UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D. C. 20549 FORM 13F FORM 13F COVER PAGE Report for Calendar Year or Quarter ended: March 31, 2006 Check here if Amendment ( ) ; Amendment Number: This Amendment(Check only one.)( )is a restatment. ( )adds new holdings entries. Institutional Investment Manager Filing this Report: Name: WINTRUST FINANCIAL CORP 727 North Bank Lane Lake Forest, IL 60045 13F file number: 028-10582 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: James F. Duca Title: Executive Vice President Phone: 1-800-621-4477 Signature, Place and Date of Signing: /S/ James F. Duca Chicago, IL May 12, 2006 Report Type (Check only one.): ( x ) 13F HOLDINGS REPORT. ( ) 13F NOTICE. ( ) 13F COMBINATION REPORT List of other Managers Reporting for this Manager: Wayne Hummer Asset Mgmt Co. Wayne Hummer Trust Company FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers:2 Form 13F Information Table Entry Total: 473 Form 13F Information Table Value Total: 720,510,000 List of Other Included Managers: Wayne Hummer Asset Mgmt Co. Wayne Hummer Trust Company FORM 13F INFORMATION TABLE VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- 3M CO com 88579Y101 2156 28483 SH SOLE 27225 1258 3338 44105 SH DEFINED 01 18200 2125 23780 30 400 SH OTHER 01 400 ABBOTT LABORATORIES com 002824100 2966 69838 SH SOLE 69685 153 3148 74125 SH DEFINED 01 52678 21447 64 1500 SH OTHER 01 1500 ACTIVISION INC NEW com 004930202 338 24516 SH DEFINED 01 24516 ADOBE SYSTEMS com 00724F101 1167 33396 SH SOLE 29928 3468 3388 96940 SH DEFINED 01 41060 5050 50830 28 800 SH OTHER 01 800 AETNA com 00817Y108 209 4252 SH SOLE 1052 3200 206 4200 SH DEFINED 01 4200 AFLAC com 001055102 1261 27934 SH SOLE 25800 2134 2735 60608 SH DEFINED 01 4275 5250 51083 14 300 SH OTHER 01 300 ALBERTO CULVER CO CL B CONV com 013068101 751 16979 SH DEFINED 01 16979 ALLSTATE CORP. com 020002101 367 7038 SH DEFINED 01 7038 ALLTEL com 020039103 2046 31600 SH SOLE 28045 3555 5106 78859 SH DEFINED 01 55384 2950 20525 3 50 SH OTHER 01 50 ALTRIA GROUP INC F/K/A PHILLIP com 02209S103 321 4529 SH SOLE 4529 953 13446 SH DEFINED 01 13446 AMBAC FINANCIAL GROUP com 023139108 1215 15267 SH SOLE 14875 392 1387 17430 SH DEFINED 01 2510 950 13970 12 150 SH OTHER 01 150 AMERICAN EXPRESS com 025816109 1746 33230 SH SOLE 25650 200 7380 1725 32822 SH DEFINED 01 9640 2200 20982 11 200 SH OTHER 01 200 AMERICAN INTERNATIONAL GROUP I com 026874107 3073 46498 SH SOLE 40684 20 5794 3084 46661 SH DEFINED 01 12788 3180 30693 26 400 SH OTHER 01 400 AMERIGAS PARTNERS LP com 030975106 9 300 SH SOLE 300 208 6950 SH DEFINED 6950 AMGEN INC com 031162100 3428 47121 SH SOLE 45529 140 1452 3743 51453 SH DEFINED 01 19788 2690 28975 25 350 SH OTHER 01 350 ANADARKO PETROLEUM CORP com 032511107 684 6768 SH SOLE 6180 588 2907 28783 SH DEFINED 01 3953 2625 22205 10 100 SH OTHER 01 100 ANALOG DEVICES com 032654105 275 7180 SH SOLE 1580 5600 APACHE com 037411105 2476 37792 SH SOLE 37642 150 2537 38721 SH DEFINED 01 35621 100 3000 APPLIED MATERIALS com 038222105 841 48025 SH SOLE 40225 7800 6453 368545 SH DEFINED 01 360380 1045 7120 AT&T INC com 00206R102 914 33786 SH SOLE 33186 600 1696 62712 SH DEFINED 01 57411 789 4512 AUTOMATIC DATA PROCESSING com 053015103 254 5550 SH SOLE 5550 511 11182 SH DEFINED 01 10707 475 AVERY DENNISON com 053611109 1295 22145 SH SOLE 22145 7034 120282 SH DEFINED 01 117982 900 1400 BALL CORP com 058498106 874 19950 SH DEFINED 01 19950 BANK OF AMERICA com 060505104 1677 36818 SH SOLE 28789 8029 2078 45624 SH DEFINED 01 19255 3418 22951 45 995 SH OTHER 01 995 BANK OF NEW YORK CO INC com 064057102 194 5395 SH SOLE 325 70 5000 123 3405 SH DEFINED 01 3155 250 BARD (C.R.) 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