB CO                110122108    1807283     51285        X                      51285       0       0
BRISTOL MYERS SQUIBB CO                110122108    1305290     37040               X               37040       0       0
BUCKEYE PARTNERS LP                    118230101     678188     10600        X                      10600       0       0
BUCKEYE PARTNERS LP                    118230101     663473     10370               X                9345     625     400
CATERPILLAR INC                        149123101    2024004     22340        X                      22340       0       0
CATERPILLAR INC                        149123101    1722397     19011               X               19011       0       0
CENTER BANCORP INC                     151408101     177961     18215        X                      18215       0       0
CENTER BANCORP INC                     151408101      29310      3000               X                3000       0       0
CHESAPEAKE ENERGY CORP                 165167107     157590      7070        X                       7070       0       0
CHESAPEAKE ENERGY CORP                 165167107      62412      2800               X                2300       0     500
CHEVRON CORPORATION                    166764100   14357084    134935        X                     133977       0     958
CHEVRON CORPORATION                    166764100    7616112     71580               X               61910    8600    1070
CHUBB CORP                             171232101    3966791     57307        X                      57307       0       0
CHUBB CORP                             171232101    2765685     39955               X               37705     400    1850
CHURCH & DWIGHT INC                    171340102     181667      3970        X                       3570       0     400
CHURCH & DWIGHT INC                    171340102      96096      2100               X                   0    1400     700
CISCO SYSTEMS INC                      17275R102    1705649     94339        X                      93264       0    1075
CISCO SYSTEMS INC                      17275R102    1192412     65952               X               65052       0     900
CITRIX SYSTEMS INC                     177376100    1152466     18980        X                      18780       0     200
CITRIX SYSTEMS INC                     177376100     259274      4270               X                4170       0     100
COCA COLA CO                           191216100    2166971     30970        X                      30970       0       0
COCA COLA CO                           191216100     111952      1600               X                1600       0       0
COLGATE PALMOLIVE CO                   194162103    2800249     30309        X                      29861       0     448
COLGATE PALMOLIVE CO                   194162103     825689      8937               X                8587       0     350
COMCAST CORP-CL A                      20030N101     304270     12833        X                      12683       0     150
COMCAST CORP-CL A                      20030N101      78551      3313               X                3313       0       0
COMCAST CORP-SPECIAL CL A              20030N200     558513     23706        X                      23706       0       0
CONOCOPHILLIPS                         20825C104    1355601     18603        X                      17236       0    1367
CONOCOPHILLIPS                         20825C104     933319     12808               X               12808       0       0
CONSOLIDATED EDISON INC                209115104    1330978     21457        X                      20407       0    1050
CONSOLIDATED EDISON INC                209115104      26363       425               X                 425       0       0
CORN PRODS INTL INC                    219023108      10518       200        X                        200       0       0
CORN PRODS INTL INC                    219023108     194583      3700               X                3700       0       0
COSTCO WHOLESALE CORP NEW              22160K105    3999110     47997        X                      47797       0     200
COSTCO WHOLESALE CORP NEW              22160K105    3478610     41750               X               40450     300    1000
CSX CORP                               126408103     150368      7140        X                       6240       0     900
CSX CORP                               126408103     176399      8376               X                8376       0       0
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                            67274856    998233                              969565   14725   13943





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 3

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
CUMMINS INC                            231021106     452335      5139        X                       5139       0       0
CUMMINS INC                            231021106     264060      3000               X                3000       0       0
CVS CAREMARK CORP                      126650100     638900     15667        X                      15478       0     189
CVS CAREMARK CORP                      126650100     398910      9782               X                8502       0    1280
DANAHER CORP                           235851102    3834842     81523        X                      81143       0     380
DANAHER CORP                           235851102    1533128     32592               X               32192       0     400
DARDEN RESTAURANTS INC                 237194105     254883      5592        X                       5592       0       0
DEERE & CO                             244199105    1314950     17000        X                      17000       0       0
DEERE & CO                             244199105     723223      9350               X                9350       0       0
DEVON ENERGY CORPORATION               25179M103     863908     13934        X                      13784       0     150
DEVON ENERGY CORPORATION               25179M103     519250      8375               X                8375       0       0
DISNEY WALT CO NEW                     254687106    5462063    145655        X                     143705       0    1950
DISNEY WALT CO NEW                     254687106    2704275     72114               X               69039    1000    2075
DOMINION RESOURCES INC                 25746U109    2442052     46007        X                      45707       0     300
DOMINION RESOURCES INC                 25746U109    2025957     38168               X               37166       0    1002
DOVER CORP                             260003108     320146      5515        X                       5515       0       0
DOVER CORP                             260003108     126549      2180               X                2180       0       0
DOW CHEMICAL COMPANY                   260543103     123208      4284        X                       4284       0       0
DOW CHEMICAL COMPANY                   260543103     254957      8865               X                8865       0       0
DU PONT E I DE NEMOURS & CO            263534109    5895411    128777        X                     126227       0    2550
DU PONT E I DE NEMOURS & CO            263534109    3166145     69160               X               50310   18700     150
DUKE ENERGY CORP                       26441C105     897600     40800        X                      39521       0    1279
DUKE ENERGY CORP                       26441C105     942898     42859               X               40923       0    1936
ECOLAB INC                             278865100     450629      7795        X                       7495       0     300
ECOLAB INC                             278865100     635505     10993               X                5493    5500       0
EL PASO CORPORATION                    28336L109     172705      6500        X                       6500       0       0
EL PASO CORPORATION                    28336L109     167125      6290               X                6290       0       0
EMC CORP MASS                          268648102     617616     28673        X                      28673       0       0
EMC CORP MASS                          268648102     240925     11185               X               11185       0       0
EMERSON ELEC CO                        291011104    2278391     48903        X                      48753       0     150
EMERSON ELEC CO                        291011104    1784444     38301               X               24301   14000       0
ENBRIDGE ENERGY PARTNERS LP            29250R106     472128     14225        X                      14225       0       0
ENBRIDGE ENERGY PARTNERS LP            29250R106     293732      8850               X                8850       0       0
ENTERGY CORP                           29364G103     164509      2252        X                       2252       0       0
ENTERGY CORP                           29364G103     219150      3000               X                3000       0       0
ENTERPRISE PRODS PARTNERS LP           293792107     315198      6796        X                       6796       0       0
ENTERPRISE PRODS PARTNERS LP           293792107      32466       700               X                 700       0       0
EOG RES INC                            26875P101     214062      2173        X                       2173       0       0
EOG RES INC                            26875P101     168846      1714               X                1714       0       0
ERIE INDEMNITY CO                      29530P102     234480      3000        X                       3000       0       0
EXELON CORP                            30161N101     662954     15286        X                      15286       0       0
EXELON CORP                            30161N101     261955      6040               X                6040       0       0
EXPRESS SCRIPTS INC CL A               302182100     989213     22135        X                      21885       0     250
EXPRESS SCRIPTS INC CL A               302182100     236410      5290               X                4190       0    1100
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SUBTOTALS FOR THIS PAGE                            45772093   1056439                             1001798   39200   15441





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 4

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
EXXONMOBIL CORP                        30231G102   30241775    356793        X                     355206       0    1587
EXXONMOBIL CORP                        30231G102   15784431    186225               X              170446   13400    2379
FIDELITY NATL INFORMATION SVCS         31620M106   14624500    550000        X                     550000       0       0
FIDELITY NATL INFORMATION SVCS         31620M106      12231       460               X                 460       0       0
FLOWERS FOODS INC                      343498101      14197       748        X                        748       0       0
FLOWERS FOODS INC                      343498101     200144     10545               X               10545       0       0
FORD MOTOR CO DEL                      345370860     125300     11645        X                      11645       0       0
FORD MOTOR CO DEL                      345370860     174850     16250               X               15250       0    1000
FRANKLIN RESOURCES INC                 354613101    1093739     11386        X                      11386       0       0
FREEPORT-MCMORAN COPPER AND GOLD INC   35671D857      60041      1632        X                       1632       0       0
FREEPORT-MCMORAN COPPER AND GOLD INC   35671D857     185569      5044               X                4644       0     400
FRONTIER COMMUNICATIONS CORP           35906A108      42251      8204        X                       8071       0     133
FRONTIER COMMUNICATIONS CORP           35906A108      12437      2415               X                2247      96      72
GENERAL ELECTRIC CORP                  369604103    9627753    537563        X                     533929       0    3634
GENERAL ELECTRIC CORP                  369604103    6282165    350763               X              305013   43200    2550
GENERAL MLS INC                        370334104    1357170     33585        X                      32785       0     800
GENERAL MLS INC                        370334104     403696      9990               X                9190     800       0
GOLDMAN SACHS GROUP INC                38141G104    1117715     12360        X                      12160       0     200
GOLDMAN SACHS GROUP INC                38141G104     414622      4585               X                4135     450       0
GOOGLE INC CL A                        38259P508     935263      1448        X                       1448       0       0
GOOGLE INC CL A                        38259P508     107219       166               X                 166       0       0
HALLIBURTON CO                         406216101     189149      5481        X                       5481       0       0
HALLIBURTON CO                         406216101     172550      5000               X                5000       0       0
HEINZ H J CO                           423074103     729648     13502        X                      13502       0       0
HEINZ H J CO                           423074103     178332      3300               X                2900     400       0
HEWLETT PACKARD CO                     428236103     235266      9133        X                       8533       0     600
HEWLETT PACKARD CO                     428236103     217105      8428               X                8428       0       0
HOME DEPOT INC                         437076102    3838378     91303        X                      88878       0    2425
HOME DEPOT INC                         437076102    2826265     67228               X               42428   23800    1000
HONEYWELL INTERNATIONAL INC            438516106     551816     10153        X                      10000       0     153
HONEYWELL INTERNATIONAL INC            438516106     108917      2004               X                2004       0       0
HORMEL FOODS CORPORATION               440452100     304616     10400        X                      10400       0       0
ILLINOIS TOOL WKS INC                  452308109    2805870     60070        X                      59445       0     625
ILLINOIS TOOL WKS INC                  452308109    1423581     30477               X               22977    7000     500
INTEL CORP                             458140100    6006410    247687        X                     242162       0    5525
INTEL CORP                             458140100    3288009    135588               X               96238   36950    2400
INTERNATIONAL PAPER CO                 460146103     897265     30313        X                      30313       0       0
INTERNATIONAL PAPER CO                 460146103     253820      8575               X                6275    2300       0
INTL. BUSINESS MACHINES CORP           459200101   14760231     80271        X                      79331       0     940
INTL. BUSINESS MACHINES CORP           459200101    7150909     38889               X               37399     875     615
JM SMUCKER CO                          832696405     432124      5528        X                       5528       0       0
JM SMUCKER CO                          832696405      78014       998               X                 998       0       0
JOHNSON & JOHNSON                      478160104    8846742    134900        X                     131739       0    3161
JOHNSON & JOHNSON                      478160104    7726308    117815               X              104315   11000    2500
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                           145838393   3228850                             3055380  140271   33199





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 5

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
JOHNSON CONTROLS INC                   478366107    1998452     63930        X                      63455       0     475
JOHNSON CONTROLS INC                   478366107    1167561     37350               X               17350   20000       0
JP MORGAN CHASE & CO                   46625H100    5491903    165170        X                     161395       0    3775
JP MORGAN CHASE & CO                   46625H100    2682178     80667               X               77242    2000    1425
KANSAS CITY SOUTHERN                   485170302     850125     12500        X                      12500       0       0
KANSAS CITY SOUTHERN                   485170302     163224      2400               X                2000       0     400
KELLOGG CO                             487836108     242736      4800        X                       4400       0     400
KELLOGG CO                             487836108      15171       300               X                 300       0       0
KIMBERLY CLARK CORP                    494368103     610916      8305        X                       7905       0     400
KIMBERLY CLARK CORP                    494368103     218841      2975               X                2325     300     350
KINDER MORGAN ENERGY PARTNERS LP       494550106     280335      3300        X                       3300       0       0
KINDER MORGAN ENERGY PARTNERS LP       494550106     462978      5450               X                5450       0       0
KOHLS CORP                             500255104     340515      6900        X                       6900       0       0
KRAFT FOODS INC CL A                   50075N104     543028     14535        X                      14410       0     125
KRAFT FOODS INC CL A                   50075N104      72441      1939               X                1714     225       0
LILLY ELI & CO                         532457108     600542     14450        X                      14250       0     200
LILLY ELI & CO                         532457108     594516     14305               X               14305       0       0
LOWES COS INC                          548661107     867235     34170        X                      34170       0       0
LOWES COS INC                          548661107     401765     15830               X               15830       0       0
L3 COMMUNICATIONS HOLDINGS INC         502424104     230046      3450        X                       3450       0       0
L3 COMMUNICATIONS HOLDINGS INC         502424104     166033      2490               X                2490       0       0
MARATHON OIL CORP                      565849106     196109      6700        X                       6700       0       0
MARATHON OIL CORP                      565849106     184401      6300               X                6300       0       0
MARATHON PETROLEUM CORPORATION         56585A102     110689      3325        X                       3325       0       0
MARATHON PETROLEUM CORPORATION         56585A102     104864      3150               X                3150       0       0
MARRIOTT INTERNATIONAL INC             571903202      22053       756        X                        403       0     353
MARRIOTT INTERNATIONAL INC             571903202     284408      9750               X                9749       0       1
MATTEL INC                             577081102     280376     10100        X                      10100       0       0
MCCORMICK & CO INC                     579780206    1173576     23276        X                      23001       0     275
MCCORMICK & CO INC                     579780206    1007240     19977               X               19977       0       0
MCDONALDS CORP                         580135101    8719981     86913        X                      86213       0     700
MCDONALDS CORP                         580135101    3983001     39699               X               39174     250     275
MCKESSON CORP                          58155Q103     263725      3385        X                       3385       0       0
MEAD JOHNSON NUTRITION CO              582839106       6873       100        X                        100       0       0
MEAD JOHNSON NUTRITION CO              582839106     356709      5190               X                5190       0       0
MEDCO HEALTH SOLUTIONS INC             58405U102     545472      9758        X                       9758       0       0
MEDCO HEALTH SOLUTIONS INC             58405U102     234221      4190               X                4190       0       0
MEDTRONIC INC                          585055106     515228     13470        X                      13470       0       0
MEDTRONIC INC                          585055106      89314      2335               X                2335       0       0
MERCK & CO INC                         58933Y105    4593632    121847        X                     121447       0     400
MERCK & CO INC                         58933Y105    3659916     97080               X               72504   22000    2576
METLIFE INC                            59156R108    1866123     59850        X                      59850       0       0
METLIFE INC                            59156R108    1239717     39760               X               23360   16000     400
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                            47438169   1062127                              988822   60775   12530





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 6

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
MICROCHIP TECHNOLOGY INC               595017104     270329      7380        X                       7380       0       0
MICROSOFT CORP                         594918104    3237913    124727        X                     123552       0    1175
MICROSOFT CORP                         594918104    1376243     53014               X               35314   13500    4200
MONSANTO CO                            61166W101     416076      5938        X                       5768       0     170
MONSANTO CO                            61166W101     344394      4915               X                4915       0       0
NATIONAL-OILWELL INC                   637071101     967498     14230        X                      13505       0     725
NATIONAL-OILWELL INC                   637071101     904267     13300               X                8300    5000       0
NEWMONT MNG CORP                       651639106     248861      4147        X                       4147       0       0
NEXTERA ENERGY INC                     65339F101    1176080     19318        X                      19318       0       0
NEXTERA ENERGY INC                     65339F101     805138     13225               X               13075       0     150
NIKE INC-CLASS B                       654106103     878605      9117        X                       9117       0       0
NIKE INC-CLASS B                       654106103     303566      3150               X                3150       0       0
NORDSTROM INC                          655664100     316255      6362        X                       6362       0       0
NORFOLK SOUTHERN CORP                  655844108     335885      4610        X                       4610       0       0
NORFOLK SOUTHERN CORP                  655844108     378289      5192               X                5192       0       0
NORTHERN TR CORP                       665859104     408300     10295        X                      10295       0       0
NORTHERN TR CORP                       665859104      78527      1980               X                1680     300       0
NUCOR CORP                             670346105     459012     11600        X                      11400       0     200
NUCOR CORP                             670346105     142452      3600               X                2600    1000       0
OCCIDENTAL PETE CORP                   674599105     898489      9589        X                       9589       0       0
OCCIDENTAL PETE CORP                   674599105     108692      1160               X                1160       0       0
ORACLE CORPORATION                     68389X105     425303     16581        X                      16581       0       0
ORACLE CORPORATION                     68389X105     111988      4366               X                4366       0       0
PEABODY ENERGY CORP                    704549104     237299      7167        X                       7167       0       0
PEABODY ENERGY CORP                    704549104     454766     13735               X               13735       0       0
PEAPACK-GLADSTONE FINL CORP            704699107    5282249    491372        X                     484675       0    6697
PEAPACK-GLADSTONE FINL CORP            704699107    4431956    412275               X              412275       0       0
PENN VIRGINIA RESOURCE PARTNERS LP     707884102     791430     31000        X                      31000       0       0
PENN VIRGINIA RESOURCE PARTNERS LP     707884102    1007797     39475               X               19725   19750       0
PEPSICO INC                            713448108   11163520    168252        X                     163194       0    5058
PEPSICO INC                            713448108    5344692     80553               X               65103   14400    1050
PFIZER INC                             717081103    1802244     83283        X                      79214       0    4069
PFIZER INC                             717081103    1133676     52388               X               34188   18200       0
PHILIP MORRIS INTERNATIONAL            718172109     649500      8276        X                       7876       0     400
PHILIP MORRIS INTERNATIONAL            718172109     274680      3500               X                3500       0       0
PITNEY BOWES INC                       724479100     654740     35315        X                      34815       0     500
PITNEY BOWES INC                       724479100     223407     12050               X                9300    1500    1250
PNC FINANCIAL SERVICES GROUP           693475105     902074     15642        X                      15642       0       0
PNC FINANCIAL SERVICES GROUP           693475105     532871      9240               X                8395       0     845
PPG INDUSTRIES INC                     693506107     402839      4825        X                       4825       0       0
PPG INDUSTRIES INC                     693506107     313088      3750               X                3750       0       0
PPL CORPORATION                        69351T106    1572940     53465        X                      52740       0     725
PPL CORPORATION                        69351T106     359512     12220               X               12220       0       0
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                            52127442   1885579                             1784715   73650   27214





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 7

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
PRAXAIR INC                            74005P104     393820      3684        X                       3684       0       0
PRAXAIR INC                            74005P104      53450       500               X                 500       0       0
PROCTER & GAMBLE CO                    742718109   10793411    161796        X                     158251       0    3545
PROCTER & GAMBLE CO                    742718109    7378593    110607               X               95082   14675     850
PROVIDENT FINL SVCS INC                74386T105     214240     16000               X               16000       0       0
PUBLIC SVC ENTERPRISE GROUP INC        744573106    1459834     44224        X                      42574       0    1650
PUBLIC SVC ENTERPRISE GROUP INC        744573106     832512     25220               X               23720       0    1500
QUALCOMM INC                           747525103    5835615    106684        X                     104584       0    2100
QUALCOMM INC                           747525103    2744244     50169               X               38219   11250     700
QUEST DIAGNOSTICS INC                  74834L100     730685     12585        X                      12385       0     200
QUEST DIAGNOSTICS INC                  74834L100     724299     12475               X               12275       0     200
ROCKWELL AUTOMATION INC                773903109     339556      4628        X                       4628       0       0
ROCKWELL AUTOMATION INC                773903109      96702      1318               X                 518     550     250
RUTH'S HOSPITALITY GROUP INC           783332109      50426     10146        X                      10146       0       0
SANDISK CORP                           80004C101     267407      5434        X                       5434       0       0
SEMPRA ENERGY                          816851109      23925       435        X                        435       0       0
SEMPRA ENERGY                          816851109     198000      3600               X                3600       0       0
SOUTHERN COMPANY                       842587107    2839938     61351        X                      60358       0     993
SOUTHERN COMPANY                       842587107    2242751     48450               X               35150   12000    1300
SPECTRA ENERGY CORP                    847560109     617583     20084        X                      20084       0       0
SPECTRA ENERGY CORP                    847560109      93911      3054               X                2454       0     600
STARBUCKS CORP                         855244109      11503       250        X                        250       0       0
STARBUCKS CORP                         855244109     356578      7750               X                7750       0       0
STRYKER CORPORATION                    863667101     417564      8400        X                       8400       0       0
SUBURBAN PROPANE PARTNERS LP           864482104     109503      2300        X                       2300       0       0
SUBURBAN PROPANE PARTNERS LP           864482104     190440      4000               X                4000       0       0
SYSCO CORP                             871829107    3531860    120418        X                     118618       0    1800
SYSCO CORP                             871829107    1622536     55320               X               52735    1870     715
TARGET CORP                            87612E106    3432611     67017        X                      66367       0     650
TARGET CORP                            87612E106    2090083     40806               X               35806    5000       0
TEXAS INSTRUMENTS INC                  882508104     700678     24070        X                      24070       0       0
TEXAS INSTRUMENTS INC                  882508104     297359     10215               X               10215       0       0
TJX COS INC                            872540109      42151       653        X                        653       0       0
TJX COS INC                            872540109     160084      2480               X                2480       0       0
TRAVELERS COMPANIES INC                89417E109    1383927     23389        X                      23389       0       0
TRAVELERS COMPANIES INC                89417E109     288040      4868               X                4460       0     408
UGI CORP                               902681105     268275      9125        X                       6325       0    2800
UGI CORP                               902681105     834078     28370               X                4350   23820     200
UNION PAC CORP                         907818108    3912682     36933        X                      36483       0     450
UNION PAC CORP                         907818108    2200268     20769               X               13069    7000     700
UNITED PARCEL SERVICE CL B             911312106    2248616     30723        X                      30723       0       0
UNITED PARCEL SERVICE CL B             911312106     139061      1900               X                1900       0       0
UNITED TECHNOLOGIES CORP               913017109    7058959     96579        X                      95574       0    1005
UNITED TECHNOLOGIES CORP               913017109    5349384     73189               X               62261    8200    2728
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                            74577142   1371968                             1262259   84365   25344





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 8

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
       DOMESTIC COMMON STOCKS
       ----------------------
US BANCORP NEW                         902973304    2872277    106184        X                     104509       0    1675
US BANCORP NEW                         902973304    1652593     61094               X               60294       0     800
V.F. CORP                              918204108    2291027     18041        X                      17816       0     225
V.F. CORP                              918204108    2310075     18191               X               14491    3500     200
VECTREN CORP                           92240G101    1875016     62025        X                      62025       0       0
VECTREN CORP                           92240G101    1653128     54685               X               35445   18540     700
VERIZON COMMUNICATIONS                 92343V104    3721050     92748        X                      87786       0    4962
VERIZON COMMUNICATIONS                 92343V104    2070874     51617               X               50417     900     300
VISA INC CL A                          92826C839    1512797     14900        X                      14900       0       0
VISA INC CL A                          92826C839     449270      4425               X                4150     275       0
WAL MART STORES INC                    931142103    1962279     32836        X                      30836       0    2000
WAL MART STORES INC                    931142103     299995      5020               X                5020       0       0
WASTE MANAGEMENT INC                   94106L109    3699403    113097        X                     111447       0    1650
WASTE MANAGEMENT INC                   94106L109    2126804     65020               X               43170   21250     600
WELLS FARGO & CO                       949746101    2299524     83437        X                      81000       0    2437
WELLS FARGO & CO                       949746101    1691164     61363               X               40363   21000       0
WILLIAMS-SONOMA INC                    969904101     223300      5800               X                5800       0       0
WISCONSIN ENERGY CORP                  976657106     263179      7528               X                6728       0     800
XEROX CORP                             984121103      99182     12460        X                      12460       0       0
XEROX CORP                             984121103      50148      6300               X                6300       0       0
XYLEM INC-W/I                          98419M100      90300      3515        X                       3115       0     400
XYLEM INC-W/I                          98419M100     138649      5397               X                5397       0       0
YUM! BRANDS INC                        988498101     645982     10947        X                      10947       0       0
YUM! BRANDS INC                        988498101      15048       255               X                 255       0       0
ZIMMER HLDGS INC                       98956P102     125644      2352        X                       2352       0       0
ZIMMER HLDGS INC                       98956P102      84938      1590               X                1590       0       0
3M CO                                  88579Y101    2328161     28486        X                      28236       0     250
3M CO                                  88579Y101     674845      8257               X                8257       0       0
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR DOMESTIC COMMON STOCKS              527800467  11740729                            11052551  522303  165875





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 9

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
           ADR SECURITIES
           --------------
BHP BILLITON LTD SPONS ADR             088606108    1539805     21801        X                      21226       0     575
BHP BILLITON LTD SPONS ADR             088606108     411773      5830               X                5155     675       0
BP PLC SPONS ADR                       055622104     711621     16650        X                      15650       0    1000
BP PLC SPONS ADR                       055622104     204810      4792               X                3992       0     800
GLAXO SMITHKLINE SPONS ADR             37733W105     101527      2225        X                       1600       0     625
GLAXO SMITHKLINE SPONS ADR             37733W105     402867      8829               X                8829       0       0
NOVARTIS AG SPONS ADR                  66987V109     741724     12974        X                      12974       0       0
NOVARTIS AG SPONS ADR                  66987V109     592739     10368               X               10043       0     325
PETROLEO BRASILEIRO SA SPONS ADR       71654V408     175963      7081        X                       6581       0     500
PETROLEO BRASILEIRO SA SPONS ADR       71654V408     100643      4050               X                3550       0     500
ROYAL DUTCH SHELL SPONS ADR            780259206     580188      7938        X                       7938       0       0
ROYAL DUTCH SHELL SPONS ADR            780259206     453304      6202               X                6202       0       0
TEVA PHARMACEUTICAL INDS SPONS ADR     881624209    1783508     44190        X                      44190       0       0
TEVA PHARMACEUTICAL INDS SPONS ADR     881624209    1108205     27458               X               26958       0     500
TOTAL S.A. SPONS ADR                   89151E109    1379203     26985        X                      26460       0     525
TOTAL S.A. SPONS ADR                   89151E109     753873     14750               X                1750   13000       0
UNILEVER NV NY SHARES ADR              904784709     180443      5250        X                       5250       0       0
UNILEVER NV NY SHARES ADR              904784709      65303      1900               X                1900       0       0
UNILEVER PLC SPONS ADR                 904767704     150672      4495        X                       4495       0       0
UNILEVER PLC SPONS ADR                 904767704      67040      2000               X                2000       0       0
VODAFONE GROUP SPONS ADR               92857W209     668880     23863        X                      23863       0       0
VODAFONE GROUP SPONS ADR               92857W209     131208      4681               X                4681       0       0
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR ADR SECURITIES                       12305299    264312                              245287   13675    5350





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 10

*SUMMARY PAGE FOR A. COMMON STOCK *



MINOR ASSET TYPE                          MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
43 DOMESTIC COMMON STOCKS               527800467  11740729                           11052551  522303  165875
44 ADR SECURITIES                        12305299    264312                             245287   13675    5350
                                        --------- --------- ---- ------ -----       ---------- ------- -------
*SUBTOTALS*                             540105766  12005041                           11297838  535978  171225





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 11

*SUMMARY PAGE FOR B. PREFERRED STOCK *



MINOR ASSET TYPE                          MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
            **NONE**





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 12

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    REAL ESTATE INVESTMENT TRUSTS
    -----------------------------

ANNALY CAPITAL MANAGEMENT REIT       * 035710409     215460     13500        X                    N.A.      N.A.    N.A.
ANNALY CAPITAL MANAGEMENT REIT       * 035710409     151620      9500               X             N.A.      N.A.    N.A.
CYS INVESTMENTS INC REIT             * 12673A108     223380     17000        X                    N.A.      N.A.    N.A.
SIMON PROPERTY GROUP INC REIT        * 828806109      67822       526        X                    N.A.      N.A.    N.A.
SIMON PROPERTY GROUP INC REIT        * 828806109     285215      2212               X             N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS          943497     42738                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 13

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
         FOREIGN SECURITIES
         ------------------
BCE INC                              * 05534B760     102092      2450        X                       2450       0       0
BCE INC                              * 05534B760     299649      7191               X                 191    7000       0
COVIDIEN PLC                         * G2554F113     574598     12766        X                      12366       0     400
COVIDIEN PLC                         * G2554F113     322272      7160               X                7160       0       0
INGERSOLL-RAND PLC                   * G47791101     147566      4843        X                       4843       0       0
INGERSOLL-RAND PLC                   * G47791101     249336      8183               X                8183       0       0
NOBLE CORP                           * H5833N103     157325      5206        X                       5206       0       0
NOBLE CORP                           * H5833N103      78572      2600               X                2600       0       0
SCHLUMBERGER LTD                     * 806857108    6290668     92090        X                      90190       0    1900
SCHLUMBERGER LTD                     * 806857108    3263715     47778               X               46678     400     700
TE CONNECTIVITY LIMITED              * H84989104     320116     10390        X                      10390       0       0
TRANSOCEAN LTD                       * H8817H100      80082      2086        X                       2086       0       0
TRANSOCEAN LTD                       * H8817H100     148608      3871               X                3667       0     204
WEATHERFORD INTNTL LTD               * H27013103    1189646     81260        X                      79960       0    1300
WEATHERFORD INTNTL LTD               * H27013103     226554     15475               X               12075    2000    1400
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR FOREIGN SECURITIES                   13450799    303349                              288045    9400    5904





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 14

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    CLOSED END EQUITY MUTUAL FUND
    -----------------------------
ALERIAN MLP ETF                      * 00162Q866     207168     12465        X                    N.A.      N.A.    N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD  * 464287168    1371511     25507        X                    N.A.      N.A.    N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD  * 464287168      99690      1854               X             N.A.      N.A.    N.A.
ISHARES MSCI EAFE INDEX FUND         * 464287465    3074278     62069        X                    N.A.      N.A.    N.A.
ISHARES MSCI EAFE INDEX FUND         * 464287465     485592      9804               X             N.A.      N.A.    N.A.
ISHARES MSCI EMERGING MKT IN         * 464287234    3403939     89719        X                    N.A.      N.A.    N.A.
ISHARES MSCI EMERGING MKT IN         * 464287234     634812     16732               X             N.A.      N.A.    N.A.
ISHARES NASDAQ BIOTECH INDX          * 464287556    1633286     15652        X                    N.A.      N.A.    N.A.
ISHARES NASDAQ BIOTECH INDX          * 464287556     801825      7684               X             N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP GRWTH         * 464287481    2600067     47231        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP GRWTH         * 464287481    1171189     21275               X             N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP INDEX FUND    * 464287499    1610151     16360        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP INDEX FUND    * 464287499      39368       400               X             N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP VALUE         * 464287473    2510343     57842        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL MIDCAP VALUE         * 464287473    1172234     27010               X             N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 GROWTH INDEX    * 464287614     536985      9292        X                    N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 GROWTH INDEX    * 464287614       4045        70               X             N.A.      N.A.    N.A.
ISHARES RUSSELL 1000 VALUE           * 464287598     265473      4182        X                    N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600             * 464287804     925807     13555        X                    N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600             * 464287804      39477       578               X             N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600/VAL         * 464287879     294945      4228        X                    N.A.      N.A.    N.A.
ISHARES S&P SMALLCAP 600/VAL         * 464287879     192328      2757               X             N.A.      N.A.    N.A.
ISHARES S&P 500 GROWTH INDEX FD      * 464287309    2309478     34250        X                    N.A.      N.A.    N.A.
ISHARES S&P 500 GROWTH INDEX FD      * 464287309     613208      9094               X             N.A.      N.A.    N.A.
ISHARES S&P 500 VALUE INDEX FUND     * 464287408    2081302     35990        X                    N.A.      N.A.    N.A.
ISHARES S&P 500 VALUE INDEX FUND     * 464287408     611263     10570               X             N.A.      N.A.    N.A.
ISHARES TR S&P SMALLCAP/600 GROWTH   * 464287887     259602      3486        X                    N.A.      N.A.    N.A.
ISHARES TR S&P SMALLCAP/600 GROWTH   * 464287887     174409      2342               X             N.A.      N.A.    N.A.
ISHARES TR S&P 500 INDEX FUND        * 464287200     182390      1448        X                    N.A.      N.A.    N.A.
ISHARES TR S&P 500 INDEX FUND        * 464287200      28971       230               X             N.A.      N.A.    N.A.
ISHARES TRUST-S&P 400 MIDCAP         * 464287507     145170      1657        X                    N.A.      N.A.    N.A.
ISHARES TRUST-S&P 400 MIDCAP         * 464287507      60013       685               X             N.A.      N.A.    N.A.
POWERSHARES QQQ TRUST                * 73935A104    3550955     63603        X                    N.A.      N.A.    N.A.
POWERSHARES QQQ TRUST                * 73935A104     989419     17722               X             N.A.      N.A.    N.A.
RYDEX S&P EQUAL WEIGHT ETF           * 78355W106     842527     18205        X                    N.A.      N.A.    N.A.
RYDEX S&P EQUAL WEIGHT ETF           * 78355W106     150410      3250               X             N.A.      N.A.    N.A.
SPDR GOLD TRUST                      * 78463V107     144391       950        X                    N.A.      N.A.    N.A.
SPDR GOLD TRUST                      * 78463V107     180108      1185               X             N.A.      N.A.    N.A.
SPDR S&P DIVIDEND ETF                * 78464A763    4058566     75340        X                    N.A.      N.A.    N.A.
SPDR S&P DIVIDEND ETF                * 78464A763    2048407     38025               X             N.A.      N.A.    N.A.
SPDR S&P MIDCAP 400 ETF TRUST        * 78467Y107    7724260     48431        X                    N.A.      N.A.    N.A.
SPDR S&P MIDCAP 400 ETF TRUST        * 78467Y107    1508456      9458               X             N.A.      N.A.    N.A.
SPDR S&P 500 ETF TRUST               * 78462F103    8728274     69548        X                    N.A.      N.A.    N.A.
SPDR S&P 500 ETF TRUST               * 78462F103    1056083      8415               X             N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR THIS PAGE                            60522175    900150                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 15

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
    CLOSED END EQUITY MUTUAL FUND
    -----------------------------
UTILITIES SELECT SECTOR SPDR         * 81369Y886     562367     15630        X                    N.A.      N.A.    N.A.
UTILITIES SELECT SECTOR SPDR         * 81369Y886      78976      2195               X             N.A.      N.A.    N.A.
VANGUARD IND FD MID-CAP              * 922908629    1399952     19460        X                    N.A.      N.A.    N.A.
VANGUARD IND FD MID-CAP              * 922908629     163160      2268               X             N.A.      N.A.    N.A.
VANGUARD LARGE-CAP ETF               * 922908637     297674      5195        X                    N.A.      N.A.    N.A.
VANGUARD MSCI EAFE ETF               * 921943858    1036703     33846        X                    N.A.      N.A.    N.A.
VANGUARD MSCI EAFE ETF               * 921943858     742012     24225               X             N.A.      N.A.    N.A.
VANGUARD MSCI EMERGING MARKETS ETF   * 922042858    5782931    151346        X                    N.A.      N.A.    N.A.
VANGUARD MSCI EMERGING MARKETS ETF   * 922042858    1816351     47536               X             N.A.      N.A.    N.A.
VANGUARD S&P 500 ETF                 * 922908413     198777      3460        X                    N.A.      N.A.    N.A.
VANGUARD S&P 500 ETF                 * 922908413     183840      3200               X             N.A.      N.A.    N.A.
VANGUARD SMALL CAP GROWTH ETF        * 922908595    3256525     42647        X                    N.A.      N.A.    N.A.
VANGUARD SMALL CAP GROWTH ETF        * 922908595    1490165     19515               X             N.A.      N.A.    N.A.
VANGUARD SMALL CAP VALUE ETF         * 922908611    2893035     46163        X                    N.A.      N.A.    N.A.
VANGUARD SMALL CAP VALUE ETF         * 922908611    1422734     22702               X             N.A.      N.A.    N.A.
VANGUARD SMALL-CAP ETF               * 922908751    5764287     82737        X                    N.A.      N.A.    N.A.
VANGUARD SMALL-CAP ETF               * 922908751    1223614     17563               X             N.A.      N.A.    N.A.
WISDOM TREE INTL DIVIDEND EX-FIN FD  * 97717W786     392198      9909        X                    N.A.      N.A.    N.A.
WISDOM TREE INTL DIVIDEND EX-FIN FD  * 97717W786     510582     12900               X             N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUND        89738058   1462647                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 16

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
      CLOSED-END FIXED INCOME (TAX)
      -----------------------------
ISHARES BARCLAYS 1-3 YEAR CR         * 464288646     702829      6745        X                    N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YEAR CR         * 464288646      15630       150               X             N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YEAR TREASURY   * 464287457    1411150     16700        X                    N.A.      N.A.    N.A.
ISHARES BARCLAYS 1-3 YEAR TREASURY   * 464287457      34223       405               X             N.A.      N.A.    N.A.
ISHARES IBOXX INV GRD CORP BOND FD   * 464287242     295776      2600        X                    N.A.      N.A.    N.A.
ISHARES S&P PREF STK                 * 464288687     147823      4150        X                    N.A.      N.A.    N.A.
ISHARES S&P PREF STK                 * 464288687     166167      4665               X             N.A.      N.A.    N.A.
VANGUARD INTERMEDIATE-TERM BOND ETF  * 921937819     394061      4531        X                    N.A.      N.A.    N.A.
VANGUARD INTERMEDIATE-TERM BOND ETF  * 921937819     161764      1860               X             N.A.      N.A.    N.A.
VANGUARD SHORT TERM BOND ETF         * 921937827    1233053     15253        X                    N.A.      N.A.    N.A.
VANGUARD SHORT TERM BOND ETF         * 921937827     424006      5245               X             N.A.      N.A.    N.A.
VANGUARD TOTAL BOND MARKET ETF       * 921937835     409179      4898        X                    N.A.      N.A.    N.A.
VANGUARD TOTAL BOND MARKET ETF       * 921937835      20885       250               X             N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR CLOSED-END FIXED INCOME (TAX)         5416546     67452                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 17

                                                        SEC USE ONLY ___________



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
     CLOSED END FIXED INC-NON-TAX
     ----------------------------

BLACKROCK MUNIYIELD NEW JERSEY FUND  * 09254Y109      46800      3000        X                    N.A.      N.A.    N.A.
BLACKROCK MUNIYIELD NEW JERSEY FUND  * 09254Y109     118295      7583               X             N.A.      N.A.    N.A.
ISHARES S&P S/T NATION MUNI          * 464288158    1200179     11245        X                    N.A.      N.A.    N.A.
ISHARES TR S&P NAT MUNI BOND FUND    * 464288414     508450      4697        X                    N.A.      N.A.    N.A.
NUVEEN NJ DVD ADV MUNI FD            * 67069Y102     193200     13800        X                    N.A.      N.A.    N.A.
                                                  --------- --------- ---- ------ -----        ---------- ------- -------
SUBTOTALS FOR CLOSED END FIXED INC-NON-TAX          2066924     40325                             N.A.      N.A.    N.A.





INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 18

*SUMMARY PAGE FOR C. OTHER *



MINOR ASSET TYPE                          MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
97 CLOSED END FIXED INC-NON-TAX           2066924     40325                               N.A.    N.A.    N.A.
68 CLOSED-END FIXED INCOME (TAX)          5416546     67452                               N.A.    N.A.    N.A.
63 CLOSED END EQUITY MUTUAL FUND         89738058   1462647                               N.A.    N.A.    N.A.
54 FOREIGN SECURITIES                    13450799    303349                             288045    9400    5904
47 REAL ESTATE INVESTMENT TRUSTS           943497     42738                               N.A.    N.A.    N.A.
                                        --------- --------- ---- ------ -----       ---------- ------- -------
*SUBTOTALS*                             111615824   1916511                             288045    9400    5904
*SUBTOTALS*                             111615824   1916511                               N.A.    N.A.    N.A.


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




INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 19

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



CATEGORY                                  MARKET    SH/PV     INVEST  AUTH    MNGR      VOTING AUTH(SHARES)
---------------------------------       --------- --------- ---- ------ -----       ---------- ------- -------
                                                                            
A. COMMON STOCK                         540105766  12005041                           11297838  535978  171225

C. OTHER                                111615824   1916511                             288045    9400    5904
                                        --------- --------- ---- ------ -----       ---------- ------- -------
**GRAND TOTALS**                        651721590  13921552                           11585883  545378  177129





13F EXCEPTION REPORT *** INTERNAL USE ONLY *** PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 1



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
A. COMMON STOCK
         DOMESTIC COMMON STOCKS
         ----------------------





13F EXCEPTION REPORT *** INTERNAL USE ONLY *** PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 2



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
B. PREFERRED STOCK
         FOREIGN PREFERRED STOCKS
         ------------------------





13F EXCEPTION REPORT *** INTERNAL USE ONLY *** PREPARED FOR:
PEAPACK-GLADSTONE TRUST & INV ON 1/7/12 AS OF 12/30/11 DEPT ID# 233 PAGE 3



                                                                            ITEM 6
                                                                         INVEST AUTH                      ITEM 8
ITEM 1                 ITEM 2           ITEM 3      ITEM 4    ITEM 5       SHRD-  SHRD- ITEM 7     VOTING AUTH(SHARES)
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER   MARKET    SH/PV   SOLE INSTRV OTHER  MNGR     SOLE     SHARED   NONE
                                                                                   
C. OTHER
             RIGHTS AND WARRANTS
             -------------------