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

                                   ----------

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2004

Check here if Amendment [ ]; Amendment Number:

This Amendment (Check only one.):  [ ] is a restatement.
                                   [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    The PNC Financial Services Group, Inc.
Address:     249 Fifth Avenue
             Pittsburgh, PA 15222-2707

Form 13F File Number:  28-1235

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 the Report on behalf of Reporting Manager:

Name:  Joan L. Gulley
Title: Vice President
Phone: (412) 768-8416
Signature, Place, and Date of Signing:


  /s/ Joan L. Gulley           Pittsburgh, PA               May 7, 2004
-----------------------------  ---------------------------  --------------------
[Signature]                    [City, State]                [Date]

Report Type (Check only one.):

[_]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
     are reported in this report.)

[_]  13F NOTICE. (Check here if no holdings reported are in this report, and all
     holdings are reported by other reporting manager(s).)

[X]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)

List of Other Managers Reporting for this Manager:
     Form 13F File Number        Name
     28-5703                     BlackRock, Inc.



Page 2
                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                   4

Form 13F Information Table Entry Total:          3,130

Form 13F Information Table Value Total:  $  25,428,011
                                                (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.     Form 13F File Number     Name

 1      28-1500                  J.J. B. Hilliard, W. L. Lyons, Inc.

 2      28-4750                  PNC Bancorp, Inc.

 3      28-4580                  PNC Bank, Delaware

 4      28-5284                  PNC Bank, National Association





1                                                                                                                  FILE NO. 28-1235
  PAGE 1 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  DAIMLERCHRYSLER AG           ORD           D1668R123        305,662       7,323       X        28-5284     6681               642
                                                              325,489       7,798       X      X 28-5284     5822      1356     620
                                                               62,610       1,500       X        28-4580     1500
                                                               64,697       1,550       X      X 28-4580     1550

  DEUTSCHE BANK AG NAMEN       ORD           D18190898          2,170          26       X        28-5284       26

  ACE LTD                      ORD           G0070K103      1,924,563      45,114       X        28-5284    24304       300   20510
                                                              509,787      11,950       X      X 28-5284     5390      6040     520
                                                              294,354       6,900       X      X 28-1500     6900

  AMDOCS LTD                   ORD           G02602103        166,740       6,000       X        28-5284     6000
                                                              177,717       6,395       X      X 28-5284                       6395

  APEX SILVER MINES LTD        ORD           G04074103         22,560       1,000       X      X 28-1500     1000

  ACCENTURE LTD BERMUDA        CL A          G1150G111         48,360       1,950       X        28-5284     1950
                                                               57,040       2,300       X      X 28-5284               2300

  BUNGE LIMITED                COM           G16962105        635,476      15,800       X      X 28-5284    13300              2500

  CHINADOTCOM CORP             CL A          G2108N109          1,734         200       X        28-5284      200

  CHINA YUCHAI INTL LTD        COM           G21082105          4,002         200       X        28-5284      200
                                                                4,002         200       X      X 28-1500      200

  COOPER INDS LTD              CL A          G24182100        181,547       3,175       X        28-5284     3175
                                                              146,209       2,557       X      X 28-5284     2557
                                                               57,180       1,000       X      X 28-4580     1000

  ENDURANCE SPECIALTY HLDGS LT SHS           G30397106          7,108         200       X        28-5284      200

  EVEREST RE GROUP LTD         COM           G3223R108         12,816         150       X        28-5284      150

  FRESH DEL MONTE PRODUCE INC  ORD           G36738105         59,248       2,300       X      X 28-5284      100       200    2000

  FRONTLINE LTD                ORD           G3682E127          8,655         300       X        28-5284      300
                                                              173,100       6,000       X      X 28-5284     6000

  GARMIN LTD                   ORD           G37260109        170,840       4,000       X        28-5284     4000
                                                              121,296       2,840       X      X 28-5284                       2840

  GLOBAL CROSSING LTD          SHS NEW       G3921A175            520          26       X        28-5284       26
0                COLUMN TOTAL                               5,545,482
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 2 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GLOBALSANTAFE CORP           SHS           G3930E101      1,592,693      57,353       X        28-5284    57154               199
                                                               84,726       3,051       X      X 28-5284     1351              1700
                                                               26,243         945       X        28-4580      945

  GLOBAL SOURCES LTD           ORD           G39300101         36,990       3,000       X        28-5284     3000

  HELEN OF TROY CORP LTD       COM           G4388N106          6,202         200       X        28-5284      200
                                                               22,699         732       X      X 28-5284      332       400

  INGERSOLL-RAND COMPANY LTD   CL A          G4776G101     66,698,097     985,929       X        28-5284   931223     13007   41699
                                                           18,220,445     269,334       X      X 28-5284   164506     80328   24500
                                                            1,357,600      20,068       X        28-4580    19527               541
                                                              601,341       8,889       X      X 28-4580     8013       240     636

  IPC HLDGS LTD                ORD           G4933P101         78,780       2,000       X        28-5284     2000

  KNIGHTSBRIDGE TANKERS LTD    ORD           G5299G106         23,397       1,100       X      X 28-5284     1100

  LJ INTL INC                  ORD           G55312105          3,083         750       X        28-5284      750

  MARVELL TECHNOLOGY GROUP LTD ORD           G5876H105        330,006       7,340       X      X 28-5284                       7340

  NABORS INDUSTRIES LTD        SHS           G6359F103      1,122,202      24,529       X        28-5284    24529
                                                              460,474      10,065       X      X 28-5284     9170               895
                                                              137,799       3,012       X      X 28-1500     3012
                                                                5,078         111       X        28-4580      111

  NOBLE CORPORATION            SHS           G65422100        163,861       4,265       X        28-5284     4265
                                                              122,176       3,180       X      X 28-5284      200              2980
                                                                6,724         175       X      X 28-1500      175
                                                                3,688          96       X        28-4580       96

  OPENTV CORP                  CL A          G67543101             98          30       X        28-5284       30
                                                               59,800      18,400       X      X 28-5284                      18400

  PARTNERRE LTD                COM           G6852T105         67,740       1,200       X        28-5284     1200

  PXRE GROUP LTD               COM           G73018106        347,294      12,430       X      X 28-5284    12430

  RENAISSANCE RE HLDGS LTD     COM           G7496G103        252,200       4,850       X        28-5284     4850
                                                               39,000         750       X      X 28-5284       50               700

  STEWART W P & CO LTD         COM           G84922106        259,200      12,999       X        28-5284     3999              9000
0                COLUMN TOTAL                              92,129,636
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 3 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  UTI WORLDWIDE INC            ORD           G87210103         62,622       1,400       X      X 28-5284                       1400

  HILFIGER TOMMY CORP          ORD           G8915Z102          2,686         158       X        28-5284      158

  TRANSOCEAN INC               ORD           G90078109      1,132,975      40,623       X        28-5284    15547             25076
                                                              738,750      26,488       X      X 28-5284    19232      1855    5401
                                                                3,235         116       X      X 28-1500      116

  GOLAR LNG LTD BERMUDA        SHS           G9456A100        136,170       9,000       X      X 28-5284     9000

  WEATHERFORD INTERNATIONAL LT COM           G95089101        107,597       2,560       X        28-5284     2560
                                                              195,103       4,642       X      X 28-5284     4000       642
                                                               20,385         485       X      X 28-1500      485

  WILLIS GROUP HOLDINGS LTD    SHS           G96655108        324,198       8,715       X        28-5284     8715
                                                              204,600       5,500       X      X 28-5284               4900     600

  XOMA LTD                     ORD           G9825R107         33,410       6,500       X        28-5284     2500              4000

  XL CAP LTD                   CL A          G98255105        381,341       5,015       X        28-5284     4615               400
                                                            1,011,332      13,300       X      X 28-5284    10700      2200     400

  ALCON INC                    COM SHS       H01301102         21,839         345       X        28-5284      345
                                                            1,025,460      16,200       X      X 28-5284    12100      4100

  UBS AG                       NAMEN AKT     H8920M855        487,910       6,550       X        28-5284     6550
                                                                6,928          93       X      X 28-5284       93

  CERAGON NETWORKS LTD         ORD           M22013102            631         100       X      X 28-5284      100

  CHECK POINT SOFTWARE TECH LT ORD           M22465104      5,477,495     240,769       X        28-5284   226359      7930    6480
                                                            2,521,633     110,841       X      X 28-5284    55740     50771    4330
                                                               42,179       1,854       X        28-4580     1854
                                                               72,959       3,207       X      X 28-4580     3007       200

  CLICKSOFTWARE TECHNOLOGIES L ORD           M25082104          1,985         500       X        28-5284      500

  LANOPTICS LTD                ORD           M6706C103          8,500       1,000       X      X 28-5284     1000

  TARO PHARMACEUTICAL INDS LTD ORD           M8737E108        759,669      13,100       X      X 28-5284    11100              2000

  ASML HLDG NV                 N Y SHS       N07059111          3,666         200       X        28-5284      200
0                COLUMN TOTAL                              14,785,258
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 4 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CNH GLOBAL N V               SHS NEW       N20935206         11,232         600       X        28-5284      600

  CORE LABORATORIES N V        COM           N22717107         40,810       1,925       X      X 28-5284                       1925
                                                               17,172         810       X      X 28-1500      810

  BANCO LATINOAMERICANO DE EXP CL E          P16994132        182,000      10,000       X      X 28-5284    10000

  KERZNER INTERNATIONAL LTD    SHS           P6065Y107         13,305         300       X        28-5284      300

  ROYAL CARIBBEAN CRUISES LTD  COM           V7780T103         44,100       1,000       X        28-5284                       1000
                                                               26,460         600       X      X 28-5284      400       200

  FLEXTRONICS INTL LTD         ORD           Y2573F102     36,991,168   2,164,492       X        28-5284  2017374     21770  125348
                                                            8,996,056     526,393       X      X 28-5284   313119    189254   24020
                                                              132,618       7,760       X        28-1500      100      7660
                                                              706,142      41,319       X        28-4580    39984              1335
                                                              147,606       8,637       X      X 28-4580     7299      1150     188

  GENERAL MARITIME CORP        SHS           Y2692M103          3,773         150       X      X 28-5284      150

  OMI CORP NEW                 COM           Y6476W104         25,626       2,240       X        28-5284      240              2000
                                                               91,520       8,000       X      X 28-1500     8000

  TEEKAY SHIPPING MARSHALL ISL COM           Y8564W103          9,370         136       X      X 28-5284      136

  AAR CORP                     COM           000361105         48,015       3,910       X      X 28-5284      210              3700

  ABB LTD                      SPONSORED
                                ADR          000375204          3,588         600       X        28-5284      600

  ABC BANCORP                  COM           000400101        170,730       9,000       X        28-1500     9000

  A C MOORE ARTS & CRAFTS INC  COM           00086T103         50,464       1,876       X      X 28-5284                600    1276

  A D C TELECOMMUNICATIONS     COM           000886101         24,314       8,384       X        28-5284     6784              1600
                                                               10,440       3,600       X      X 28-5284                       3600

  ACM INCOME FUND INC          COM           000912105        457,316      52,205       X        28-5284    52205
                                                               97,858      11,171       X      X 28-5284     7971      3200
                                                              244,492      27,910       X      X 28-1500    27910

  ACM MANAGED INCOME FD INC    COM           000919100          2,428         509       X      X 28-5284      509
0                COLUMN TOTAL                              48,548,603
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 5 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ABN AMRO HLDG NV             SPONSORED
                                ADR          000937102          5,204         232       X        28-5284      232
                                                               11,215         500       X      X 28-1500      500

  ACM MUN SECS INCOME FD INC   COM           000942102         13,893       1,100       X      X 28-5284     1100

  ACM MANAGED DLR INCOME FD    COM           000949107          1,371         160       X        28-5284      160

  ABM INDS INC                 COM           000957100          5,744         320       X        28-5284      320

  AFLAC INC                    COM           001055102      3,202,530      79,784       X        28-5284    51434             28350
                                                            6,642,568     165,485       X      X 28-5284    27260     27625  110600
                                                               44,154       1,100       X        28-1500               1100

  AGCO CORP                    COM           001084102        117,695       5,683       X      X 28-5284                       5683

  AGL RES INC                  COM           001204106         20,314         700       X        28-5284      100               600
                                                               10,157         350       X      X 28-5284      350
                                                               34,824       1,200       X      X 28-4580     1200

  AES CORP                     COM           00130H105        368,522      43,203       X        28-5284    42355               848
                                                              111,641      13,088       X      X 28-5284     5780       170    7138
                                                                3,412         400       X        28-4580      400

  AK STL HLDG CORP             COM           001547108         20,234       3,447       X        28-5284     3447
                                                              114,888      19,572       X      X 28-5284                      19572
                                                                1,462         249       X      X 28-1500      249
                                                               63,690      10,850       X                   10850

  AMB PROPERTY CORP            COM           00163T109         90,695       2,440       X      X 28-5284                       2440
                                                               22,116         595       X      X 28-4580      595

  AMR CORP                     COM           001765106          6,365         500       X        28-5284      500
                                                               80,836       6,350       X      X 28-5284      150              6200

  AT&T CORP                    COM NEW       001957505      2,467,268     126,074       X        28-5284   121550      2093    2431
                                                            1,657,462      84,694       X      X 28-5284    57892     20307    6495
                                                              584,869      29,886       X      X 28-1500    29886
                                                               63,309       3,235       X        28-4580     3235
                                                               60,021       3,067       X      X 28-4580     3067

  A S V INC                    COM           001963107         11,335         373       X      X 28-1500      373

  ASA LTD                      COM           002050102          5,369         124       X        28-5284      124
                                                            1,316,320      30,400       X      X 28-5284    30000       400
0                COLUMN TOTAL                              17,159,483
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 6 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AT&T WIRELESS SVCS INC       COM           00209A106        946,399      69,537       X        28-5284    64856       637    4044
                                                              971,210      71,360       X      X 28-5284    46000     20571    4789
                                                               29,153       2,142       X      X 28-1500     2142
                                                               88,356       6,492       X        28-4580     6492
                                                               29,398       2,160       X      X 28-4580     2160

  AU OPTRONICS CORP            SPONSORED
                                ADR          002255107         62,700       3,000       X        28-5284     3000
                                                               63,745       3,050       X      X 28-5284                       3050

  AVI BIOPHARMA INC            COM           002346104          1,515         500       X        28-5284      500

  AVX CORP NEW                 COM           002444107        171,991      10,430       X      X 28-5284                      10430

  AARON RENTS INC              COM           002535201          7,467         300       X        28-5284      300

  ABBOTT LABS                  COM           002824100    128,708,226   3,131,587       X        28-5284  2836074     41634  253879
                                                          112,178,422   2,729,402       X      X 28-5284  2025971    538986  164445
                                                              681,438      16,580       X        28-1500              16580
                                                            2,461,232      59,884       X        28-4580    58646              1238
                                                            2,979,668      72,498       X      X 28-4580    65468      7030

  ABER DIAMOND CORP            COM           002893105         58,830       1,850       X        28-5284      850              1000

  ABERCROMBIE & FITCH CO       CL A          002896207            271           8       X        28-5284        8
                                                            2,524,464      74,600       X      X 28-5284      400             74200

  ABBEY NATL PLC               GDR           002920809         13,855         500       X      X 28-5284      500

  ABERDEEN ASIA PACIFIC INCOM  COM           003009107         49,125       7,500       X        28-5284     6500              1000
                                                                3,275         500       X      X 28-5284      500
                                                                6,550       1,000       X      X 28-1500     1000

  ABERDEEN AUSTRALIA EQTY FD I COM           003011103          7,552         800       X        28-5284      800

  ABERDEEN GLOBAL INCOME FD IN COM           003013109         13,850       1,000       X        28-5284                       1000

  ABGENIX INC                  COM           00339B107         11,855         890       X      X 28-5284                        890

  ABIOMED INC                  COM           003654100         16,380       2,000       X        28-5284     2000
                                                              146,601      17,900       X      X 28-5284      200     17000     700

  ABITIBI-CONSOLIDATED INC     COM           003924107         62,392       8,800       X        28-5284     8800
0                COLUMN TOTAL                             252,295,920
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 7 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ACCREDITED HOME LENDRS HLDG  COM           00437P107          3,940         100       X      X 28-5284      100

  ACCREDO HEALTH INC           COM           00437V104         28,575         750       X        28-5284                750
                                                                1,638          43       X      X 28-5284        3                40

  ACTIVISION INC NEW           COM NEW       004930202        269,336      17,025       X        28-5284    17025
                                                               84,242       5,325       X      X 28-5284                       5325

  ACTIVE POWER INC             COM           00504W100         16,383       5,088       X      X 28-5284     5088

  ACTIVCARD CORP               COM           00506J107         26,488       4,300       X      X 28-5284                       4300

  ACUITY BRANDS INC            COM           00508Y102         12,059         505       X      X 28-5284      505

  ACXIOM CORP                  COM           005125109        540,216      24,600       X      X 28-5284                      24600

  ADAMS EXPRESS CO             COM           006212104         35,441       2,795       X        28-5284     2795
                                                              177,089      13,966       X      X 28-5284     1966     12000

  ADAPTEC INC                  COM           00651F108        111,252      12,700       X      X 28-5284     2700             10000
                                                               34,620       3,952       X        28-1500     3917        35

  ADECCO SA                    SPONSORED
                                ADR          006754105          1,522         110       X        28-5284      110
                                                                2,837         205       X      X 28-5284                        205

  ADOBE SYS INC                COM           00724F101         91,648       2,332       X        28-5284     2332
                                                              377,477       9,605       X      X 28-5284     7650       200    1755

  ADOLOR CORP                  COM           00724X102            994          66       X      X 28-5284       66

  ADTRAN INC                   COM           00738A106         89,339       2,975       X        28-5284     2975
                                                                  450          15       X        28-1500       15

  ADVANCE AUTO PARTS INC       COM           00751Y106         81,340       2,000       X      X 28-5284                       2000
                                                               16,268         400       X      X 28-1500      400

  ADVANCED DIGITAL INFORMATION COM           007525108          7,966         700       X        28-5284      700
                                                                7,966         700       X      X 28-5284                        700

  ADVANCED MAGNETICS INC       COM           00753P103         55,250       5,000       X        28-5284     5000

  ADVANCED MARKETING SVCS INC  COM           00753T105            990         100       X      X 28-5284      100
0                COLUMN TOTAL                               2,075,326
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 8 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ADVANCED FIBRE COMMUNICATION COM           00754A105        155,514       7,040       X      X 28-5284                       7040

  ADVANCED NEUROMODULATION SYS COM           00757T101         18,045         500       X      X 28-5284                500

  ADVO INC                     COM           007585102          6,444         200       X      X 28-1500      200

  ADVISORY BRD CO              COM           00762W107        102,760       2,800       X      X 28-5284                       2800

  ADVANCED MEDICAL OPTICS INC  COM           00763M108        126,856       5,199       X        28-5284     4816        11     372
                                                              129,832       5,321       X      X 28-5284      630      3580    1111
                                                                6,490         266       X        28-1500      266
                                                                2,708         111       X      X 28-1500      111
                                                                7,857         322       X      X 28-4580      322

  ADVENT CLAYMORE CV SECS & IN COM           00764C109          3,179         118       X        28-5284      118

  ADVANCIS PHARMACEUTICALS COR COM           00764L109         63,002       6,893       X      X 28-5284                       6893

  AEROPOSTALE                  COM           007865108        678,062      18,700       X      X 28-5284    18700

  ADVANCEPCS                   COM           00790K109              0       1,323       X      X 28-5284                       1323

  ADVANCED MICRO DEVICES INC   COM           007903107         87,317       5,380       X        28-5284     5380
                                                              225,597      13,900       X      X 28-5284     2950     10750     200

  AEGON N V                    ORD AMER
                                REG          007924103      4,398,285     342,279       X        28-5284   285289             56990
                                                            2,839,696     220,988       X      X 28-5284   206189      3964   10835
                                                               11,591         902       X        28-1500                902
                                                                2,005         156       X      X 28-4580                156

  ADVANTA CORP                 CL A          007942105        114,175       6,784       X        28-5284     6784

  ADVANTA CORP                 CL B          007942204      6,930,000     420,000       X        28-5284   420000

  ADVENT SOFTWARE INC          COM           007974108         94,427       5,055       X      X 28-5284                       5055

  AES TR III                   PFD CV
                                6.75%        00808N202         79,200       1,800       X        28-5284     1800
                                                               35,200         800       X      X 28-5284                800

  AETHER SYS INC               COM           00808V105          1,750         406       X      X 28-5284      406
0                COLUMN TOTAL                              16,119,992
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 9 OF 211                 FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AETNA INC NEW                COM           00817Y108        464,570       5,178       X        28-5284     2878              2300
                                                            1,813,421      20,212       X      X 28-5284    15380      4200     632
                                                               72,942         813       X      X 28-1500      813

  AFFILIATED COMPUTER SERVICES CL A          008190100         81,172       1,564       X        28-5284     1564
                                                              195,923       3,775       X      X 28-5284      800              2975
                                                               25,950         500       X      X 28-1500      500

  AFFILIATED MANAGERS GROUP    COM           008252108          4,094          75       X        28-5284       75
                                                                6,222         114       X      X 28-5284      114

  AFFYMETRIX INC               COM           00826T108         13,508         400       X      X 28-1500      400

  AGERE SYS INC                CL A          00845V100          3,354       1,045       X        28-5284     1010                35
                                                                3,412       1,063       X      X 28-5284      708       280      75
                                                                    3           1       X        28-1500                  1
                                                                  376         117       X        28-4580      117
                                                                   87          27       X      X 28-4580       27

  AGERE SYS INC                CL B          00845V209         47,758      15,307       X        28-5284    14238              1069
                                                              156,690      50,221       X      X 28-5284    40743      7350    2128
                                                                  240          77       X      X 28-1500       77
                                                                7,245       2,322       X        28-4580     2322
                                                                2,268         727       X      X 28-4580      727

  AGILENT TECHNOLOGIES INC     COM           00846U101      8,104,049     256,214       X        28-5284   248920       552    6742
                                                            4,151,564     131,254       X      X 28-5284    64895     55554   10805
                                                               12,178         385       X      X 28-1500      385
                                                               37,134       1,174       X        28-4580     1174
                                                            1,247,867      39,452       X      X 28-4580     5203             34249

  AGILYSYS INC                 COM           00847J105         24,759       2,100       X      X 28-5284                       2100

  AGNICO EAGLE MINES LTD       COM           008474108         65,543       4,390       X        28-5284     1290       500    2600
                                                                7,465         500       X      X 28-5284                500

  AIR PRODS & CHEMS INC        COM           009158106     13,875,522     276,846       X        28-5284   253501      1120   22225
                                                           13,773,778     274,816       X      X 28-5284   123480    102402   48934
                                                              240,576       4,800       X        28-1500     4800
                                                                4,260          85       X      X 28-1500       85
                                                              205,492       4,100       X        28-4580     4100
                                                              187,449       3,740       X      X 28-4580     3740
0                COLUMN TOTAL                              44,836,871
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 10 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AIRGAS INC                   COM           009363102        255,600      12,000       X        28-5284                      12000
                                                                6,390         300       X      X 28-5284      300

  AIRTRAN HLDGS INC            COM           00949P108         56,371       4,745       X        28-5284     4745

  AKAMAI TECHNOLOGIES INC      COM           00971T101        146,117      11,120       X        28-5284    11120

  AKZO NOBEL NV                SPONSORED
                                ADR          010199305          7,398         200       X      X 28-5284      200

  ALABAMA NATL BANCORP DELA    COM           010317105         27,755         500       X        28-5284                        500

  ALAMO GROUP INC              COM           011311107         20,868       1,200       X      X 28-5284                       1200

  ALASKA AIR GROUP INC         COM           011659109          2,466         100       X        28-5284                        100

  ALBANY MOLECULAR RESH INC    COM           012423109         84,304       5,658       X      X 28-5284                       5658

  ALBEMARLE CORP               COM           012653101         93,786       3,234       X        28-5284     2586               648

  ALBERTO CULVER CO            COM           013068101         77,299       1,762       X        28-5284      300      1462
                                                               26,322         600       X      X 28-5284      600

  ALBERTSONS INC               COM           013104104        620,222      28,001       X        28-5284    27601               400
                                                              650,368      29,362       X      X 28-5284    20231      3531    5600
                                                               88,600       4,000       X      X 28-1500     4000

  ALCAN INC                    COM           013716105        633,644      14,147       X        28-5284     6780       367    7000
                                                               41,699         931       X      X 28-5284      771               160

  ALCOA INC                    COM           013817101     17,618,704     507,890       X        28-5284   444464      4100   59326
                                                           14,917,637     430,027       X      X 28-5284   273574     90430   66023
                                                              102,509       2,955       X        28-1500               2955
                                                              128,041       3,691       X        28-4580     3691
                                                              100,219       2,889       X      X 28-4580     2419       470

  ALCATEL                      SPONSORED
                                ADR          013904305         11,967         755       X        28-5284      755
                                                                7,402         467       X      X 28-5284      467

  ALEXANDER & BALDWIN INC      COM           014482103          9,888         300       X        28-5284                        300
                                                              296,640       9,000       X      X 28-5284     9000

  ALEXANDRIA REAL ESTATE EQ IN COM           015271109        217,980       3,460       X      X 28-5284                       3460
0                COLUMN TOTAL                              36,250,196
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 11 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ALEXION PHARMACEUTICALS INC  COM           015351109          4,754         200       X      X 28-5284      200

  ALFA CORP                    COM           015385107          4,083         300       X        28-4580      300

  ALIGN TECHNOLOGY INC         COM           016255101        165,444       8,703       X        28-5284     8703

  ALKERMES INC                 COM           01642T108            640          40       X        28-5284       40
                                                               15,830         990       X      X 28-5284                        990
                                                                2,478         155       X      X 28-1500      155

  ALLEGHANY CORP DEL           COM           017175100     36,690,170     148,363       X      X 28-5284      593            147770

  ALLEGHENY ENERGY INC         COM           017361106        138,814      10,125       X        28-5284     9175               950
                                                              174,967      12,762       X      X 28-5284     7906      3856    1000
                                                                1,371         100       X      X 28-4580      100

  ALLEGHENY TECHNOLOGIES INC   COM           01741R102         12,100       1,000       X        28-5284     1000

  ALLEN ORGAN CO               CL B          017753104        110,400       2,300       X      X 28-5284               2300

  ALLERGAN INC                 COM           018490102     57,949,883     688,568       X        28-5284   588174      2911   97483
                                                           21,744,335     258,369       X      X 28-5284   215785     36151    6433
                                                              852,120      10,125       X        28-1500    10125
                                                              366,348       4,353       X      X 28-1500     4353
                                                              260,054       3,090       X        28-4580     3090
                                                              352,630       4,190       X      X 28-4580     4090       100

  ALLETE INC                   COM           018522102         72,987       2,080       X        28-5284     2080
                                                              580,950      16,556       X      X 28-5284     4466      9990    2100

  ALLIANCE ATLANTIS COMMUNICAT CL B
                                NON-VTG      01853E204         92,953       4,900       X      X 28-5284                       4900

  ALLIANCE CAP MGMT HLDG L P   UNIT LTD
                                PARTN        01855A101        849,123      23,074       X        28-5284    23074
                                                              217,120       5,900       X      X 28-5284     5200       700
                                                                3,680         100       X      X 28-4580      100

  ALLIANCE GAMING CORP         COM NEW       01859P609        131,733       4,100       X      X 28-5284                       4100

  ALLIANCE RES PARTNER L P     UT LTD
                                PART         01877R108        124,000       3,100       X        28-5284     3100

  ALLIANCE WORLD DLR GV FD II  COM           01879R106         81,527       6,315       X        28-5284     6315
0                COLUMN TOTAL                             121,000,494
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 12 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ALLIANCE WORLD DLR GV FD INC COM           018796102         26,200       2,000       X        28-5284     2000
                                                               53,422       4,078       X      X 28-5284     4078

  ALLIANT ENERGY CORP          COM           018802108         72,369       2,777       X        28-5284     1527              1250
                                                               73,541       2,822       X      X 28-5284      922       600    1300

  ALLIANT TECHSYSTEMS INC      COM           018804104        146,499       2,693       X        28-5284     2693
                                                              126,099       2,318       X      X 28-5284     1118              1200

  ALLIED CAP CORP NEW          COM           01903Q108        151,450       5,000       X        28-5284     4600       400
                                                              720,629      23,791       X      X 28-5284    12513      4790    6488
                                                               15,145         500       X      X 28-1500      500
                                                               30,290       1,000       X      X 28-4580     1000

  ALLIED IRISH BKS P L C       SPON ADR
                                ORD          019228402      1,179,461      39,381       X        28-5284    39381
                                                              471,114      15,730       X      X 28-5284               7500    8230

  ALLIED WASTE INDS INC        COM
                               PAR$.01NEW    019589308        113,534       8,530       X      X 28-5284                       8530

  ALLMERICA FINL CORP          COM           019754100        346,778      10,037       X        28-5284     6946      1091    2000
                                                               93,492       2,706       X      X 28-5284      746              1960

  ALLMERICA SECS TR            SH BEN INT    019921105         42,944       4,400       X      X 28-5284               4400

  ALLSTATE CORP                COM           020002101     21,915,175     482,076       X        28-5284   396958     10830   74288
                                                           23,566,600     518,403       X      X 28-5284   258674    240054   19675
                                                               63,644       1,400       X        28-1500     1400
                                                               91,511       2,013       X      X 28-1500     2013
                                                              551,748      12,137       X        28-4580    12137
                                                              169,202       3,722       X      X 28-4580     3352       370

  ALLTEL CORP                  COM           020039103     41,273,099     827,282       X        28-5284   762731     12700   51851
                                                           20,184,446     404,579       X      X 28-5284   227995    133476   43108
                                                               54,131       1,085       X      X 28-1500     1085
                                                              448,411       8,988       X        28-4580     8703               285
                                                              172,420       3,456       X      X 28-4580     3276       180

  ALLTEL CORP                  PFD C CV
                                $2.06        020039509         14,250          50       X      X 28-5284       50

  ALLTEL CORP                  CORP UNT
                                7.75%        020039822         35,504         700       X      X 28-5284                700

  ALMOST FAMILY INC            COM           020409108          6,336         792       X        28-1500      792
0                COLUMN TOTAL                             112,209,444
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 13 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ALPHARMA INC                 CL A          020813101          3,922         200       X        28-5284      200
                                                                3,804         194       X      X 28-5284      194

  ALTANA AKTIENGESELLSCHAFT    SPONSORED
                                ADR          02143N103          6,226         100       X      X 28-5284      100

  ALTEON INC                   COM           02144G107         25,200      14,000       X      X 28-1500    14000

  ALTERA CORP                  COM           021441100         73,523       3,590       X        28-5284     3590
                                                               70,246       3,430       X      X 28-5284       30       800    2600
                                                                2,703         132       X      X 28-1500      132
                                                              566,682      27,670       X                   27670

  ALTRIA GROUP INC             COM           02209S103     82,258,323   1,510,713       X        28-5284  1083797     39441  387475
                                                          226,428,201   4,158,461       X      X 28-5284  3706046    390604   61811
                                                              451,499       8,292       X        28-1500               8292
                                                            5,202,698      95,550       X        28-4580    80350             15200
                                                            1,314,369      24,139       X      X 28-4580    20839       900    2400

  AMAZON COM INC               COM           023135106      1,526,529      35,271       X        28-5284    35271
                                                              520,226      12,020       X      X 28-5284    11150       450     420

  AMBAC FINL GROUP INC         COM           023139108        384,763       5,215       X        28-5284     5215
                                                              768,050      10,410       X      X 28-5284      575      2250    7585

  AMCOL INTL CORP              COM           02341W103         64,565       3,700       X      X 28-5284                       3700

  AMERADA HESS CORP            COM           023551104      1,525,137      23,363       X        28-5284    23363
                                                              850,533      13,029       X      X 28-5284     4522       892    7615
                                                                2,938          45       X        28-4580       45

  AMEREN CORP                  COM           023608102        421,954       9,155       X        28-5284     6355       250    2550
                                                              628,622      13,639       X      X 28-5284    10984      2655
                                                              158,089       3,430       X      X 28-1500     3430

  AMERIANA BANCORP             COM           023613102        179,105      10,868       X      X 28-5284                      10868

  AMERICA SVC GROUP INC        COM           02364L109         56,904       1,659       X      X 28-5284                       1659

  AMERICA MOVIL S A DE C V     SPON ADR L
                                SHS          02364W105        219,609       5,682       X        28-5284     5682

  AMERICA MOVIL S A DE C V     SPON ADR A
                                SHS          02364W204         40,871       1,048       X        28-5284     1048

  AMERICA FIRST REAL ESTATE IN UNIT LTD
                                PARTN        02364Y101          5,088         571       X        28-5284      571
0                COLUMN TOTAL                             323,760,379
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 14 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AMERICAN AXLE & MFG HLDGS IN COM           024061103          7,370         200       X        28-5284      200
                                                              189,593       5,145       X      X 28-5284       80              5065

  AMERICAN CAPITAL STRATEGIES  COM           024937104        279,216       8,400       X        28-5284     8400
                                                              199,440       6,000       X      X 28-5284     3500      2500
                                                               31,877         959       X        28-1500       79       880

  AMERICAN EAGLE OUTFITTERS NE COM           02553E106         21,668         804       X        28-5284      804
                                                                4,716         175       X      X 28-5284      175
                                                               39,078       1,450       X        28-1500     1450

  AMERICAN ECOLOGY CORP        COM NEW       025533407         89,207      10,385       X      X 28-1500    10385

  AMERICAN ELEC PWR INC        COM           025537101      1,888,423      57,364       X        28-5284    55718       600    1046
                                                            1,505,267      45,725       X      X 28-5284    21153     22452    2120
                                                              182,377       5,540       X        28-1500               5540
                                                               63,601       1,932       X        28-4580     1432               500
                                                              132,997       4,040       X      X 28-4580     3198       300     542

  AMERICAN EXPRESS CO          COM           025816109     42,076,068     811,496       X        28-5284   657615     61666   92215
                                                           21,908,803     422,542       X      X 28-5284   214244    156451   51847
                                                              514,767       9,928       X        28-1500     9753       175
                                                               96,130       1,854       X        28-4580     1854
                                                            1,057,740      20,400       X      X 28-4580    19950       450

  AMERICAN FINL GROUP INC OHIO COM           025932104         56,200       1,884       X        28-5284      418      1466
                                                                3,580         120       X      X 28-5284      120
                                                                5,966         200       X      X 28-1500      200

  AMERICAN FINL RLTY TR        COM           02607P305         16,950       1,000       X        28-5284     1000
                                                              100,514       5,930       X      X 28-5284     2000              3930

  AMERICAN GREETINGS CORP      CL A          026375105         35,521       1,560       X      X 28-5284      160       200    1200

  AMERICAN HEALTHWAYS INC      COM           02649V104         12,200         500       X      X 28-5284                        500
                                                                4,880         200       X      X 28-1500      200

  AMERICAN HOME MTG INVT CORP  COM           02660R107          2,880         100       X      X 28-5284      100

  AMERICAN INCOME FD INC       COM           02672T109         58,713       6,710       X      X 28-1500     6710

  AMERICAN INSD MTG-INVS L P 8 DEPOSITARY
                                UNI          02686E106          4,378       1,489       X        28-5284     1489
0                COLUMN TOTAL                              70,590,120
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 15 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AMERICAN INTL GROUP INC      COM           026874107    243,771,627   3,416,561       X        28-5284  2769818     38564  608179
                                                          136,500,113   1,913,106       X      X 28-5284  1395362    313307  204437
                                                            4,175,045      58,515       X        28-1500    32438     26077
                                                            1,740,155      24,389       X        28-4580    24389
                                                            3,495,722      48,994       X      X 28-4580    46739      2255

  AMERICAN ISRAELI PAPER MLS L ORD IS 10     027069509         91,949       1,719       X        28-5284     1719
                                                               16,047         300       X      X 28-5284      300

  AMERICAN ITALIAN PASTA CO    CL A          027070101         87,846       2,200       X      X 28-5284                       2200

  AMERICAN LD LEASE INC        COM           027118108          1,246          61       X      X 28-5284       61

  AMERICAN LOCKER GROUP        COM           027284108        115,920      10,500       X        28-5284    10500

  AMERICAN MGMT SYS INC        COM           027352103         57,540       3,000       X      X 28-5284                       3000

  AMERICAN MED SEC GROUP INC   COM           02744P101         36,272       1,358       X      X 28-5284                       1358

  AMERICAN MTG ACCEP CO        SH BEN INT    027568104          4,513         250       X      X 28-5284                        250

  AMERICAN NATL INS CO         COM           028591105         17,898         200       X      X 28-5284      200

  AMERICAN PAC CORP            COM           028740108          1,434         180       X        28-5284      180

  AMERICAN PHARMACEUTICALS PTN COM           02886P109        637,840      13,600       X      X 28-5284      600             13000

  AMERICAN PWR CONVERSION CORP COM           029066107         98,443       4,282       X        28-5284     4282
                                                              587,486      25,554       X      X 28-5284     2544             23010

  AMERICAN SELECT PORTFOLIO IN COM           029570108          6,350         450       X      X 28-1500      450

  AMERICAN SOFTWARE INC        CL A          029683109         10,720       1,600       X      X 28-5284     1600

  AMERICAN STD COS INC DEL     COM           029712106        449,881       3,955       X        28-5284     3955
                                                              864,500       7,600       X      X 28-5284     6700               900

  AMERICAN TOWER CORP          CL A          029912201         17,025       1,500       X      X 28-5284                       1500

  AMERICAN STRATEGIC INCOME II COM           03009T101          8,161         615       X      X 28-1500      615

  AMERICAN STRATEGIC INCM PTFL COM           030098107         15,390       1,140       X      X 28-1500     1140
0                COLUMN TOTAL                             392,809,123
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 16 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AMERN STRATEGIC INCOME PTFL  COM           030099105            867          62       X        28-5284       62

  AMERICAN SUPERCONDUCTOR CORP COM           030111108         39,804       3,100       X        28-5284     3100

  AMERICAN TECHNOLOGY CORP     COM NEW       030145205         29,750       5,000       X        28-5284     5000

  AMERICAN WOODMARK CORP       COM           030506109          4,918          74       X      X 28-5284       74

  AMERICREDIT CORP             COM           03060R101      1,294,706      76,025       X      X 28-5284    12450             63575

  AMERIVEST PPTYS INC DEL      COM           03071L101          1,283         190       X        28-5284      190
                                                               68,081      10,086       X      X 28-1500    10086

  AMERUS GROUP CO              COM           03072M108        203,566       5,045       X        28-5284      774              4271
                                                               54,674       1,355       X      X 28-5284      455               900

  AMERISOURCEBERGEN CORP       COM           03073E105         28,106         514       X        28-5284      214               300
                                                               60,148       1,100       X      X 28-5284      715               385

  AMERIGROUP CORP              COM           03073T102        274,200       6,000       X      X 28-5284     6000

  AMERISERV FINL INC           COM           03074A102        104,127      17,070       X        28-5284    17070
                                                               18,300       3,000       X      X 28-5284     3000

  AMERIGAS PARTNERS L P        UNIT L P
                                INT          030975106         76,544       2,560       X        28-5284     2560
                                                               64,285       2,150       X      X 28-5284     2150
                                                              168,636       5,640       X      X 28-1500     5640

  AMETEK INC NEW               COM           031100100         15,384         600       X        28-5284      600
                                                              205,120       8,000       X      X 28-5284     6800              1200

  AMGEN INC                    COM           031162100     69,572,753   1,196,436       X        28-5284   987613      9657  199166
                                                           35,188,426     605,132       X      X 28-5284   444285    105106   55741
                                                              335,409       5,768       X      X 28-1500     5768
                                                            1,243,014      21,376       X        28-4580    20793               583
                                                            1,492,303      25,663       X      X 28-4580    16213      9450

  AMKOR TECHNOLOGY INC         COM           031652100        101,166       6,915       X      X 28-5284                       6915

  AMPAL AMERN ISRAEL CORP      PFD CV
                                6.50%        032015307         35,268       3,566       X        28-5284     3566

  AMPCO-PITTSBURGH CORP        COM           032037103          2,582         200       X      X 28-5284      200
0                COLUMN TOTAL                             110,683,420
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 17 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AMPHENOL CORP NEW            CL A          032095101        157,172       5,292       X        28-5284     5292
                                                              357,291      12,030       X      X 28-5284                      12030

  AMSOUTH BANCORPORATION       COM           032165102      3,479,974     148,021       X        28-5284   140982              7039
                                                              136,358       5,800       X      X 28-5284     5800
                                                               99,330       4,225       X        28-1500               4225

  AMSURG CORP                  COM           03232P405         25,549       1,125       X        28-5284     1125
                                                               59,614       2,625       X      X 28-5284     2625
                                                                5,110         225       X      X 28-1500      225

  AMYLIN PHARMACEUTICALS INC   COM           032346108         16,583         700       X        28-5284      700
                                                               71,781       3,030       X      X 28-5284                       3030
                                                              142,140       6,000       X      X 28-1500     6000

  ANADARKO PETE CORP           COM           032511107      5,768,025     111,223       X        28-5284   109032              2191
                                                            3,562,678      68,698       X      X 28-5284    36119     26445    6134
                                                               93,348       1,800       X        28-1500     1400       400
                                                               75,456       1,455       X        28-4580     1455
                                                               11,928         230       X      X 28-4580       30       200

  ANALOG DEVICES INC           COM           032654105     31,639,790     659,025       X        28-5284   626323      8443   24259
                                                            8,199,484     170,787       X      X 28-5284    58720     39907   72160
                                                               14,403         300       X      X 28-1500      300
                                                              561,141      11,688       X        28-4580    11298               390
                                                               89,011       1,854       X      X 28-4580     1854

  ANALOGIC CORP                COM PAR
                                $0.05        032657207         31,843         700       X      X 28-5284                        700

  ANAREN INC                   COM           032744104         55,510       3,500       X      X 28-5284                       3500

  ANDERSONS INC                COM           034164103        142,034       7,555       X      X 28-1500     7555

  ANDREW CORP                  COM           034425108        265,510      15,172       X      X 28-5284     1700             13472

  ANDRX CORP DEL               ANDRX
                                GROUP        034553107          4,406         162       X        28-5284      162

  ANGELICA CORP                COM           034663104         31,962       1,400       X      X 28-5284                       1400

  ANGLO AMERN PLC              ADR           03485P102         28,759       1,184       X        28-5284      792       392
                                                              801,789      33,009       X      X 28-5284    31829      1180
0                COLUMN TOTAL                              55,927,979
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 18 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ANGLOGOLD LTD                SPONSORED
                                ADR          035128206         28,532         675       X        28-5284      675
                                                               48,991       1,159       X      X 28-5284     1159

  ANHEUSER BUSCH COS INC       COM           035229103     77,532,648   1,520,248       X        28-5284  1385804     22028  112416
                                                           60,354,726   1,183,426       X      X 28-5284   366765    221919  594742
                                                              265,914       5,214       X        28-1500     4800       414
                                                            1,324,266      25,966       X        28-4580    25775               191
                                                            1,153,263      22,613       X      X 28-4580    21606       790     217

  ANIKA THERAPEUTICS INC       COM           035255108          2,487         300       X        28-5284      300

  ANIXTER INTL INC             COM           035290105          7,967         282       X        28-5284      282
                                                               98,875       3,500       X      X 28-5284                       3500

  ANNALY MTG MGMT INC          COM           035710409         93,840       4,800       X        28-5284     4700               100
                                                              136,850       7,000       X      X 28-5284               7000
                                                                8,016         410       X      X 28-1500      410

  ANNTAYLOR STORES CORP        COM           036115103          4,280         100       X        28-5284      100
                                                                8,560         200       X      X 28-5284      200

  ANSYS INC                    COM           03662Q105        122,240       3,076       X      X 28-5284       76              3000

  ANTHEM INC                   COM           03674B104        773,431       8,533       X        28-5284     8249               284
                                                              228,413       2,520       X      X 28-5284      135       415    1970
                                                               75,412         832       X        28-1500                832

  ANTEON INTL CORP             COM           03674E108         20,801         720       X      X 28-5284      120               600

  ANTHRACITE CAP INC           COM           037023108         31,825       2,500       X        28-5284     2500
                                                                6,365         500       X      X 28-5284                500
                                                               11,457         900       X      X 28-1500      900
                                                            3,004,942     236,052       X                  236052

  ANTIGENICS INC DEL           COM           037032109          5,330         500       X        28-5284      500
                                                               10,660       1,000       X      X 28-5284                       1000

  ANWORTH MORTGAGE ASSET CP    COM           037347101         37,692       2,700       X        28-5284     1700              1000
                                                               27,920       2,000       X      X 28-5284               2000
                                                               11,168         800       X      X 28-1500      800
                                                               41,880       3,000       X        28-4580     3000

  AON CORP                     COM           037389103        733,475      26,280       X        28-5284    23580              2700
                                                            1,134,876      40,662       X      X 28-5284    36950              3712
0                COLUMN TOTAL                             147,347,102
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 19 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  APACHE CORP                  COM           037411105      3,462,320      80,202       X        28-5284    77118              3084
                                                            4,292,307      99,428       X      X 28-5284    81468      2960   15000
                                                              418,317       9,690       X      X 28-1500     9690
                                                               14,462         335       X        28-4580      335

  APARTMENT INVT & MGMT CO     CL A          03748R101          3,016          97       X        28-5284       97
                                                               68,989       2,219       X      X 28-5284      243              1976

  APARTMENT INVT & MGMT CO     PFD CV P
                                $.01         03748R861         28,591       1,145       X        28-5284     1145
                                                                5,119         205       X      X 28-5284      205

  APOGENT TECHNOLOGIES INC     COM           03760A101        235,469       7,675       X        28-5284     5675              2000
                                                                3,068         100       X      X 28-5284      100

  APOLLO GROUP INC             CL A          037604105      1,261,382      14,640       X        28-5284    14640
                                                              855,741       9,932       X      X 28-5284     9700       200      32
                                                               89,176       1,035       X      X 28-1500     1035
                                                                5,428          63       X      X 28-4580       63

  APOLLO GROUP INC             COM UNV
                                PHOENX       037604204          5,656          65       X      X 28-4580       65

  APPLE COMPUTER INC           COM           037833100        287,030      10,615       X        28-5284     9615              1000
                                                              509,434      18,840       X      X 28-5284     5800     11800    1240
                                                               27,040       1,000       X        28-4580     1000

  APPLEBEES INTL INC           COM           037899101        149,640       3,625       X        28-5284     2250              1375
                                                              784,320      19,000       X      X 28-5284    18100       200     700

  APRIA HEALTHCARE GROUP INC   COM           037933108          5,988         200       X        28-5284      200

  APPLERA CORP                 COM AP
                                BIO GRP      038020103      1,825,912      92,311       X        28-5284    92311
                                                              396,095      20,025       X      X 28-5284    14825      5200

  APPLERA CORP                 COM CE
                                GEN GRP      038020202         42,413       2,923       X        28-5284     2923
                                                               13,277         915       X      X 28-5284      515       400

  APPLIED DIGITAL SOLUTIONS    COM           038188108              0           1       X        28-5284        1
                                                                  405       1,500       X      X 28-5284     1500

  APPLIED FILMS CORP           COM           038197109        103,637       3,700       X      X 28-5284                       3700

  APPLIED MICRO CIRCUITS CORP  COM           03822W109          1,633         286       X        28-5284      286
                                                                  571         100       X      X 28-1500      100
0                COLUMN TOTAL                              14,896,436
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 20 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  APPLIED MATLS INC            COM           038222105     30,792,948   1,443,645       X        28-5284  1107489      5670  330486
                                                           10,479,173     491,288       X      X 28-5284   246364    180891   64033
                                                            1,341,401      62,888       X        28-1500     9954     52934
                                                               10,025         470       X        28-4580      470
                                                               30,075       1,410       X      X 28-4580      700       710

  APPLIED SIGNAL TECHNOLOGY IN COM           038237103         41,130       1,500       X      X 28-5284                       1500

  APTARGROUP INC               COM           038336103         42,240       1,100       X      X 28-5284                       1100

  AQUA AMERICA INC             COM           03836W103      1,485,123      68,502       X        28-5284    64727      3775
                                                            2,363,749     109,029       X      X 28-5284    49795     57984    1250
                                                              429,481      19,810       X      X 28-1500    19810

  AQUILA INC                   COM           03840P102         26,197       5,562       X      X 28-5284     3899      1663

  ARADIGM CORP                 COM           038505103          2,350       1,000       X        28-5284     1000

  ARAMARK CORP                 CL B          038521100     13,307,582     485,501       X        28-5284   485501
                                                              164,460       6,000       X      X 28-5284               1000    5000

  ARBITRON INC                 COM           03875Q108        108,702       2,700       X      X 28-5284                       2700

  ARCH CHEMICALS INC           COM           03937R102         42,176       1,494       X        28-5284     1494
                                                              206,051       7,299       X      X 28-5284     6817       275     207

  ARCH COAL INC                COM           039380100         33,619       1,071       X        28-5284     1071
                                                               25,112         800       X      X 28-5284                        800

  ARCHER DANIELS MIDLAND CO    COM           039483102      1,427,708      84,630       X        28-5284    83788               842
                                                            1,035,548      61,384       X      X 28-5284    44991      9621    6772

  ARCHSTONE SMITH TR           COM           039583109        205,449       6,962       X        28-5284     5962              1000
                                                            3,631,973     123,076       X      X 28-5284     2600     10031  110445
                                                               14,755         500       X      X 28-1500      500

  ARCTIC CAT INC               COM           039670104          3,832         151       X      X 28-5284      151

  ARDEN RLTY INC               COM           039793104        355,630      11,000       X      X 28-5284    10000              1000

  ARGONAUT GROUP INC           COM           040157109          2,587         135       X        28-5284      135
                                                                9,580         500       X      X 28-5284                        500
0                COLUMN TOTAL                              67,618,656
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 21 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ARGOSY GAMING CO             COM           040228108          3,555         100       X        28-5284      100
                                                                5,084         143       X      X 28-5284      143

  ARIAD PHARMACEUTICALS INC    COM           04033A100          8,595         900       X        28-5284      900
                                                                9,550       1,000       X      X 28-1500     1000

  ARIBA INC                    COM           04033V104          8,547       3,020       X        28-5284     3020
                                                                1,132         400       X      X 28-5284      400
                                                               12,647       4,469       X        28-1500     3969       500

  ARKANSAS BEST CORP DEL       COM           040790107          6,663         250       X        28-5284      250
                                                                2,665         100       X      X 28-5284      100

  ARMOR HOLDINGS INC           COM           042260109          9,930         300       X        28-5284                        300
                                                              208,530       6,300       X      X 28-5284     5000              1300

  AROTECH CORP                 COM           042682104          5,730       3,000       X        28-5284     3000

  ARQULE INC                   COM           04269E107          2,970         500       X      X 28-5284      500

  ARRIS GROUP INC              COM           04269Q100         31,990       3,500       X      X 28-5284     3500

  ARRHYTHMIA RESH TECHNOLOGY I COM PAR
                                $0.01        042698308          4,270         200       X      X 28-5284      200

  ARROW ELECTRS INC            COM           042735100         26,377       1,036       X        28-5284     1036
                                                               81,472       3,200       X      X 28-5284                       3200

  ARTISAN COMPONENTS INC       COM           042923102        142,656       6,400       X      X 28-5284                       6400

  ARTESIAN RESOURCES CORP      CL A          043113208         56,460       2,000       X        28-5284      500              1500
                                                               21,173         750       X      X 28-5284      750
                                                               79,383       2,812       X        28-1500     1612      1200

  ARTESYN TECHNOLOGIES INC     COM           043127109      1,238,714     130,117       X        28-5284   130117

  ARVINMERITOR INC             COM           043353101         62,326       3,143       X        28-5284     3143
                                                               29,388       1,482       X      X 28-5284       35      1447

  ASCENTIAL SOFTWARE CORP      COM NEW       04362P207         21,820       1,000       X        28-5284     1000

  ASHLAND INC                  COM           044204105        379,730       8,168       X        28-5284     2960              5208
                                                              139,935       3,010       X      X 28-5284      659       767    1584
0                COLUMN TOTAL                               2,601,292
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 22 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ASIA TIGERS FD INC           COM           04516T105         10,780       1,000       X      X 28-5284     1000

  ASK JEEVES INC               COM           045174109        121,839       3,410       X      X 28-5284                       3410

  ASSOCIATED BANC CORP         COM           045487105         25,799         576       X        28-5284                        576

  ASTORIA FINL CORP            COM           046265104        314,888       8,280       X      X 28-5284     4000              4280

  ASTRAZENECA PLC              SPONSORED
                                ADR          046353108         31,309         670       X        28-5284      670
                                                               51,403       1,100       X      X 28-5284     1100
                                                              144,863       3,100       X      X 28-1500     3100

  ATHEROS COMMUNICATIONS INC   COM           04743P108         25,905       1,500       X        28-4580     1500

  ATLANTIC COAST AIRLINES HLDG COM           048396105         16,537       2,300       X      X 28-5284                       2300

  ATLANTIC RLTY TR             SH BEN INT    048798102          1,146          65       X        28-5284       65

  ATLANTIS PLASTICS INC        COM           049156102         34,875       2,250       X        28-5284     2250

  ATLAS PIPELINE PARTNERS LP   UNIT L P
                                INT          049392103          4,003         100       X      X 28-5284                100

  ATMEL CORP                   COM           049513104          3,900         600       X        28-5284      600
                                                              624,000      96,000       X      X 28-5284     1000     95000

  ATMOS ENERGY CORP            COM           049560105        799,702      31,275       X        28-5284    26275              5000
                                                               15,342         600       X      X 28-5284                600

  ATRIX LABS INC               COM           04962L101         68,850       2,700       X      X 28-5284                       2700

  ATRION CORP                  COM           049904105         81,726       2,056       X        28-1500     2056

  AUGUST TECHNOLOGY CORP       COM           05106U105         36,839       2,451       X      X 28-5284                       2451

  AUSTRALIA&NEW ZEALAND BKG GR SPONSORED
                                ADR          052528304         14,460         200       X        28-5284      200

  AUTHENTIDATE HLDG CORP       COM           052666104         13,360       1,000       X        28-5284     1000
                                                                2,672         200       X      X 28-1500      200

  AUTODESK INC                 COM           052769106         66,948       2,124       X        28-5284     2124
                                                              340,258      10,795       X      X 28-5284      400             10395
0                COLUMN TOTAL                               2,851,404
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 23 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AUTOLIV INC                  COM           052800109        301,227       7,347       X        28-5284     7347
                                                              276,914       6,754       X      X 28-5284     2189       285    4280

  AUTOMATIC DATA PROCESSING IN COM           053015103     95,994,990   2,285,595       X        28-5284  1807117     34413  444065
                                                           50,990,394   1,214,057       X      X 28-5284   967697    180252   66108
                                                            2,507,736      59,708       X        28-1500    44116     15592
                                                              271,950       6,475       X        28-4580     6475
                                                            1,929,942      45,951       X      X 28-4580    19401             26550

  AUTONOMY CORP PLC            ADR NEW       05329Q204          9,612         400       X        28-5284      400
                                                                  288          12       X        28-4580       12

  AUTONATION INC               COM           05329W102         17,050       1,000       X        28-5284     1000

  AUTOZONE INC                 COM           053332102      1,375,262      15,997       X        28-5284    15997
                                                              162,741       1,893       X      X 28-5284     1100               793

  AVALON HLDGS CORP            CL A          05343P109            150          50       X      X 28-5284       50

  AVANEX CORP                  COM           05348W109          2,592         600       X        28-5284      600

  AVALONBAY CMNTYS INC         COM           053484101         97,516       1,820       X      X 28-5284                       1820

  AVANT IMMUNOTHERAPEUTICS INC COM           053491106          1,305         500       X        28-5284      500

  AVAYA INC                    COM           053499109         82,655       5,205       X        28-5284     4835               370
                                                              153,258       9,651       X      X 28-5284     3653      4581    1417
                                                                  397          25       X      X 28-1500       25
                                                                7,368         464       X        28-4580      464
                                                                2,239         141       X      X 28-4580      141

  AVENTIS                      SPONSORED
                                ADR          053561106         47,294         615       X        28-5284      115               500
                                                               86,897       1,130       X      X 28-5284      130              1000
                                                               13,842         180       X      X 28-1500      180

  AVERY DENNISON CORP          COM           053611109     16,676,013     268,060       X        28-5284   255375      1025   11660
                                                            3,042,193      48,902       X      X 28-5284    28353     16499    4050
                                                               15,553         250       X        28-4580      250
                                                               62,210       1,000       X      X 28-4580     1000

  AVIALL INC NEW               COM           05366B102         25,840       1,700       X      X 28-5284     1700
0                COLUMN TOTAL                             174,155,428
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 24 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  AVID TECHNOLOGY INC          COM           05367P100         36,443         790       X        28-5284      790
                                                              109,328       2,370       X      X 28-5284               2370

  AVISTA CORP                  COM           05379B107         12,260         648       X      X 28-5284      648

  AVOCENT CORP                 COM           053893103        182,358       4,950       X        28-5284     4950
                                                               82,890       2,250       X      X 28-5284                       2250

  AVON PRODS INC               COM           054303102      7,819,845     103,069       X        28-5284    63179       300   39590
                                                            5,605,655      73,885       X      X 28-5284    16095       400   57390
                                                               30,348         400       X        28-1500      400

  AWARE INC MASS               COM           05453N100          1,975         500       X        28-5284      500

  AXA                          SPONSORED
                                ADR          054536107         47,311       2,254       X        28-5284     1954               300
                                                               12,384         590       X      X 28-5284                590
                                                               46,178       2,200       X      X 28-1500     2200

  AXCELIS TECHNOLOGIES INC     COM           054540109         68,788       6,186       X        28-5284     5951       235
                                                              130,137      11,703       X      X 28-5284     3456      8247

  BB&T CORP                    COM           054937107     11,487,503     325,425       X        28-5284   318853              6572
                                                            2,426,840      68,749       X      X 28-5284    61122      5187    2440
                                                               46,525       1,318       X        28-1500               1318
                                                              123,550       3,500       X        28-4580     3500
                                                               17,650         500       X      X 28-4580      500

  AXEDA SYSTEMS INC            COM           054959101            987         931       X      X 28-5284      931

  B A S F  A G                 SPONSORED
                                ADR          055262505          1,737          34       X        28-5284       34

  BCE INC                      COM           05534B109         14,721         700       X        28-5284      700
                                                              113,562       5,400       X      X 28-5284     5400

  BG PLC                       ADR FIN
                                INST N       055434203         23,912         784       X        28-5284      784

  BISYS GROUP INC              NOTE
                                4.000% 3     055472AB0        502,500       5,000       X      X 28-5284     5000

  BISYS GROUP INC              COM           055472104          9,687         578       X        28-5284      578
                                                                2,095         125       X      X 28-5284      125
                                                               16,408         979       X      X 28-1500      979

  BKF CAP GROUP INC            COM           05548G102          3,535         137       X        28-5284      137
0                COLUMN TOTAL                              28,977,112
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 25 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BJS WHOLESALE CLUB INC       COM           05548J106      1,270,439      49,919       X        28-5284    49919
                                                              249,792       9,815       X      X 28-5284     1790      6225    1800
                                                                5,090         200       X        28-4580      200
                                                                2,545         100       X      X 28-4580                100

  BJ SVCS CO                   COM           055482103        138,551       3,202       X        28-5284     3202
                                                              144,305       3,335       X      X 28-5284                       3335
                                                                2,856          66       X      X 28-1500       66

  BP PLC                       SPONSORED
                                ADR          055622104    112,962,714   2,206,303       X        28-5284  1978505     63707  164091
                                                          171,652,813   3,352,594       X      X 28-5284  1190708    781378 1380508
                                                              437,555       8,546       X        28-1500               8546
                                                            3,063,296      59,830       X        28-4580    59358               472
                                                            7,631,718     149,057       X      X 28-4580    97241      2852   48964

  BP PRUDHOE BAY RTY TR        UNIT BEN
                                INT          055630107         69,345       2,300       X        28-5284      300              2000
                                                               27,135         900       X      X 28-5284      400       500

  BRE PROPERTIES INC           CL A          05564E106         89,610       2,611       X        28-5284     2611
                                                              192,192       5,600       X      X 28-5284     4400      1200

  BRT RLTY TR                  SH BEN INT
                                NEW          055645303         21,474         900       X        28-5284      900

  BSB BANCORP                  COM           055652101         19,402         505       X        28-5284                        505
                                                               19,210         500       X      X 28-5284      500

  BT GROUP PLC                 ADR           05577E101          9,683         290       X        28-5284      290
                                                               36,729       1,100       X      X 28-5284     1100

  BMC SOFTWARE INC             COM           055921100        753,262      38,530       X        28-5284     1630             36900
                                                              265,196      13,565       X      X 28-5284     8300              5265
                                                                1,955         100       X        28-4580      100

  BAKER HUGHES INC             COM           057224107     11,777,787     322,856       X        28-5284   298851      2020   21985
                                                            4,486,164     122,976       X      X 28-5284    44263     14065   64648
                                                                3,757         103       X        28-1500                103
                                                              119,253       3,269       X        28-4580     3269
                                                               71,574       1,962       X      X 28-4580     1662       300

  BALDOR ELEC CO               COM           057741100          6,205         270       X      X 28-5284      270
0                COLUMN TOTAL                             315,531,607
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 26 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BALL CORP                    COM           058498106     25,189,624     371,638       X        28-5284   347891      4514   19233
                                                            5,366,075      79,169       X      X 28-5284    40545     36545    2079
                                                              559,321       8,252       X        28-4580     8003               249
                                                              149,387       2,204       X      X 28-4580     2204

  BALLARD PWR SYS INC          COM           05858H104          7,746         801       X        28-5284      276       525
                                                               16,923       1,750       X      X 28-5284     1750
                                                               19,340       2,000       X      X 28-4580                       2000

  BALLY TOTAL FITNESS HLDG COR COM           05873K108          1,758         300       X        28-5284      300
                                                               27,396       4,675       X      X 28-5284                       4675

  BANCFIRST CORP               COM           05945F103         16,632         300       X      X 28-5284                        300

  BANCO BILBAO VIZCAYA ARGENTA SPONSORED
                                ADR          05946K101          1,169          88       X        28-5284       88

  BANCO SANTANDER CENT HISPANO ADR           05964H105        156,114      14,218       X        28-5284    11718              2500

  BANCORP BK                   COM           05969F104        360,000      20,000       X        28-5284    20000
                                                               72,000       4,000       X      X 28-5284     4000

  BANCORP RHODE ISLAND INC     COM           059690107        101,100       3,000       X      X 28-5284     3000

  BANCORPSOUTH INC             COM           059692103        270,524      12,364       X        28-5284    10540              1824
                                                               49,011       2,240       X      X 28-5284       40              2200

  BANCROFT CONV FD INC         COM           059695106        283,269      14,609       X        28-5284    14609

  BANCTRUST FINANCIAL GP       COM           05978R107         15,741         900       X      X 28-5284                        900

  BANK OF AMERICA CORPORATION  COM           060505104    211,678,562   2,613,961       X        28-5284  2458230     45012  110719
                                                          302,506,702   3,735,573       X      X 28-5284  3287393    396067   52113
                                                            2,499,448      30,865       X        28-1500    25200      5665
                                                            4,981,890      61,520       X        28-4580    60616               904
                                                            1,195,103      14,758       X      X 28-4580    11926      2461     371

  BANK OF GRANITE CORP         COM           062401104         45,474       2,200       X      X 28-5284                       2200

  BANK HAWAII CORP             COM           062540109        192,177       4,148       X        28-5284     4148
                                                              161,321       3,482       X      X 28-5284     3482

  BANK MONTREAL QUE            COM           063671101         14,504         350       X      X 28-5284      350
0                COLUMN TOTAL                             555,938,311
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 27 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BANK NEW YORK INC            COM           064057102      3,105,333      98,582       X        28-5284    95232       170    3180
                                                            1,958,607      62,178       X      X 28-5284    29690     12982   19506
                                                               19,184         609       X      X 28-1500      609
                                                              642,600      20,400       X        28-4580    20400
                                                                6,615         210       X      X 28-4580                210

  BANK OAKRIDGE NORTH CAROLINA COM           064180102        135,000      10,000       X      X 28-5284    10000

  BANK ONE CORP                COM           06423A103     37,337,368     684,838       X        28-5284   479562      3091  202185
                                                           18,452,567     338,455       X      X 28-5284   256652     45167   36636
                                                              425,692       7,808       X        28-1500      731      7077
                                                                3,271          60       X        28-4580       60
                                                               54,793       1,005       X      X 28-4580      605       400

  BANK OF WILMINGTON           COM           065824104        115,500      10,000       X      X 28-5284    10000

  BANKATLANTIC BANCORP         CL A          065908501         16,960       1,000       X        28-5284     1000

  BANKNORTH GROUP INC NEW      COM           06646R107      2,039,132      59,904       X        28-5284    59904
                                                              398,949      11,720       X      X 28-5284     4745              6975

  BANTA CORP                   COM           066821109          8,101         175       X        28-5284      175

  BAR HBR BANKSHARES           COM           066849100          5,368         200       X        28-5284      200
                                                               53,680       2,000       X      X 28-5284     2000

  BARCLAYS PLC                 ADR           06738E204          2,421          67       X        28-5284       67

  BARD C R INC                 COM           067383109         61,513         630       X        28-5284      630
                                                              663,952       6,800       X      X 28-5284     6800

  BARNES & NOBLE INC           COM           067774109        115,404       3,540       X        28-5284     3540
                                                               16,300         500       X      X 28-5284      300               200

  BARNES GROUP INC             COM           067806109         50,202       1,800       X        28-5284     1800
                                                               48,947       1,755       X      X 28-5284     1755

  BARNESANDNOBLE COM INC       CL A          067846105         20,604       6,800       X        28-5284     6800
                                                                9,090       3,000       X      X 28-5284     3000

  BARRICK GOLD CORP            COM           067901108        274,921      11,561       X        28-5284    10796       765
                                                            1,136,351      47,786       X      X 28-5284    42926      4860
                                                               87,986       3,700       X      X 28-1500     3700
0                COLUMN TOTAL                              67,266,411
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 28 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BARR PHARMACEUTICALS INC     COM           068306109      4,074,359      88,766       X        28-5284    87207              1559
                                                            1,305,350      28,439       X      X 28-5284    11600      8287    8552
                                                               12,026         262       X        28-4580      262

  BARRA INC                    COM           068313105        207,316       5,925       X        28-5284     5925

  BAUSCH & LOMB INC            COM           071707103        320,180       5,339       X        28-5284     5339
                                                              401,799       6,700       X      X 28-5284     1600      5100

  BAXTER INTL INC              COM           071813109      9,214,178     298,290       X        28-5284   274632      4598   19060
                                                            7,685,216     248,793       X      X 28-5284   155549     71098   22146
                                                               60,699       1,965       X      X 28-1500     1965
                                                               79,078       2,560       X        28-4580     2560
                                                              109,196       3,535       X      X 28-4580     3035       500

  BAXTER INTL INC              CORP
                                UNITS 7%     071813406        653,400      12,100       X        28-5284    12100
                                                               16,200         300       X      X 28-5284      300

  BAY VIEW CAP CORP DEL        COM           07262L101          7,611       3,413       X        28-5284     3413

  BAYER A G                    SPONSORED
                                ADR          072730302         12,200         500       X        28-5284                500
                                                                7,320         300       X      X 28-5284                300
                                                               12,200         500       X      X 28-1500      500

  BEA SYS INC                  COM           073325102         11,702         920       X        28-5284      920
                                                              105,830       8,320       X      X 28-5284     2620              5700

  BEACON POWER CORP            COM           073677106            520         667       X      X 28-5284      516               151

  BEAR STEARNS COS INC         COM           073902108        255,149       2,910       X        28-5284     2810               100
                                                              998,061      11,383       X      X 28-5284     5683      4000    1700

  BEARINGPOINT INC             COM           074002106         32,160       3,000       X        28-5284     3000

  BEAZER HOMES USA INC         COM           07556Q105         31,773         300       X      X 28-5284      300

  BECKMAN COULTER INC          COM           075811109        379,271       6,954       X        28-5284     2504              4450
                                                              800,320      14,674       X      X 28-5284     1384      9490    3800
                                                              101,553       1,862       X      X 28-4580     1862

  BECTON DICKINSON & CO        COM           075887109      2,621,168      54,067       X        28-5284    22067     32000
                                                            1,627,474      33,570       X      X 28-5284    21198      4300    8072
                                                               19,392         400       X      X 28-1500      400
0                COLUMN TOTAL                              31,162,701
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 29 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BED BATH & BEYOND INC        COM           075896100     48,896,504   1,166,981       X        28-5284  1073601     17495   75885
                                                           15,216,320     363,158       X      X 28-5284   251527     84909   26722
                                                            1,762,901      42,074       X        28-4580    41370               704
                                                              734,842      17,538       X      X 28-4580     9646      7283     609

  BELL MICROPRODUCTS INC       COM           078137106          1,077         150       X      X 28-5284      150

  BELLSOUTH CORP               COM           079860102     37,158,208   1,341,936       X        28-5284  1182693     13351  145892
                                                           26,738,073     965,622       X      X 28-5284   687162    208847   69613
                                                              296,006      10,690       X        28-1500              10690
                                                            1,663,809      60,087       X        28-4580    56151              3936
                                                            1,458,405      52,669       X      X 28-4580    51563       730     376

  BELO CORP                    COM SER A     080555105         77,728       2,800       X        28-5284     2800
                                                              172,112       6,200       X      X 28-5284     5000              1200

  BEMA GOLD CORP               COM           08135F107         53,507      14,540       X        28-5284     5440              9100

  BEMIS INC                    COM           081437105        455,910      17,535       X        28-5284    17535
                                                              140,140       5,390       X      X 28-5284     4740               650

  BENCHMARK ELECTRS INC        COM           08160H101         29,906         950       X      X 28-5284                        950

  BENTLEY PHARMACEUTICALS INC  COM           082657107         12,010       1,000       X        28-5284      500               500
                                                               24,020       2,000       X      X 28-1500     2000

  BERKLEY W R CORP             COM           084423102         23,928         600       X        28-5284      600
                                                              660,692      16,567       X      X 28-5284    16567
                                                              195,013       4,890       X      X 28-4580     4890

  BERKSHIRE BANCORP INC DEL    COM           084597103          1,750          30       X        28-5284       30

  BERKSHIRE HATHAWAY INC DEL   CL A          084670108              0         280       X        28-5284      225         2      53
                                                                    0       1,421       X      X 28-5284     1343         5      73
                                                                    0           8       X        28-1500        8
                                                                    0          64       X      X 28-1500       64
                                                                    0          10       X      X 28-4580       10

  BERKSHIRE HATHAWAY INC DEL   CL B          084670207     52,100,084      16,747       X        28-5284    13590        55    3102
                                                           14,851,962       4,774       X      X 28-5284     3488       510     776
                                                            2,787,465         896       X        28-1500      157       739
                                                              597,314         192       X        28-4580      192
                                                              391,987         126       X      X 28-4580      110                16
0                COLUMN TOTAL                             206,501,673
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 30 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BEST BUY INC                 COM           086516101        946,114      18,293       X        28-5284    17836               457
                                                            2,663,321      51,495       X      X 28-5284     3250             48245
                                                              137,679       2,662       X      X 28-1500     2662

  BHP BILLITON LTD             SPONSORED
                                ADR          088606108          2,517         134       X        28-5284      134
                                                               30,048       1,600       X      X 28-5284               1600

  BIG LOTS INC                 COM           089302103        199,680      13,771       X        28-5284     9471              4300
                                                                2,262         156       X      X 28-5284      156

  BIO IMAGING TECHNOLOGIES INC COM           09056N103          4,616         800       X      X 28-5284      800

  BIO-REFERENCE LABS INC       COM $.01
                                NEW          09057G602          7,905         500       X      X 28-5284                        500

  BIO RAD LABS INC             CL A          090572207        112,740       2,000       X      X 28-5284                       2000

  BIOMARIN PHARMACEUTICAL INC  COM           09061G101         76,704      10,200       X      X 28-5284                      10200

  BIOMET INC                   COM           090613100        805,407      20,996       X        28-5284    18752              2244
                                                            1,020,376      26,600       X      X 28-5284    23700              2900
                                                               85,351       2,225       X      X 28-1500     2225

  BIOGEN IDEC INC              COM           09062X103      1,891,345      34,017       X        28-5284    29049       368    4600
                                                              993,405      17,867       X      X 28-5284     5212      1265   11390
                                                                7,506         135       X      X 28-1500      135

  BIOPURE CORP                 CL A          09065H105         85,800      55,000       X      X 28-1500    55000

  BIOSPHERE MEDICAL INC        COM           09066V103          1,425         300       X        28-5284      300

  BIOTECH HOLDERS TR           DEPOSTRY
                                RCPTS        09067D201        298,410       2,100       X        28-5284     2100
                                                              213,150       1,500       X      X 28-5284     1000       500

  BIOVAIL CORP                 COM           09067J109          9,984         640       X        28-5284      640

  BIOLASE TECHNOLOGY INC       COM           090911108        155,750       8,900       X        28-5284     8900

  BIOSITE INC                  COM           090945106         15,985         500       X      X 28-5284      500

  BIOMIRA INC                  COM           09161R106            561         300       X      X 28-5284      300
0                COLUMN TOTAL                               9,768,041
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 31 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BLACK & DECKER CORP          COM           091797100        520,375       9,139       X        28-5284     8939       200
                                                              680,547      11,952       X      X 28-5284     3827      5625    2500
                                                                5,694         100       X      X 28-1500      100
                                                               14,235         250       X      X 28-4580      250

  BLACK BOX CORP DEL           COM           091826107         74,816       1,400       X      X 28-5284                       1400

  BLACK HILLS CORP             COM           092113109         30,978         972       X        28-5284      972
                                                               57,366       1,800       X      X 28-5284     1800

  BLACKROCK ADVANTAGE TERM TR  COM           09247A101        116,951      10,295       X        28-5284    10295
                                                              100,695       8,864       X      X 28-5284     4432              4432

  BLACKROCK FLA INVT QUALITY M COM           09247B109         53,034       3,455       X        28-5284     3455
                                                               78,285       5,100       X      X 28-5284     5100

  BLACKROCK INVT QUALITY MUN T COM           09247D105        338,544      22,156       X        28-5284    22156
                                                              160,562      10,508       X      X 28-5284    10508

  BLACKROCK NY INVT QUALITY MU COM           09247E103        309,438      20,908       X        28-5284    20908
                                                              170,378      11,512       X      X 28-5284    11512

  BLACKROCK INCOME TR INC      COM           09247F100        180,771      23,087       X        28-5284    23087
                                                              112,948      14,425       X      X 28-5284     4325      9100    1000
                                                              204,246      26,085       X      X 28-1500    26085

  BLACKROCK CA INSD MUN 2008 T COM           09247G108        120,260       7,000       X        28-5284     7000

  BLACKROCK FL INSD MUN 2008 T COM           09247H106        361,151      21,743       X        28-5284    21743
                                                               89,943       5,415       X      X 28-5284     1000      4415

  BLACKROCK INVT QUALITY TERM  COM           09247J102     11,764,459   1,207,850       X        28-5284  1184850             23000
                                                              974,000     100,000       X      X 28-5284   100000

  BLACKROCK INSD MUN 2008 TRM  COM           09247K109        144,167       8,295       X        28-5284     8295
                                                              251,211      14,454       X      X 28-5284    14454

  BLACKROCK NY INSD MUN 2008 T COM           09247L107         22,230       1,300       X        28-5284     1300
                                                               36,167       2,115       X      X 28-5284     2115

  BLACKROCK MUN TARGET TERM TR COM           09247M105      1,861,816     166,979       X        28-5284   166979
                                                              569,564      51,082       X      X 28-5284    51082
0                COLUMN TOTAL                              19,404,831
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 32 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BLACKROCK CALIF INVT QUALITY COM           09247U107         53,650       3,700       X        28-5284     3700

  BLACKROCK INC                CL A          09247X101        171,276       2,800       X        28-5284     2800
                                                               10,399         170       X      X 28-5284      170
                                                              397,605       6,500       X      X 28-1500     6500
                                                          301,873,950   4,935,000       X                 4935000

  BLACKROCK INSD MUN TERM TR I COM           092474105      1,864,462     160,591       X        28-5284   160591
                                                              579,385      49,904       X      X 28-5284    49904

  BLACKROCK MUN INCOME TR      SH BEN INT    09248F109        429,453      29,155       X        28-5284    29155
                                                              224,868      15,266       X      X 28-5284     6966      3300    5000
                                                               68,745       4,667       X      X 28-1500     4667

  BLACKROCK FLA MUN INCOME TR  SH BEN INT    09248H105         58,600       4,000       X      X 28-5284     4000

  BLACKROCK N J MUN INCOME TR  SH BEN INT    09248J101         41,085       2,750       X        28-5284     2750
                                                               74,700       5,000       X      X 28-5284     5000

  BLACKROCK N Y MUN INCOME TR  SH BEN INT    09248L106         35,088       2,400       X        28-5284     2400

  BLACKROCK HIGH YIELD TR      SH BEN INT    09248N102         83,045       7,448       X        28-5284     7448
                                                               13,915       1,248       X      X 28-5284                       1248

  BLACKROCK PA STRATEGIC MUN T COM           09248R103        186,240      12,000       X        28-5284    12000
                                                              166,064      10,700       X      X 28-5284     9000      1700

  BLACKROCK STRATEGIC MUN TR   COM           09248T109         55,080       3,600       X      X 28-5284     3600

  BLACKROCK MUNI INCOME TR II  COM           09249N101         14,550       1,000       X      X 28-5284     1000
                                                               26,990       1,855       X      X 28-1500     1855

  BLACKROCK PFD OPPORTUNITY TR COM SHS       09249V103        279,400      11,000       X        28-5284    11000
                                                               20,752         817       X      X 28-5284      817

  BLACKROCK LTD DURATION INC T COM SHS       09249W101         26,273       1,300       X        28-5284     1300
                                                               20,210       1,000       X      X 28-5284     1000
                                                               25,263       1,250       X      X 28-1500     1250

  BLAIR CORP                   COM           092828102     10,740,989     403,039       X        28-5284   403039
                                                              319,800      12,000       X      X 28-5284    12000
0                COLUMN TOTAL                             317,861,837
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 33 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BLOCK H & R INC              COM           093671105      1,549,679      30,368       X        28-5284    30068               300
                                                            1,013,813      19,867       X      X 28-5284     2370      8100    9397
                                                              114,818       2,250       X      X 28-1500     2250

  BLUEFLY INC                  COM           096227103         41,600      13,000       X      X 28-5284    13000

  BLUEGREEN CORP               COM           096231105        113,854       8,785       X        28-5284     8785

  BLYTH INC                    COM           09643P108          3,169          97       X      X 28-5284       97

  BOB EVANS FARMS INC          COM           096761101          6,466         200       X        28-5284      200
                                                               38,796       1,200       X      X 28-5284                       1200

  BOEING CO                    COM           097023105     10,014,180     243,832       X        28-5284   198724      1900   43208
                                                            8,448,510     205,710       X      X 28-5284   153236     40618   11856
                                                              255,661       6,225       X      X 28-1500     6225
                                                              188,922       4,600       X        28-4580     4600
                                                              184,158       4,484       X      X 28-4580     3884       600
                                                              184,815       4,500       X                    4500

  BOISE CASCADE CORP           COM           097383103         45,911       1,325       X        28-5284     1325
                                                               83,160       2,400       X      X 28-5284                       2400

  BOMBAY CO INC                COM           097924104         89,490      11,400       X      X 28-5284                      11400

  BORDERS GROUP INC            COM           099709107            950          40       X        28-5284       40
                                                              106,830       4,500       X      X 28-5284                       4500
                                                                7,122         300       X      X 28-1500      300

  BORG WARNER INC              COM           099724106         67,864         800       X      X 28-5284      100               700

  BORLAND SOFTWARE CORP        COM           099849101         76,670       8,500       X      X 28-5284                       8500

  BOSTON BEER INC              CL A          100557107         70,420       3,823       X        28-5284     3823
                                                                9,210         500       X      X 28-5284                500

  BOSTON LIFE SCIENCES INC     COM NEW       100843408             12          10       X      X 28-5284                         10

  BOSTON PRIVATE FINL HLDGS IN COM           101119105        196,000       7,000       X      X 28-5284     3600              3400

  BOSTON PROPERTIES INC        COM           101121101      4,343,931      79,984       X        28-5284    71242      3635    5107
                                                            6,362,688     117,155       X      X 28-5284    36118     46417   34620
                                                               81,519       1,501       X        28-4580     1501
0                COLUMN TOTAL                              33,700,218
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 34 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BOSTON SCIENTIFIC CORP       COM           101137107        434,988      10,264       X        28-5284    10264
                                                            1,883,621      44,446       X      X 28-5284    30590      6300    7556
                                                               84,760       2,000       X      X 28-1500     2000

  BOWATER INC                  COM           102183100         93,368       2,140       X        28-5284     2140
                                                            2,103,402      48,210       X      X 28-5284      500             47710
                                                            1,123,472      25,750       X                   25750

  BOWL AMER INC                CL A          102565108            676          46       X      X 28-5284                 46

  BOYD GAMING CORP             COM           103304101         20,601         900       X      X 28-5284                        900

  BOYKIN LODGING CO            COM           103430104         40,832       4,400       X      X 28-5284                       4400

  BRANDYWINE RLTY TR           SH BEN INT
                                NEW          105368203         39,715       1,300       X        28-5284     1300
                                                              134,420       4,400       X      X 28-5284     3800       600

  BRAZIL FD INC                COM           105759104          7,077         299       X        28-5284      299

  BRIGGS & STRATTON CORP       COM           109043109      1,381,786      20,480       X        28-5284    20000               480
                                                              205,784       3,050       X      X 28-5284               2150     900

  BRIGHTPOINT INC              COM NEW       109473405         53,955       3,515       X        28-1500     3515

  BRILLIAN CORP                COM           10949P107          5,748         666       X      X 28-5284                666

  BRINKER INTL INC             COM           109641100        124,790       3,290       X        28-5284     1990              1300
                                                              231,373       6,100       X      X 28-5284     2000              4100

  BRINKS CO                    COM           109696104        144,795       5,250       X        28-5284     5250
                                                              157,206       5,700       X      X 28-5284                       5700

  BRISTOL MYERS SQUIBB CO      COM           110122108    129,167,101   5,330,875       X        28-5284  4962456     38891  329528
                                                          110,964,168   4,579,619       X      X 28-5284  2192910    660570 1726139
                                                            1,358,067      56,049       X        28-1500      250     55799
                                                            2,472,502     102,043       X        28-4580   101943               100
                                                            3,460,311     142,811       X      X 28-4580   123251     17800    1760

  BRITESMILE INC               COM NEW       110415205          9,262         753       X        28-5284      753

  BRITISH AWYS PLC             ADR 2ND
                                INSTAL       110419306         13,974         274       X        28-5284      274

  BRITISH AMERN TOB PLC        SPONSORED
                                ADR          110448107         19,742         655       X        28-5284      655
0                COLUMN TOTAL                             255,737,496
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 35 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BROADBAND HOLDRS TR          DEPOSITRY
                                RCPT         11130P104        283,500      17,500       X        28-5284    17500
                                                                4,860         300       X      X 28-5284      300

  BROADCOM CORP                CL A          111320107      1,919,799      49,213       X        28-5284    49213
                                                              210,264       5,390       X      X 28-5284     5390

  BROCADE COMMUNICATIONS SYS I COM           111621108          6,640       1,000       X        28-5284     1000
                                                              109,002      16,416       X      X 28-5284     1000             15416

  BROOKFIELD PPTYS CORP        COM           112900105         67,820       2,180       X      X 28-5284                       2180

  BROOKLINE BANCORP INC DEL    COM           11373M107         15,950       1,000       X        28-5284     1000
                                                                3,477         218       X      X 28-5284      218

  BROWN & BROWN INC            COM           115236101          7,752         200       X        28-5284      200

  BROWN FORMAN CORP            CL A          115637100     10,497,284     207,867       X        28-5284   156407             51460
                                                            2,610,951      51,702       X      X 28-5284      138             51564

  BROWN FORMAN CORP            CL B          115637209     15,114,082     317,123       X        28-5284   141466            175657
                                                           11,345,844     238,058       X      X 28-5284   152784      2266   83008
                                                               61,958       1,300       X        28-1500               1300

  BROWN TOM INC                COM NEW       115660201         25,944         690       X        28-5284      690
                                                               63,920       1,700       X      X 28-5284                       1700

  BRUNSWICK CORP               COM           117043109         48,996       1,200       X        28-5284     1200
                                                               77,781       1,905       X      X 28-5284      175              1730

  BRYN MAWR BK CORP            COM           117665109        374,781      16,366       X        28-5284    16366
                                                              270,220      11,800       X      X 28-5284     2000      7200    2600

  BSQUARE CORP                 COM           11776U102          3,104       2,608       X        28-5284     2608
                                                                5,950       5,000       X      X 28-5284     5000

  BUCKEYE PARTNERS L P         UNIT LTD
                                PARTN        118230101        556,200      12,875       X        28-5284     9075      1800    2000
                                                              451,440      10,450       X      X 28-5284     5950      4500
                                                                4,320         100       X      X 28-1500      100

  BUFFALO WILD WINGS INC       COM           119848109         11,444         400       X      X 28-5284                        400

  BUILDING MATLS HLDG CORP     COM           120113105         26,205       1,500       X      X 28-5284                       1500
0                COLUMN TOTAL                              44,179,488
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 36 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BURLINGTON COAT FACTORY      COM           121579106         23,918       1,208       X        28-5284     1208

  BURLINGTON NORTHN SANTA FE C COM           12189T104      2,130,534      67,636       X        28-5284    63117      2050    2469
                                                            6,096,290     193,533       X      X 28-5284   139851     34217   19465
                                                               47,250       1,500       X      X 28-1500     1500
                                                               30,240         960       X        28-4580      960
                                                              245,700       7,800       X      X 28-4580     7800

  BURLINGTON RES INC           COM           122014103      5,555,472      87,309       X        28-5284    85713       898     698
                                                            5,999,864      94,293       X      X 28-5284    65756     22022    6515
                                                              153,348       2,410       X      X 28-1500     2410
                                                               15,589         245       X        28-4580      245
                                                              297,152       4,670       X      X 28-4580     4510       160

  C & F FINL CORP              COM           12466Q104      1,597,792      39,200       X        28-1500    39200

  C&D TECHNOLOGIES INC         COM           124661109         50,130       3,000       X      X 28-5284                500    2500

  CB BANCSHARES INC HAWAII     COM           124785106      7,530,146     107,712       X        28-1500   107712

  CBL & ASSOC PPTYS INC        COM           124830100        202,422       3,300       X        28-5284     3300
                                                               16,439         268       X      X 28-5284      268
                                                              574,265       9,362       X      X 28-1500     9362

  CBRL GROUP INC               COM           12489V106         31,712         800       X        28-5284                        800
                                                              109,406       2,760       X      X 28-5284      760              2000
                                                               39,164         988       X        28-1500      988

  CCBT FINL COS INC            COM           12500Q102        992,665      26,938       X      X 28-5284    26938

  C COR NET CORP               COM           125010108         25,236       1,800       X        28-5284     1800

  C D W CORP                   COM           12512N105         55,035         814       X        28-5284      814
                                                              144,347       2,135       X      X 28-5284                       2135

  CEC ENTMT INC                COM           125137109         93,690       2,700       X        28-5284     2700

  CH ENERGY GROUP INC          COM           12541M102         46,636         950       X        28-5284      950
                                                              103,089       2,100       X      X 28-5284                200    1900
                                                               14,727         300       X      X 28-4580      300

  C H ROBINSON WORLDWIDE INC   COM           12541W100        105,825       2,550       X        28-5284     2550
0                COLUMN TOTAL                              32,328,083
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 37 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CIGNA CORP                   COM           125509109      5,422,463      91,875       X        28-5284    77496     12700    1679
                                                            9,110,799     154,368       X      X 28-5284    50106    103362     900
                                                              140,409       2,379       X      X 28-4580     2379

  CIT GROUP INC                COM           125581108         60,880       1,600       X        28-5284     1600
                                                              125,565       3,300       X      X 28-5284                       3300

  CKE RESTAURANTS INC          COM           12561E105         27,027       2,730       X      X 28-5284                       2730

  CLECO CORP NEW               COM           12561W105         15,224         800       X        28-5284      800
                                                               65,806       3,458       X      X 28-5284     1032      1050    1376

  CMGI INC                     COM           125750109          1,593         650       X        28-5284      500               150
                                                               14,982       6,115       X      X 28-5284     6115
                                                                  429         175       X      X 28-1500      175

  CMS ENERGY CORP              COM           125896100          2,050         229       X        28-5284      229
                                                               10,964       1,225       X      X 28-5284     1225

  CNA SURETY CORP              COM           12612L108         28,730       2,600       X      X 28-5284                       2600

  CNF INC                      COM           12612W104      1,129,195      33,607       X        28-5284    33607
                                                              208,320       6,200       X      X 28-5284     4400              1800

  CNB FINL CORP PA             COM           126128107         65,235       1,500       X      X 28-5284     1500

  CNET NETWORKS INC            COM           12613R104      1,462,366     141,428       X        28-5284   129728             11700
                                                               19,129       1,850       X      X 28-5284     1850

  CP HOLDRS                    DEP RCPTS
                                CP           12616K106        146,950       2,500       X        28-5284     2500

  CSX CORP                     COM           126408103      1,939,650      64,036       X        28-5284    60524      1600    1912
                                                            1,417,390      46,794       X      X 28-5284    17934     23960    4900
                                                               94,929       3,134       X        28-4580     3134

  CUNO INC                     COM           126583103         58,214       1,300       X      X 28-5284                       1300

  CVB FINL CORP                COM           126600105         68,508       3,300       X        28-5284     3300
0                COLUMN TOTAL                              21,636,807
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 38 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CVS CORP                     COM           126650100     17,179,875     486,682       X        28-5284   411337      4000   71345
                                                            2,844,509      80,581       X      X 28-5284    38129     33452    9000
                                                            1,025,642      29,055       X        28-1500    29055
                                                              315,229       8,930       X      X 28-1500     8930
                                                               20,474         580       X        28-4580      580

  CV THERAPEUTICS INC          COM           126667104          5,492         363       X        28-5284      363

  CABLE & WIRELESS PUB LTD CO  SPONSORED
                                ADR          126830207         85,440      12,000       X      X 28-5284                      12000

  CABLEVISION SYS CORP         CL A NY
                                CABLVS       12686C109        614,191      26,844       X        28-5284    26844
                                                              117,489       5,135       X      X 28-5284     3100              2035
                                                                6,864         300       X      X 28-1500      300

  CABLE DESIGN TECHNOLOGIES CO COM           126924109         31,284       3,300       X      X 28-5284                       3300

  CABOT CORP                   COM           127055101        164,000       5,000       X        28-5284     5000
                                                               68,782       2,097       X      X 28-5284     2097
                                                               13,120         400       X      X 28-4580                400

  CABOT MICROELECTRONICS CORP  COM           12709P103          4,719         112       X      X 28-4580                112

  CABOT OIL & GAS CORP         COM           127097103         14,669         480       X        28-5284      480

  CACHE INC                    COM NEW       127150308          3,283         100       X      X 28-5284      100

  CACI INTL INC                CL A          127190304          4,300         100       X        28-5284      100
                                                              192,769       4,483       X      X 28-5284       83      4400

  CADBURY SCHWEPPES PLC        ADR           127209302         25,720         800       X        28-5284      800
                                                               40,220       1,251       X      X 28-5284      100      1060      91
                                                              321,500      10,000       X      X 28-4580    10000

  CADENCE DESIGN SYSTEM INC    COM           127387108            737          50       X      X 28-5284       50

  CAESARS ENTMT INC            COM           127687101         28,688       2,200       X        28-5284     2200
                                                              196,539      15,072       X      X 28-5284    15072

  CAL DIVE INTL INC            COM           127914109         14,706         570       X        28-5284      570

  CALAMOS CONV & HIGH INCOME F COM SHS       12811P108        329,452      19,991       X        28-5284    19991
                                                               10,069         611       X      X 28-5284                611
0                COLUMN TOTAL                              23,679,762
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 39 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CALAMOS CONV OPP AND INC FD  SH BEN INT    128117108          9,320         458       X        28-5284      458
                                                               40,415       1,986       X      X 28-5284     1986
                                                               24,420       1,200       X      X 28-1500     1200

  CALGON CARBON CORP           COM           129603106            770         100       X      X 28-5284      100

  CALIFORNIA AMPLIFIER INC     COM           129900106            482          36       X        28-5284       36

  CALIFORNIA COASTAL CMNTYS IN COM NEW       129915203             18           1       X        28-5284        1

  CALIFORNIA WTR SVC GROUP     COM           130788102         10,184         360       X        28-5284      360
                                                                9,902         350       X      X 28-5284      350

  CALIPER LIFE SCIENCES INC    COM           130872104            690         100       X        28-5284      100
                                                                4,140         600       X      X 28-1500      600

  CALLAWAY GOLF CO             COM           131193104          1,898         100       X        28-5284      100

  CALPINE CORP                 COM           131347106         24,004       5,140       X        28-5284     5140
                                                               27,880       5,970       X      X 28-5284     5970
                                                                  934         200       X      X 28-4580      200

  CAMCO FINL CORP              COM           132618109          1,181          72       X        28-5284       72

  CAMDEN PPTY TR               SH BEN INT    133131102         64,279       1,430       X        28-5284     1430
                                                              146,492       3,259       X      X 28-5284     1000       759    1500

  CAMECO CORP                  COM           13321L108         42,296         850       X        28-5284      850
                                                               69,664       1,400       X      X 28-5284     1400

  CAMPBELL SOUP CO             COM           134429109      5,675,869     208,136       X        28-5284   202503      3200    2433
                                                           40,608,221   1,489,117       X      X 28-5284    58891   1425026    5200
                                                              338,148      12,400       X      X 28-4580     1400             11000

  CANADIAN NATL RY CO          COM           136375102         74,688       1,899       X        28-5284     1899
                                                              103,241       2,625       X      X 28-5284      200              2425

  CANADIAN NAT RES LTD         COM           136385101        114,618       2,060       X        28-5284     2060
                                                               11,128         200       X      X 28-5284                200

  CANDELA CORP                 COM           136907102        577,500      42,000       X      X 28-5284    42000
0                COLUMN TOTAL                              47,982,382
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 40 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CANON INC                    ADR           138006309        132,660       2,561       X        28-5284     1561              1000
                                                              155,400       3,000       X      X 28-5284     3000

  CANTEL MEDICAL CORP          COM           138098108         10,734         600       X      X 28-5284                        600

  CAPITAL AUTOMOTIVE REIT      COM SH BEN
                                INT          139733109        176,550       5,000       X        28-5284     5000
                                                               35,310       1,000       X      X 28-5284     1000

  CAPITAL CROSSING BK          COM           140071101     14,863,992     201,300       X        28-1500   201300

  CAPITAL ENVIRONMENTAL RESOUR COM           14008M104         13,373       2,500       X        28-5284     2500

  CAPITAL ONE FINL CORP        COM           14040H105        352,258       4,670       X        28-5284     3670              1000
                                                              376,547       4,992       X      X 28-5284     4462               530
                                                              248,919       3,300       X      X 28-1500     3300

  CAPITOL BANCORP LTD          COM           14056D105         27,100       1,000       X      X 28-5284                       1000

  CAPSTONE TURBINE CORP        COM           14067D102          3,705       1,500       X        28-5284     1500
                                                                4,100       1,660       X      X 28-5284     1660
                                                                7,410       3,000       X      X 28-1500     3000

  CAPSTEAD MTG CORP            PFD B CV
                                $1.26        14067E308         16,638       1,250       X        28-5284     1250

  CAPSTEAD MTG CORP            COM NO PAR    14067E506          5,867         318       X        28-5284      318

  CAPTARIS INC                 COM           14071N104         26,950       4,900       X      X 28-5284                       4900

  CAPTIVA SOFTWARE CORP DEL    COM           14073T109        105,260       7,600       X      X 28-5284                       7600

  CARACO PHARMACEUTICAL LABS L COM           14075T107         24,008       2,363       X      X 28-5284                       2363

  CARDIMA INC                  COM           14147M106            910       1,000       X        28-5284     1000

  CARDINAL HEALTH INC          COM           14149Y108     69,275,092   1,005,444       X        28-5284   848100      4859  152485
                                                           15,665,931     227,372       X      X 28-5284   156957     50637   19778
                                                            1,253,015      18,186       X        28-1500    18186
                                                              726,826      10,549       X      X 28-1500    10549
                                                              328,309       4,765       X        28-4580     4765
                                                              236,603       3,434       X      X 28-4580     2934       500

  CARDIODYNAMICS INTL CORP     COM           141597104          3,160         500       X      X 28-5284      500
0                COLUMN TOTAL                             104,076,627
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 41 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CARDIOTECH INTL INC          COM           14160C100         13,823       2,684       X      X 28-5284     2684

  CAREER EDUCATION CORP        COM           141665109         11,762         208       X        28-5284      208
                                                               56,550       1,000       X      X 28-5284     1000
                                                                3,959          70       X      X 28-4580       70

  CAREMARK RX INC              COM           141705103        387,595      11,657       X        28-5284    11657
                                                            3,786,809     113,889       X      X 28-5284      693       574  112622

  CARLISLE COS INC             COM           142339100        972,964      17,175       X        28-5284    12175              5000
                                                              276,169       4,875       X      X 28-5284      875              4000

  CARMAX INC                   COM           143130102        141,328       4,840       X        28-5284     4840
                                                               33,113       1,134       X      X 28-5284      946       188

  CARNIVAL CORP                PAIRED CTF    143658300     15,129,371     336,882       X        28-5284   310252      1130   25500
                                                            3,568,324      79,455       X      X 28-5284    49237     20127   10091
                                                                8,982         200       X      X 28-1500      200
                                                              143,353       3,192       X        28-4580     3042               150
                                                               68,533       1,526       X      X 28-4580     1326       200

  CARPENTER TECHNOLOGY CORP    COM           144285103      9,254,076     281,450       X        28-5284      200     35800  245450
                                                            5,315,118     161,652       X      X 28-5284      200      2608  158844

  CARRAMERICA RLTY CORP        COM           144418100         48,816       1,440       X      X 28-5284                       1440

  CASCADE NAT GAS CORP         COM           147339105         26,148       1,200       X      X 28-5284                       1200

  CASELLA WASTE SYS INC        CL A          147448104         90,148       6,200       X      X 28-5284                       6200

  CASEYS GEN STORES INC        COM           147528103         15,900       1,000       X        28-5284     1000

  CASH AMER INTL INC           COM           14754D100         92,200       4,000       X      X 28-5284                       4000

  CASS INFORMATION SYS INC     COM           14808P109        199,095       5,830       X        28-1500     5830

  CASTLE ENERGY CORP           COM
                                PAR$0.50N    148449309         74,175       7,500       X        28-5284     7500

  CATALINA MARKETING CORP      COM           148867104         42,658       2,200       X      X 28-5284                       2200

  CATALYTICA ENERGY SYS INC    COM           148884109          2,660         745       X      X 28-5284      745
0                COLUMN TOTAL                              39,763,629
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 42 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CATELLUS DEV CORP NEW        COM           149113102         18,129         697       X        28-5284      697
                                                              203,866       7,838       X      X 28-5284     4456      3382

  CATERPILLAR INC DEL          COM           149123101      6,841,215      86,521       X        28-5284    48813       770   36938
                                                            6,705,927      84,810       X      X 28-5284    69958     10830    4022
                                                              636,672       8,052       X        28-1500     8022        30
                                                              110,698       1,400       X        28-4580     1400
                                                              186,842       2,363       X      X 28-4580     2363

  CATHAY GENERAL BANCORP       COM           149150104         32,910         500       X        28-5284      500
                                                               92,148       1,400       X      X 28-5284     1400

  CAVALRY BANCORP INC          COM           149547101          9,515         565       X        28-1500       65       500

  CD&L INC                     COM           14983Y107          2,300       2,000       X      X 28-1500     2000

  CEDAR FAIR L P               DEPOSITRY
                                UNIT         150185106      4,925,629     140,853       X        28-5284   140853
                                                              592,742      16,950       X      X 28-5284     2850     12700    1400
                                                               10,491         300       X      X 28-1500      300

  CELL GENESYS INC             COM           150921104         24,080       2,000       X      X 28-5284                       2000

  CELESTICA INC                SUB VTG
                                SHS          15101Q108          3,280         200       X        28-5284      200

  CELGENE CORP                 COM           151020104         47,650       1,000       X        28-5284     1000
                                                                6,433         135       X      X 28-5284      135

  CENDANT CORP                 COM           151313103      3,411,356     139,867       X        28-5284    63727     31240   44900
                                                            1,639,057      67,202       X      X 28-5284    22865     20337   24000
                                                              185,486       7,605       X      X 28-1500     7605

  CENTER FINL CORP CALIF       COM           15146E102         95,580       6,000       X      X 28-5284     6000

  CENTERPOINT ENERGY INC       COM           15189T107         88,342       7,729       X        28-5284     7729
                                                              430,340      37,650       X      X 28-5284    12224      5426   20000

  CENTERPOINT PPTYS TR         COM           151895109        119,625       1,450       X      X 28-5284      100              1350

  CENTEX CORP                  COM           152312104         23,786         440       X        28-5284      440
                                                               13,515         250       X      X 28-5284       50       200

  CENTRAL EUROPE AND RUSSIA FD COM           153436100        207,025       8,450       X      X 28-5284     7450      1000
0                COLUMN TOTAL                              26,664,639
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 43 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CENTRAL EUROPE AND RUSSIA FD RIGHT
                                03/19/20     153436118          6,845       8,450       X      X 28-5284     7450      1000

  CENTRAL FGHT LINES INC NEV   COM           153491105          5,799         441       X      X 28-5284                        441

  CENTRAL FD CDA LTD           CL A          153501101        182,990      29,000       X        28-5284    29000

  CENTRAL GARDEN & PET CO      COM           153527106         46,800       1,300       X      X 28-5284                       1300

  CENTRAL PAC FINL CORP        COM           154760102         89,370       3,000       X      X 28-5284     3000
                                                            1,313,739      44,100       X        28-1500    44100

  CENTRAL SECS CORP            COM           155123102        114,393       5,333       X        28-5284     5333

  CENTRAL VT PUB SVC CORP      COM           155771108          3,375         150       X        28-5284      150
                                                               65,250       2,900       X      X 28-5284                       2900

  CENTURY ALUM CO              COM           156431108         28,230       1,000       X        28-5284     1000

  CENTURY BUSINESS SVCS INC    COM           156490104         33,388       6,800       X      X 28-5284                       6800

  CENTURYTEL INC               COM           156700106     13,684,302     497,792       X        28-5284   383240            114552
                                                            1,877,210      68,287       X      X 28-5284    68287
                                                              795,423      28,935       X        28-1500    28935
                                                              408,556      14,862       X      X 28-1500    14862

  CEPHALON INC                 COM           156708109        618,017      10,780       X        28-5284    10780
                                                               47,011         820       X        28-1500       20       800

  CERADYNE INC                 COM           156710105        180,750       5,000       X      X 28-5284     5000

  CERIDIAN CORP NEW            COM           156779100         19,710       1,000       X        28-5284     1000
                                                                  434          22       X      X 28-5284       22

  CERTEGY INC                  COM           156880106        857,395      24,483       X        28-5284    24483
                                                               29,592         845       X      X 28-5284      545       300

  CHALONE WINE GROUP LTD       COM           157639105          1,053         117       X        28-5284                        117

  CHARLES RIVER ASSOCIATES     COM           159852102          4,916         150       X        28-5284      150

  CHARLES RIV LABS INTL INC    COM           159864107        403,861       9,425       X        28-5284     9425
                                                               74,345       1,735       X      X 28-5284     1735
0                COLUMN TOTAL                              20,892,754
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 44 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CHARTER ONE FINL INC         COM           160903100     10,061,759     284,552       X        28-5284   284552
                                                              802,601      22,698       X      X 28-5284    18558              4140
                                                               14,144         400       X      X 28-4580      400

  CHARTERMAC                   SH BEN INT    160908109        225,870       9,115       X        28-5284     9115
                                                               59,893       2,417       X      X 28-5284     2417
                                                              173,361       6,996       X      X 28-1500     6996

  CHARMING SHOPPES INC         COM           161133103          7,245         930       X        28-5284      930
                                                              173,873      22,320       X      X 28-5284                      22320

  CHARTER COMMUNICATIONS INC D CL A          16117M107      2,360,000     500,000       X        28-5284   500000
                                                               24,072       5,100       X      X 28-5284                       5100
                                                               23,600       5,000       X      X 28-1500     5000

  CHATTEM INC                  COM           162456107         11,397         444       X        28-1500      444

  CHECKERS DRIVE-IN RESTAURANT COM NEW       162809305         50,945       4,193       X        28-1500     4193

  CHECKFREE CORP NEW           COM           162813109        317,137      10,765       X        28-5284    10765
                                                               85,729       2,910       X      X 28-5284                       2910

  CHECKPOINT SYS INC           COM           162825103         75,600       4,000       X        28-5284     4000
                                                               49,140       2,600       X      X 28-5284                       2600

  CHEESECAKE FACTORY INC       COM           163072101         43,104         935       X        28-5284      860                75

  CHELSEA PPTY GROUP INC       COM           163421100         35,498         564       X        28-5284      564
                                                               70,493       1,120       X      X 28-5284                       1120

  CHEMICAL FINL CORP           COM           163731102         75,201       2,100       X      X 28-5284                       2100
                                                              824,382      23,021       X        28-1500    23021

  CHESAPEAKE CORP              COM           165159104          7,161         300       X        28-5284      300
                                                               34,277       1,436       X      X 28-5284     1436

  CHESAPEAKE ENERGY CORP       COM           165167107         51,523       3,845       X        28-5284     3845
                                                               77,291       5,768       X      X 28-5284     1768              4000
                                                              118,577       8,849       X      X 28-1500     8849

  CHESAPEAKE UTILS CORP        COM           165303108          7,686         300       X        28-5284      300
                                                              135,786       5,300       X      X 28-5284     1800      3500
0                COLUMN TOTAL                              15,997,345
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 45 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CHESTER VALLEY BANCORP       COM           166335109        150,716       6,882       X        28-5284     6882

  CHEVRONTEXACO CORP           COM           166764100    144,881,680   1,650,509       X        28-5284  1477963     16705  155841
                                                          164,934,845   1,878,957       X      X 28-5284   618037    256461 1004459
                                                              843,566       9,610       X        28-1500     4370      5240
                                                            2,992,684      34,093       X        28-4580    33716               377
                                                            1,770,084      20,165       X      X 28-4580    18414       675    1076

  CHEVIOT FINL CORP            COM           166774109         60,502       4,580       X        28-5284     4580
                                                                9,247         700       X      X 28-5284                        700

  CHICAGO BRIDGE & IRON CO N V N Y
                                REGISTRY
                                S            167250109         96,014       3,450       X      X 28-5284                250    3200

  CHICAGO MERCANTILE HLDGS INC CL A          167760107         29,022         300       X      X 28-5284      300

  CHICOS FAS INC               COM           168615102        283,040       6,100       X        28-5284     6100
                                                            1,320,776      28,465       X      X 28-5284    28465

  CHINA FD INC                 COM           169373107        424,410      12,900       X        28-5284    12900
                                                               39,250       1,193       X      X 28-5284     1193

  CHINA MOBILE HONG KONG LTD   SPONSORED
                                ADR          16941M109          7,345         500       X        28-5284      500

  CHINA PETE & CHEM CORP       SPON ADR
                                H SHS        16941R108          1,187          31       X        28-5284       31
                                                                  958          25       X      X 28-5284       25

  CHINA UNICOM LTD             SPONSORED
                                ADR          16945R104          4,505         500       X        28-5284      500

  CHOICE HOTELS INTL INC       COM           169905106         44,740       1,000       X      X 28-5284     1000
                                                               33,555         750       X      X 28-4580      750

  CHIQUITA BRANDS INTL INC     *W EXP
                                03/19/2      170032114            753         118       X      X 28-5284      118

  CHIQUITA BRANDS INTL INC     COM           170032809          2,085         100       X        28-5284      100
                                                                  146           7       X      X 28-5284        7
                                                              187,650       9,000       X      X 28-1500     9000

  CHIRON CORP                  COM           170040109        289,410       6,576       X        28-5284     6016               560
                                                              349,615       7,944       X      X 28-5284      674              7270

  CHITTENDEN CORP              COM           170228100         43,098       1,306       X        28-5284      200              1106
                                                               79,200       2,400       X      X 28-5284                       2400
0                COLUMN TOTAL                             318,880,083
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 46 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CHOICEPOINT INC              COM           170388102        186,613       4,907       X        28-5284     4907
                                                              136,376       3,586       X      X 28-5284      836              2750
                                                               60,848       1,600       X      X 28-1500     1600

  CHRISTOPHER & BANKS CORP     COM           171046105         69,663       3,300       X      X 28-5284     3300
                                                                6,333         300       X      X 28-1500      300

  CHROMAVISION MED SYS INC     COM           17111P104          8,680       4,000       X        28-5284     4000

  CHRONIMED INC                COM           171164106         27,195       3,500       X      X 28-5284                       3500

  CHUBB CORP                   COM           171232101     11,276,815     162,163       X        28-5284   158543      1220    2400
                                                            7,664,142     110,212       X      X 28-5284    46820     56444    6948
                                                               10,431         150       X      X 28-1500      150
                                                               13,908         200       X      X 28-4580      200

  CHURCH & DWIGHT INC          COM           171340102        173,240       4,000       X        28-5284     4000
                                                            4,081,968      94,250       X      X 28-5284    94000               250
                                                           10,177,850     235,000       X                  235000

  CHURCHILL DOWNS INC          COM           171484108      1,538,597      39,675       X        28-5284    38924       500     251
                                                              268,513       6,924       X      X 28-5284     6924
                                                               38,625         996       X        28-1500      996

  CIBER INC                    COM           17163B102         17,358       1,578       X        28-5284     1578

  CIENA CORP                   COM           171779101          7,207       1,450       X        28-5284     1450
                                                                1,243         250       X      X 28-5284                250
                                                                4,672         940       X      X 28-1500      940

  CIGNA INVTS SECS INC         COM           17179X106          1,735         100       X        28-5284      100

  CIMA LABS INC                COM           171796105            786          25       X        28-5284       25

  CIMAREX ENERGY CO            COM           171798101         76,007       2,630       X        28-5284     2630

  CINCINNATI BELL INC NEW      COM           171871106        612,620     150,521       X        28-5284   147513              3008
                                                               60,810      14,941       X      X 28-5284    14941
                                                               99,365      24,414       X      X 28-1500    24414

  CINCINNATI FINL CORP         COM           172062101     89,269,589   2,054,536       X        28-5284  1638075       700  415761
                                                            9,872,231     227,209       X      X 28-5284   212468       200   14541
                                                            2,328,963      53,601       X        28-1500    53601
                                                            1,559,203      35,885       X      X 28-1500    35885
0                COLUMN TOTAL                             139,651,586
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 47 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CINERGY CORP                 COM           172474108      7,743,053     189,363       X        28-5284   187163      1875     325
                                                            6,896,058     168,649       X      X 28-5284   163079      1645    3925
                                                            4,697,443     114,880       X        28-1500             114880
                                                               28,623         700       X        28-4580      700

  CIPHERGEN BIOSYSTEMS INC     COM           17252Y104         43,680       5,200       X      X 28-5284                       5200

  CIRCOR INTL INC              COM           17273K109         27,459       1,215       X        28-5284     1215

  CIRCUIT CITY STORE INC       COM           172737108          7,006         620       X        28-5284      620
                                                               37,290       3,300       X      X 28-5284     2700       600
                                                                2,825         250       X      X 28-1500      250
                                                              424,598      37,575       X                   37575

  CISCO SYS INC                COM           17275R102    107,405,756   4,556,884       X        28-5284  4165829    146711  244344
                                                           90,255,399   3,829,249       X      X 28-5284  2549902    683545  595802
                                                              806,518      34,218       X        28-1500              34218
                                                            3,364,146     142,730       X        28-4580   142079               651
                                                            1,633,825      69,318       X      X 28-4580    50363     18955

  CIRRUS LOGIC INC             COM           172755100         18,798       2,480       X      X 28-5284                       2480
                                                                1,706         225       X      X 28-1500      225

  CITADEL BROADCASTING CORP    COM           17285T106        210,709      12,075       X        28-5284    12075

  CINTAS CORP                  COM           172908105     19,722,498     453,495       X        28-5284   328695      5425  119375
                                                           15,769,474     362,600       X      X 28-5284   281235     15655   65710
                                                               94,591       2,175       X      X 28-1500     2175
                                                               80,891       1,860       X      X 28-4580     1750       110

  CITIGROUP INC                COM           172967101    197,286,735   3,815,991       X        28-5284  3493037     71092  251862
                                                          120,850,301   2,337,530       X      X 28-5284  1381979    574710  380841
                                                            1,903,387      36,816       X        28-1500     9269     27547
                                                            4,725,173      91,396       X        28-4580    89274              2122
                                                            3,243,244      62,732       X      X 28-4580    49320     11603    1809

  CITIGROUP INC                *W EXP
                                99/99/9      172967127            813         830       X        28-5284      830

  CITIBANK WEST FSB SAN FRAN C CONT LITIG
                                REC          17306J202         12,750      15,000       X        28-5284    15000

  CITIZENS BKG CORP MICH       COM           174420109         19,578         600       X        28-5284      600
0                COLUMN TOTAL                             587,314,327
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 48 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CITIZENS COMMUNICATIONS CO   COM           17453B101        110,132       8,511       X        28-5284     8511
                                                              363,886      28,121       X      X 28-5284    28121
                                                               45,924       3,549       X      X 28-4580     3549

  CITRIX SYS INC               COM           177376100         68,146       3,152       X        28-5284     3152
                                                              176,203       8,150       X      X 28-5284     6200              1950
                                                              228,286      10,559       X        28-1500    10559
                                                                8,648         400       X      X 28-4580      400

  CITY HLDG CO                 COM           177835105        231,442       6,691       X        28-5284     6691

  CITY INVESTING CO LIQ TR     UNIT BEN
                                INT          177900107          1,131         580       X        28-5284      530                50
                                                                  170          87       X      X 28-5284       87

  CITY NATL CORP               COM           178566105        185,690       3,100       X      X 28-5284     1000              2100

  CLAIRES STORES INC           COM           179584107         20,840       1,000       X      X 28-5284     1000

  CLASSIC BANCSHARES INC       COM           18272M104         11,266         282       X        28-1500      282

  CLEAR CHANNEL COMMUNICATIONS COM           184502102      3,499,804      82,640       X        28-5284    58687      2400   21553
                                                            2,888,016      68,194       X      X 28-5284    37011     28946    2237
                                                              324,486       7,662       X      X 28-1500     7662
                                                               30,153         712       X        28-4580      712
                                                               19,905         470       X      X 28-4580      470

  CLEVELAND CLIFFS INC         COM           185896107          4,318          66       X      X 28-5284       66

  CLOROX CO DEL                COM           189054109      9,872,288     201,846       X        28-5284   186046             15800
                                                            3,793,851      77,568       X      X 28-5284    64826      8542    4200
                                                                9,782         200       X        28-1500                200
                                                              322,806       6,600       X      X 28-4580     6600

  COACH INC                    COM           189754104      3,290,144      80,267       X        28-5284    80267
                                                            3,601,955      87,874       X      X 28-5284    46738     40484     652

  COCA COLA CO                 COM           191216100    104,501,771   2,077,570       X        28-5284  1773563     67965  236042
                                                           85,287,473   1,695,576       X      X 28-5284  1187589    420668   87319
                                                              804,901      16,002       X        28-1500              16002
                                                            3,722,955      74,015       X        28-4580    74015
                                                            4,012,431      79,770       X      X 28-4580    67602      8968    3200
0                COLUMN TOTAL                             227,438,803
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 49 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  COCA COLA ENTERPRISES INC    COM           191219104        287,285      11,886       X        28-5284    11886
                                                               15,106         625       X      X 28-1500      625

  COCA-COLA FEMSA S A DE C V   SPON ADR
                                REP L        191241108          9,636         400       X        28-5284      400

  COEUR D ALENE MINES CORP IDA COM           192108108         67,060       9,580       X        28-5284     5280              4300

  COGNEX CORP                  COM           192422103         30,790         926       X        28-1500      926

  COGNOS INC                   COM           19244C109        126,570       4,075       X        28-5284     4075

  COGNIZANT TECHNOLOGY SOLUTIO CL A          192446102        130,501       2,884       X        28-5284     2884
                                                            1,397,094      30,875       X      X 28-5284    17975             12900
                                                               49,549       1,095       X      X 28-4580     1095

  COHEN & STEERS QUALITY RLTY  COM           19247L106         98,471       5,055       X      X 28-1500     5055

  COHEN & STEERS REIT & PFD IN COM           19247X100         20,213         750       X        28-5284      750

  COHERENT INC                 COM           192479103         52,580       2,000       X        28-5284     2000
                                                               76,057       2,893       X      X 28-5284       93              2800

  COLGATE PALMOLIVE CO         COM           194162103     93,361,550   1,694,402       X        28-5284  1486421     23815  184166
                                                           40,959,522     743,367       X      X 28-5284   453868    255175   34324
                                                              281,837       5,115       X      X 28-1500     5115
                                                            1,532,496      27,813       X        28-4580    27156               657
                                                              583,509      10,590       X      X 28-4580     5523      4830     237

  COLONIAL BANCGROUP INC       COM           195493309         59,200       3,200       X        28-5284     2000      1200
                                                              573,500      31,000       X      X 28-5284    31000

  COLONIAL HIGH INCOME MUN TR  SH BEN INT    195743109         40,775       6,150       X        28-5284     6150
                                                              210,443      31,741       X      X 28-5284    31741

  COLONIAL MUN INCOME TR       SH BEN INT    195799101          1,485         250       X      X 28-5284      250

  COLONIAL PPTYS TR            COM SH BEN
                                INT          195872106        285,600       7,000       X      X 28-5284     1000      4000    2000

  COLUMBIA BANCORP             COM           197227101        353,628      11,400       X      X 28-5284                      11400

  COLUMBIA SPORTSWEAR CO       COM           198516106         54,826         990       X      X 28-5284                        990

  COMFORT SYS USA INC          COM           199908104         41,876       5,800       X      X 28-5284                       5800
0                COLUMN TOTAL                             140,701,159
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 50 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  COMCAST CORP NEW             CL A          20030N101     49,553,509   1,723,001       X        28-5284  1414076     24168  284757
                                                           14,695,986     510,987       X      X 28-5284   360272    121412   29303
                                                              987,302      34,329       X        28-1500    34329
                                                              216,304       7,521       X      X 28-1500     7521
                                                              945,341      32,870       X        28-4580    32762               108
                                                              408,852      14,216       X      X 28-4580    12046      2000     170

  COMCAST CORP NEW             CL A SPL      20030N200    165,220,459   5,932,512       X        28-5284  5906078     11324   15110
                                                          110,050,584   3,951,547       X      X 28-5284   104692     49140 3797715
                                                               91,905       3,300       X      X 28-1500     3300
                                                               15,039         540       X        28-4580      540
                                                               23,394         840       X      X 28-4580      600       240

  COMERICA INC                 COM           200340107        475,409       8,752       X        28-5284     7803               949
                                                              449,281       8,271       X      X 28-5284     5900       625    1746
                                                              385,672       7,100       X        28-1500     7100
                                                              195,552       3,600       X      X 28-1500     3600

  COMM BANCORP INC             COM           200468106      1,023,385      25,040       X        28-5284    25040

  COMMERCE BANCORP INC NJ      COM           200519106        874,293      13,271       X        28-5284    13271
                                                              430,987       6,542       X      X 28-5284     6542

  COMMERCE BANCSHARES INC      COM           200525103         83,445       1,749       X        28-5284     1749
                                                              516,461      10,825       X      X 28-5284       56             10769

  COMMERCE GROUP INC MASS      COM           200641108          9,600         200       X        28-5284      200
                                                               52,800       1,100       X      X 28-5284                       1100

  COMMERCE ONE INC DEL         COM NEW       200693208            258         160       X      X 28-5284      160

  COMMERCIAL BANKSHARES INC    COM           201607108        466,627      17,187       X        28-1500    17187

  COMMERCIAL CAP BANCORP INC   COM           20162L105        122,232       5,333       X      X 28-5284                       5333

  COMMERCIAL NET LEASE RLTY IN COM           202218103          5,925         300       X        28-5284      300
                                                              146,150       7,400       X      X 28-5284                       7400

  COMMONWEALTH INDS INC DEL    COM           203004106         53,114       7,326       X        28-5284     7326

  COMMONWEALTH TEL ENTERPRISES COM           203349105        223,997       5,462       X        28-5284     3462      2000
                                                               68,323       1,666       X      X 28-5284               1666
0                COLUMN TOTAL                             347,792,186
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 51 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  COMMUNITY BANCORP NEW JERSEY COM           20343B109         40,781       1,875       X      X 28-5284     1875

  COMMUNITY BANCSHARES INC S C COM           20343F100         27,375       1,500       X      X 28-5284     1500

  COMMUNITY BK SYS INC         COM           203607106        365,103       7,889       X        28-5284     7889
                                                               47,576       1,028       X      X 28-5284     1028
                                                              587,756      12,700       X        28-1500    12700

  COMMUNITY BKS INC MILLERSBUR COM           203628102         41,246       1,322       X        28-5284     1322
                                                               58,968       1,890       X      X 28-5284     1890

  COMMUNITY CAP CORP S C       COM           20363C102         29,106       1,323       X        28-5284                       1323

  COMMUNITY HEALTH SYS INC NEW COM           203668108         56,912       2,045       X      X 28-5284                       2045

  COMMUNITY FIRST BANKSHARES I COM           203902101         54,638       1,700       X      X 28-5284                       1700

  COMMUNITY TR BANCORP INC     COM           204149108      1,697,223      51,431       X        28-5284    36521             14910
                                                               77,451       2,347       X      X 28-5284     1017              1330
                                                              165,858       5,026       X        28-1500     5026

  COMPANHIA SIDERURGICA NACION SPONSORED
                                ADR          20440W105         27,280         400       X        28-5284      400

  COMPANHIA VALE DO RIO DOCE   SPONSORED
                                ADR          204412209          2,141          39       X        28-5284       39

  COMPASS BANCSHARES INC       COM           20449H109        104,795       2,527       X        28-5284     2527
                                                              522,522      12,600       X      X 28-5284    11600              1000

  COMPUCOM SYS INC             COM           204780100         28,548       5,200       X      X 28-5284                       5200
                                                                5,490       1,000       X      X 28-1500     1000

  COMPUDYNE CORP               COM PAR
                                $0.75        204795306          7,149         636       X        28-1500      636

  COMPUTER ASSOC INTL INC      COM           204912109        187,483       6,980       X        28-5284     6880               100
                                                              179,801       6,694       X      X 28-5284     2564              4130

  COMPUTER SCIENCES CORP       COM           205363104         84,975       2,107       X        28-5284     1407               700
                                                              181,687       4,505       X      X 28-5284     1227      3278
                                                               96,792       2,400       X        28-1500     2400
                                                               26,215         650       X      X 28-4580      650

  COMPX INTERNATIONAL INC      CL A          20563P101            669          50       X        28-5284       50
0                COLUMN TOTAL                               4,705,540
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 52 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  COMPUWARE CORP               COM           205638109          8,396       1,133       X        28-5284     1133
                                                                2,223         300       X      X 28-5284      300

  COMTECH TELECOMMUNICATIONS C COM NEW       205826209        197,200       8,500       X        28-5284     8500

  COMVERSE TECHNOLOGY INC      COM PAR
                                $0.10        205862402         86,165       4,750       X        28-5284     4750
                                                            2,294,964     126,514       X      X 28-5284                     126514
                                                                8,816         486       X      X 28-1500      486

  CONAGRA FOODS INC            COM           205887102      9,917,234     368,123       X        28-5284   357023      6000    5100
                                                            4,210,991     156,310       X      X 28-5284   116089     40221
                                                              106,224       3,943       X      X 28-1500     3943
                                                                7,004         260       X        28-4580      260
                                                               67,350       2,500       X      X 28-4580     2500

  COMPUTER HORIZONS CORP       COM           205908106         21,070       4,900       X      X 28-5284                       4900

  CONCORDE CAREER COLLEGES INC COM NEW       20651H201          8,424         351       X      X 28-4580      351

  CONCUR TECHNOLOGIES INC      COM           206708109        130,771      11,676       X        28-5284    11676

  CONCURRENT COMPUTER CORP NEW COM           206710204         54,165      15,700       X        28-5284    15700

  CONEXANT SYSTEMS INC         COM           207142100        112,780      18,398       X        28-5284    17998               400
                                                              126,125      20,575       X      X 28-5284     5772      1338   13465
                                                               85,973      14,025       X        28-1500    14025

  CONMED CORP                  COM           207410101         14,770         500       X      X 28-5284                500

  CONNECTICUT BANCSHARES INC   COM           207540105         15,597         300       X      X 28-5284                        300

  CONOCOPHILLIPS               COM           20825C104      9,645,787     138,172       X        28-5284   129323       433    8416
                                                           10,466,962     149,935       X      X 28-5284    54471     36048   59416
                                                               30,367         435       X        28-1500                435
                                                            3,585,791      51,365       X        28-4580    51365
                                                            6,743,367      96,596       X      X 28-4580    93293              3303

  CONSECO INC                  *W EXP
                                09/10/2      208464123            625          92       X        28-5284       92

  CONSECO INC                  COM NEW       208464883            510          22       X        28-5284       22

  CONSOL ENERGY INC            COM           20854P109         92,996       3,470       X        28-5284     3470
0                COLUMN TOTAL                              48,042,647
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 53 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CONSOLIDATED EDISON INC      COM           209115104     20,952,748     475,119       X        28-5284   455392      6930   12797
                                                           14,643,758     332,058       X      X 28-5284   179727     81321   71010
                                                              706,173      16,013       X        28-4580    15713               300
                                                              336,086       7,621       X      X 28-4580     6521      1100

  CONSOLIDATED GRAPHICS INC    COM           209341106         99,970       2,600       X      X 28-5284                       2600

  CONSOLIDATED TOMOKA LD CO    COM           210226106          3,935         106       X        28-5284      106
                                                               22,272         600       X      X 28-5284                        600

  CONSTELLATION BRANDS INC     CL A          21036P108        698,175      21,750       X        28-5284    21750
                                                               44,940       1,400       X      X 28-5284      800               600
                                                               52,965       1,650       X      X 28-1500     1650

  CONSTELLATION ENERGY GROUP I COM           210371100        647,510      16,208       X        28-5284    15758       300     150
                                                            1,108,772      27,754       X      X 28-5284    16505      9919    1330
                                                               23,970         600       X        28-4580      600

  CONTINENTAL AIRLS INC        CL B          210795308          2,506         200       X      X 28-5284      200

  CONVERGYS CORP               COM           212485106      3,041,930     200,127       X        28-5284   196807              3320
                                                              712,196      46,855       X      X 28-5284    40055       400    6400
                                                              310,080      20,400       X      X 28-1500    20400

  COOPER CAMERON CORP          COM           216640102         13,215         300       X        28-5284      300
                                                                4,405         100       X      X 28-5284      100

  COOPER COS INC               COM NEW       216648402         79,380       1,470       X        28-5284     1470
                                                              915,570      16,955       X      X 28-5284    16955

  COOPER TIRE & RUBR CO        COM           216831107        541,028      26,850       X      X 28-5284    26550       300

  COORS ADOLPH CO              CL B          217016104         10,418         150       X        28-5284      150

  CORILLIAN CORP               COM           218725109         24,750       5,000       X        28-5284     5000

  CORINTHIAN COLLEGES INC      COM           218868107         66,020       2,000       X        28-5284     2000
                                                              627,190      19,000       X      X 28-5284    19000
                                                                6,602         200       X      X 28-1500      200
                                                                5,348         162       X      X 28-4580      162

  CORIXA CORP                  COM           21887F100          5,651         883       X      X 28-5284      883
0                COLUMN TOTAL                              45,707,563
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 54 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CORN PRODS INTL INC          COM           219023108        114,680       2,867       X        28-5284     2867
                                                            1,336,000      33,400       X      X 28-5284    20750     10250    2400
                                                                8,000         200       X        28-4580      200

  CORNERSTONE RLTY INCOME TR I COM           21922V102          9,350       1,000       X        28-5284     1000

  CORNING INC                  COM           219350105      4,622,863     413,494       X        28-5284   403694      2800    7000
                                                            8,372,177     748,853       X      X 28-5284   215217    235630  298006
                                                                3,354         300       X      X 28-1500      300
                                                               32,780       2,932       X        28-4580     2932
                                                              211,738      18,939       X      X 28-4580    18939

  CORPORATE EXECUTIVE BRD CO   COM           21988R102         59,925       1,275       X      X 28-5284      175              1100

  CORPORATE HIGH YIELD FD V IN COM           219931102         23,326       1,501       X      X 28-5284     1501

  CORPORATE OFFICE PPTYS TR    SH BEN INT    22002T108         37,500       1,500       X        28-5284     1500
                                                              587,500      23,500       X      X 28-5284              23500

  CORRECTIONS CORP AMER NEW    COM NEW       22025Y407         15,557         437       X        28-5284      437
                                                               18,761         527       X      X 28-1500      527

  CORUS BANKSHARES INC         COM           220873103         88,638       2,200       X      X 28-5284                       2200

  CORVIS CORP                  COM           221009103         24,960      13,000       X        28-5284    13000
                                                                5,376       2,800       X      X 28-5284     2800

  COSI INC                     COM           22122P101         56,000      10,000       X      X 28-5284    10000

  COST PLUS INC CALIF          COM           221485105        137,775       3,300       X      X 28-5284                       3300

  COSTCO WHSL CORP NEW         COM           22160K105     32,923,192     875,384       X        28-5284   705154      5565  164665
                                                            8,196,987     217,947       X      X 28-5284   164647     38400   14900
                                                            1,137,703      30,250       X        28-1500    30250
                                                              284,520       7,565       X      X 28-1500     7565
                                                                8,650         230       X        28-4580      230
                                                               47,013       1,250       X      X 28-4580      600       650

  COTT CORP QUE                COM           22163N106        146,950       5,000       X        28-5284     5000
                                                              352,680      12,000       X      X 28-5284    12000
0                COLUMN TOTAL                              58,863,955
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 55 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  COUNTRYWIDE FINANCIAL CORP   COM           222372104     11,726,556     122,279       X        28-5284    92526      3665   26088
                                                            3,410,779      35,566       X      X 28-5284    24420      9425    1721
                                                               19,180         200       X      X 28-1500      200
                                                               45,265         472       X        28-4580      472
                                                              110,765       1,155       X      X 28-4580     1155

  COURIER CORP                 COM           222660102          4,489         100       X      X 28-5284      100

  COUSINS PPTYS INC            COM           222795106        221,988       6,770       X      X 28-5284                       6770

  COVANCE INC                  COM           222816100        301,350       8,750       X        28-5284     8750
                                                               62,026       1,801       X      X 28-5284      707       994     100

  COVENANT TRANS INC           CL A          22284P105         36,060       2,000       X      X 28-5284                       2000

  COVENTRY HEALTH CARE INC     COM           222862104         35,176         831       X        28-5284      831
                                                              801,603      18,937       X      X 28-5284    16117       300    2520

  COVISTA COMMUNICATIONS INC   COM           223574104            897         293       X      X 28-5284                        293

  COX COMMUNICATIONS INC NEW   CL A          224044107        262,470       8,306       X        28-5284     7324               982
                                                              421,260      13,331       X      X 28-5284     2306      2660    8365

  CRAFTMADE INTL INC           COM           22413E104          5,496         200       X      X 28-1500      200

  CRANE CO                     COM           224399105        104,082       3,154       X        28-5284     3154
                                                              118,470       3,590       X      X 28-5284     3500        90

  CRAWFORD & CO                CL B          224633107            686         135       X      X 28-5284      135

  CRAWFORD & CO                CL A          224633206            366          75       X      X 28-5284       75

  CREDIT SUISSE ASSET MGMT INC COM           224916106         24,585       5,500       X        28-5284     5500
                                                               91,948      20,570       X      X 28-5284    20570

  CRAY INC                     COM           225223106         33,150       5,000       X        28-5284                       5000
                                                               91,494      13,800       X      X 28-5284     5000              8800

  CREDIT SUISSE HIGH YLD BND F SH BEN INT    22544F103        428,655      83,234       X        28-5284    83234
                                                                5,665       1,100       X      X 28-1500     1100

  CREE INC                     COM           225447101        127,489       5,735       X      X 28-5284      600              5135
0                COLUMN TOTAL                              18,491,950
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 56 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CRESCENT BKG CO              COM           225646108      3,866,400     143,200       X        28-1500   143200

  CRESCENT REAL ESTATE EQUITIE COM           225756105        161,281       8,975       X        28-5284     8975
                                                               25,158       1,400       X      X 28-5284               1400

  CRESCENT REAL ESTATE EQUITIE PFD CV A
                                6.75%        225756204         18,858         826       X      X 28-5284      826

  CRIIMI MAE INC               PFD B
                                CONV $25     226603207         11,880         450       X        28-5284      450

  CRIIMI MAE INC               COM NEW       226603504            178          16       X        28-5284       16

  CROMPTON CORP                COM           227116100         40,832       6,400       X      X 28-5284                       6400

  CROSS CTRY HEALTHCARE INC    COM           227483104         16,660       1,000       X        28-5284     1000
                                                               41,650       2,500       X      X 28-5284                       2500

  CROSS TIMBERS RTY TR         TR UNIT       22757R109         56,813       2,004       X        28-5284     2004

  CROWN CASTLE INTL CORP       COM           228227104      6,150,444     486,971       X        28-5284   486971

  CROWN HOLDINGS INC           COM           228368106      1,210,006     129,829       X        28-5284   129829
                                                              363,387      38,990       X      X 28-5284    33450              5540
                                                                9,320       1,000       X      X 28-4580     1000

  CTI MOLECULAR IMAGING INC    COM           22943D105          7,295         500       X        28-5284      500

  CUBIST PHARMACEUTICALS INC   COM           229678107            460          50       X        28-5284       50

  CULLEN FROST BANKERS INC     COM           229899109         51,312       1,200       X      X 28-5284                       1200

  CUMMINS INC                  COM           231021106         72,829       1,246       X        28-5284     1246

  CUMULUS MEDIA INC            CL A          231082108          5,997         300       X        28-5284      300
                                                               61,969       3,100       X      X 28-5284                       3100

  CURAGEN CORP                 COM           23126R101          6,240       1,000       X      X 28-5284     1000

  CURTISS WRIGHT CORP          COM           231561101          4,687         100       X      X 28-5284      100

  CURTISS WRIGHT CORP          CL B          231561408          3,014          66       X        28-5284       66

  CUTTER & BUCK INC            COM           232217109          5,040         500       X        28-5284      500
0                COLUMN TOTAL                              12,191,710
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 57 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  CYBERONICS INC               COM           23251P102         59,875       2,500       X        28-5284                       2500

  CYBEX INTL INC               COM           23252E106            630         200       X        28-5284      200

  CYMER INC                    COM           232572107         23,166         600       X      X 28-5284                        600
                                                               44,286       1,147       X        28-1500     1147

  CYPRESS SEMICONDUCTOR CORP   COM           232806109         86,179       4,210       X        28-5284     4050               160
                                                              812,659      39,700       X      X 28-5284    39700
                                                                4,094         200       X      X 28-1500      200

  CYTEC INDS INC               COM           232820100          5,656         159       X        28-5284      159
                                                               98,529       2,770       X      X 28-5284      654        36    2080
                                                               48,766       1,371       X      X 28-4580     1371

  CYTOGEN CORP                 COM NEW       232824300          2,474         200       X        28-5284      200

  CYTRX CORP                   COM NEW       232828301         21,988      12,500       X      X 28-1500    12500

  D & E COMMUNICATIONS INC     COM           232860106          3,098         220       X      X 28-5284                220

  D & K HEALTHCARE RES INC     COM           232861104         54,920       5,358       X        28-5284     5358

  CYTYC CORP                   COM           232946103         26,700       1,200       X        28-5284     1200
                                                              172,994       7,775       X      X 28-5284                       7775
                                                              193,575       8,700       X      X 28-1500     8700

  DHB INDS INC                 COM           23321E103         14,740       2,000       X      X 28-1500     2000

  DJ ORTHOPEDICS INC           COM           23325G104         51,700       2,000       X      X 28-5284     2000

  DNP SELECT INCOME FD         COM           23325P104        931,186      81,683       X        28-5284    81683
                                                              230,679      20,235       X      X 28-5284    18481      1754
                                                              497,416      43,633       X        28-1500              43633

  DPAC TECHNOLOGIES CORP       COM           233269109         50,500      50,500       X        28-5284    50500
                                                                1,700       1,700       X      X 28-5284               1700

  DPL INC                      COM           233293109        958,163      51,102       X        28-5284    51102
                                                              330,206      17,611       X      X 28-5284    12761      1850    3000
                                                              281,250      15,000       X      X 28-1500    15000

  DRS TECHNOLOGIES INC         COM           23330X100         97,930       3,500       X      X 28-5284                       3500
0                COLUMN TOTAL                               5,105,059
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 58 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  D R HORTON INC               COM           23331A109        434,372      12,260       X        28-5284    12260
                                                            1,038,595      29,314       X      X 28-5284    27000              2314

  DSP GROUP INC                COM           23332B106         61,920       2,400       X      X 28-5284                       2400
                                                               61,430       2,381       X        28-1500     2381

  DST SYS INC DEL              COM           233326107         18,140         400       X        28-5284      400
                                                              109,747       2,420       X      X 28-5284      200              2220

  DTE ENERGY CO                COM           233331107        334,426       8,127       X        28-5284     6384       500    1243
                                                              152,584       3,708       X      X 28-5284     2273       604     831
                                                               19,546         475       X      X 28-4580      475

  DTF TAX-FREE INCOME INC      COM           23334J107         99,068       5,986       X        28-5284     5286               700
                                                                8,275         500       X      X 28-4580      500

  DADE BEHRING HLDGS INC       COM           23342J206         67,165       1,510       X      X 28-5284                       1510

  DAILY JOURNAL CORP           COM           233912104         36,010       1,000       X        28-5284     1000

  DANA CORP                    COM           235811106         43,831       2,207       X        28-5284     2207
                                                              303,580      15,286       X      X 28-5284     5050      5836    4400

  DANAHER CORP DEL             COM           235851102      6,086,510      65,187       X        28-5284    47732      1270   16185
                                                            5,041,140      53,991       X      X 28-5284    20847     23270    9874
                                                               14,006         150       X        28-4580      150
                                                               46,685         500       X      X 28-4580      400       100

  DANKA BUSINESS SYS PLC       SPONSORED
                                ADR          236277109         28,743       6,700       X      X 28-5284                       6700
                                                                5,577       1,300       X      X 28-1500     1300

  DARDEN RESTAURANTS INC       COM           237194105      1,388,488      56,010       X        28-5284    56010
                                                              720,571      29,067       X      X 28-5284    23910       300    4857
                                                               29,748       1,200       X        28-1500               1200
                                                               12,395         500       X        28-4580      500

  DATARAM CORP                 COM PAR $1    238108203         45,688       7,369       X      X 28-5284                       7369

  DATASCOPE CORP               COM           238113104         14,056         400       X      X 28-5284                        400

  DAUGHERTY RES INC            COM           238215107        123,410      20,500       X        28-5284                      20500

  DAVE & BUSTERS INC           COM           23833N104         31,289       2,079       X      X 28-5284                       2079
0                COLUMN TOTAL                              16,376,995
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 59 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  DAVITA INC                   COM           23918K108        168,796       3,535       X      X 28-5284       75              3460

  DEAN FOODS CO NEW            COM           242370104      1,956,472      58,577       X        28-5284    58577
                                                              564,794      16,910       X      X 28-5284       36      9344    7530

  DEBT STRATEGIES FD INC NEW   COM           24276Q109         34,803       5,156       X        28-5284     5156
                                                              136,222      20,181       X      X 28-5284    20181

  DECODE GENETICS INC          COM           243586104         15,945       1,500       X        28-5284     1500

  DECORATOR INDS INC           COM PAR
                                $0.20        243631207          3,795         500       X      X 28-5284      500

  DEERE & CO                   COM           244199105      6,500,238      93,785       X        28-5284    90226      1638    1921
                                                            2,293,537      33,091       X      X 28-5284    22661      3875    6555

  DEL LABS INC                 COM           245091103         34,860       1,050       X      X 28-5284                       1050

  DEL MONTE FOODS CO           COM           24522P103      1,809,360     160,832       X        28-5284   144527     11494    4811
                                                            1,635,278     145,358       X      X 28-5284    84037     52987    8334
                                                               91,215       8,108       X        28-4580     8108
                                                              161,123      14,322       X      X 28-4580    14322

  DELAWARE INVTS DIV & INCOME  COM           245915103         17,645       1,423       X        28-5284     1423

  DELAWARE INV GLBL DIV & INC  COM           245916101          8,687         700       X      X 28-5284      700

  DELL INC                     COM           24702R101     95,278,777   2,833,991       X        28-5284  2647321     24609  162061
                                                           33,699,948   1,002,378       X      X 28-5284   602534    259164  140680
                                                              620,289      18,450       X      X 28-1500    18450
                                                            1,263,944      37,595       X        28-4580    36682               913
                                                              981,738      29,201       X      X 28-4580    25284      3540     377

  DELPHI CORP                  COM           247126105        381,558      38,309       X        28-5284    36272       608    1429
                                                              642,450      64,503       X      X 28-5284    34279     27218    3006
                                                                1,384         139       X        28-1500                139
                                                               15,737       1,580       X        28-4580     1580
                                                                5,478         550       X      X 28-4580      550

  DELPHI FINL GROUP INC        CL A          247131105        105,890       2,520       X      X 28-5284       70              2450

  DELTA AIR LINES INC DEL      COM           247361108          5,544         700       X        28-5284      700
                                                               25,471       3,216       X      X 28-5284     1030              2186
0                COLUMN TOTAL                             148,460,978
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 60 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  DELTA APPAREL INC            COM           247368103         19,900       1,000       X      X 28-5284                       1000

  DELTA NAT GAS INC            COM           247748106         12,645         500       X        28-5284      500
                                                                8,852         350       X      X 28-5284      350
                                                              204,343       8,080       X        28-1500     4883      3197

  DENBURY RES INC              COM NEW       247916208          8,430         500       X        28-5284      500

  DELUXE CORP                  COM           248019101         61,473       1,533       X        28-5284     1533
                                                              103,739       2,587       X      X 28-5284     2055       532

  DENTSPLY INTL INC NEW        COM           249030107         66,495       1,500       X        28-5284     1500
                                                              434,434       9,800       X      X 28-5284     6500      1000    2300

  DEPARTMENT 56 INC            COM           249509100          2,956         200       X      X 28-5284      200

  DEPOMED INC                  COM           249908104         54,810       7,000       X      X 28-5284                       7000

  DEUTSCHE TELEKOM AG          SPONSORED
                                ADR          251566105         30,794       1,707       X        28-5284     1707
                                                               18,040       1,000       X      X 28-5284     1000

  DEVELOPERS DIVERSIFIED RLTY  COM           251591103        133,724       3,310       X        28-5284     3310
                                                              149,480       3,700       X      X 28-5284     2300      1400

  DEVON ENERGY CORP NEW        COM           25179M103        900,046      15,478       X        28-5284    15078               400
                                                            1,312,097      22,564       X      X 28-5284     6021      9319    7224
                                                              172,706       2,970       X      X 28-1500     2970

  DEVRY INC DEL                COM           251893103          5,397         179       X      X 28-4580      179

  DIAGEO P L C                 SPON ADR
                                NEW          25243Q205         38,602         730       X        28-5284      730
                                                               52,880       1,000       X      X 28-5284               1000
                                                              417,752       7,900       X      X 28-1500     7900

  DIAMOND OFFSHORE DRILLING IN COM           25271C102         73,707       3,047       X        28-5284     3047

  DIAMONDS TR                  UNIT SER 1    252787106      8,189,000      78,801       X        28-5284    58215     10283   10303
                                                            6,332,365      60,935       X      X 28-5284    35198     25087     650
                                                            1,220,021      11,740       X      X 28-1500    11740
                                                               93,528         900       X        28-4580      900

  DICKS SPORTING GOODS INC     COM           253393102        505,818       8,700       X      X 28-5284     7700              1000
                                                               23,256         400       X      X 28-1500      400
0                COLUMN TOTAL                              20,647,290
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 61 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  DIEBOLD INC                  COM           253651103         62,556       1,300       X        28-5284     1300
                                                              180,931       3,760       X      X 28-5284     1500              2260
                                                               25,022         520       X      X 28-1500      520
                                                               45,714         950       X      X 28-4580      950

  DIGENE CORP                  COM           253752109         41,256       1,200       X        28-5284     1200
                                                                6,876         200       X      X 28-5284      200

  DIGITAL VIDEO SYS INC        COM NEW       25387R407          6,160       4,000       X        28-5284     4000

  DIGITAL RIV INC              COM           25388B104         63,450       2,700       X      X 28-5284                       2700
                                                              184,029       7,831       X        28-1500     7831

  DIGITAS INC                  COM           25388K104        111,400      10,826       X      X 28-5284                      10826

  DIME CMNTY BANCSHARES        COM           253922108         91,575       4,500       X      X 28-5284     4500

  DIME BANCORP INC NEW         *W EXP
                                99/99/9      25429Q110          3,523      19,572       X        28-5284    19472               100
                                                                  481       2,670       X      X 28-5284     2670

  DIMON INC                    COM           254394109         42,600       6,000       X      X 28-5284                       6000

  DIONEX CORP                  COM           254546104        286,805       5,435       X        28-5284               2435    3000
                                                              950,704      18,016       X      X 28-5284    14000      1016    3000

  DISNEY WALT CO               COM DISNEY    254687106     58,636,711   2,346,407       X        28-5284  2013297     35052  298058
                                                           36,885,540   1,476,012       X      X 28-5284  1181939    230006   64067
                                                            2,374,075      95,001       X        28-1500    47355     47646
                                                              254,698      10,192       X        28-4580    10192
                                                              882,772      35,325       X      X 28-4580    25500      9825

  DISTRIBUTED ENERGY SYS CORP  COM           25475V104          2,988         900       X      X 28-5284      900

  DIXON TICONDEROGA CO         COM           255860108         24,430       7,000       X        28-4580     7000

  DOCUCORP INTL INC            COM           255911109          2,348         200       X      X 28-5284                200

  DOLLAR GEN CORP              COM           256669102      1,303,661      67,899       X        28-5284    67060               839
                                                              380,026      19,793       X      X 28-5284    11793      8000
                                                              515,808      26,865       X        28-1500              26865

  DOLLAR THRIFTY AUTOMOTIVE GP COM           256743105         42,959       1,700       X      X 28-5284                       1700
0                COLUMN TOTAL                             103,409,098
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 62 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  DOLLAR TREE STORES INC       COM           256747106        261,971       8,489       X        28-5284     8365               124
                                                               87,797       2,845       X      X 28-5284                       2845

  DOMINION RES BLACK WARRIOR T UNITS BEN
                                INT          25746Q108         58,527       2,100       X        28-5284     2100

  DOMINION RES INC VA NEW      COM           25746U109     22,512,330     350,114       X        28-5284   280920     14760   54434
                                                           29,532,540     459,293       X      X 28-5284   309831    128369   21093
                                                              425,023       6,610       X      X 28-1500     6610
                                                              417,950       6,500       X        28-4580     6500
                                                              541,277       8,418       X      X 28-4580     6668              1750

  DOMTAR INC                   COM           257561100         42,275       3,520       X        28-5284     3520

  DONALDSON INC                COM           257651109      1,744,666      65,762       X        28-5284    34264             31498
                                                               53,060       2,000       X      X 28-5284                       2000
                                                              277,239      10,450       X      X 28-1500    10450

  DONNELLEY R R & SONS CO      COM           257867101        585,126      19,343       X        28-5284    14883      4460
                                                              544,772      18,009       X      X 28-5284     3784      5425    8800
                                                               74,869       2,475       X      X 28-1500     2475

  DOR BIOPHARMA INC            COM           258094101         26,382      31,407       X      X 28-5284                      31407

  DORAL FINL CORP              COM           25811P100          9,539         271       X      X 28-5284      271
                                                               35,200       1,000       X      X 28-1500     1000
                                                              316,800       9,000       X      X 28-4580     9000

  DORCHESTER MINERALS LP       COM UNIT      25820R105         17,900       1,000       X      X 28-5284     1000

  DOUBLECLICK INC              COM           258609304          9,000         800       X        28-5284      800
                                                                  450          40       X      X 28-5284       40
                                                              139,669      12,415       X        28-1500    12415

  DOV PHARMACEUTICAL INC       COM           259858108         88,790       5,721       X      X 28-5284                       5721

  DOVER CORP                   COM           260003108     23,102,074     595,875       X        28-5284   424553      7034  164288
                                                            7,137,441     184,097       X      X 28-5284   132250     38047   13800
                                                              111,851       2,885       X        28-1500     2885
                                                              736,281      18,991       X      X 28-1500    18991
                                                              124,064       3,200       X        28-4580     3200

  DOVER DOWNS GAMING & ENTMT I COM           260095104         10,710       1,000       X        28-5284     1000
0                COLUMN TOTAL                              89,025,573
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 63 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  DOVER MOTORSPORTS INC        COM           260174107          3,850       1,000       X        28-5284     1000

  DOW CHEM CO                  COM           260543103     30,146,599     748,426       X        28-5284   673345     23800   51281
                                                           25,599,672     635,543       X      X 28-5284   376067    179437   80039
                                                              108,756       2,700       X        28-1500     2700
                                                              761,655      18,909       X      X 28-1500    18909
                                                              138,281       3,433       X        28-4580     3433
                                                              714,889      17,748       X      X 28-4580    17598       150

  DOW JONES & CO INC           COM           260561105        425,010       8,871       X        28-5284     8871
                                                              772,788      16,130       X      X 28-5284    14380      1450     300
                                                                1,341          28       X      X 28-1500       28
                                                              150,054       3,132       X        28-4580     3132
                                                               68,272       1,425       X      X 28-4580      825               600

  DRAXIS HEALTH INC            COM           26150J101         40,943       7,950       X      X 28-1500     7950

  DREMAN/CLAYMORE DIVID & INC  COM           26153R100          3,864         200       X        28-5284      200

  DREW INDS INC                COM NEW       26168L205          4,736         135       X      X 28-1500      135

  DREXLER TECHNOLOGY CORP      COM           261876106          3,330         250       X      X 28-5284                250

  DREYFUS STRATEGIC MUNS INC   COM           261932107         36,413       3,797       X        28-5284     3797
                                                               58,067       6,055       X      X 28-5284     6055

  DREYFUS HIGH YIELD STRATEGIE SH BEN INT    26200S101          3,918         715       X      X 28-5284      715

  DREYFUS STRATEGIC MUN BD FD  COM           26202F107         64,752       7,100       X        28-5284     7100
                                                              131,520      14,421       X      X 28-5284    14421

  DU PONT E I DE NEMOURS & CO  COM           263534109     65,270,305   1,545,957       X        28-5284  1415357     62467   68133
                                                           95,522,581   2,262,496       X      X 28-5284   994054   1041431  227011
                                                            1,125,036      26,647       X        28-1500    18352      8295
                                                           30,045,821     711,649       X        28-4580   709657              1992
                                                           24,743,115     586,052       X      X 28-4580   519578       300   66174

  DUCOMMUN INC DEL             COM           264147109         17,528         750       X        28-5284      750

  DUFF & PHELPS UTIL CORP BD T COM           26432K108        215,888      14,250       X        28-5284     3650             10600
                                                               16,635       1,098       X      X 28-5284      735       363
0                COLUMN TOTAL                             276,195,619
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 64 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  DUKE ENERGY CORP             COM           264399106     11,049,886     488,933       X        28-5284   440023     15900   33010
                                                            6,923,804     306,363       X      X 28-5284   132738    162541   11084
                                                              116,752       5,166       X        28-1500               5166
                                                               38,465       1,702       X        28-4580     1702

  DUKE REALTY CORP             COM NEW       264411505      5,784,838     166,614       X        28-5284   143189      5225   18200
                                                            8,518,378     245,345       X      X 28-5284   147965     47440   49940
                                                               13,888         400       X      X 28-1500      400
                                                               97,216       2,800       X        28-4580     2800
                                                              104,160       3,000       X      X 28-4580     3000

  DUN & BRADSTREET CORP DEL NE COM           26483E100        754,136      14,096       X        28-5284    14096
                                                              375,838       7,025       X      X 28-5284     5405      1620
                                                              103,416       1,933       X      X 28-4580     1933

  DUPONT PHOTOMASKS INC        COM           26613X101         45,221       1,945       X      X 28-5284       45              1900

  DUQUESNE LT HLDGS INC        COM           266233105        322,160      16,521       X        28-5284    15175              1346
                                                              509,711      26,139       X      X 28-5284    12291     11241    2607
                                                               58,500       3,000       X        28-4580     3000

  DURBAN ROODEPOORT DEEP LTD   SPONSORED
                                ADR          266597301          4,914       1,400       X      X 28-1500     1400

  DYNAMEX INC                  COM           26784F103         38,016       2,700       X        28-5284     2700

  DYNEGY INC NEW               CL A          26816Q101          2,582         652       X        28-5284      652
                                                               23,245       5,870       X      X 28-5284      200              5670

  DYNEX CAP INC                COM NEW       26817Q506          4,388         675       X        28-5284      675

  EGL INC                      COM           268484102        140,010       7,800       X      X 28-5284                       7800

  E-LOAN INC                   COM           26861P107         10,574       3,400       X        28-5284     3400

  E M C CORP MASS              COM           268648102     14,069,419   1,033,756       X        28-5284   941142     15859   76755
                                                            5,591,328     410,825       X      X 28-5284   249982     79189   81654
                                                              206,205      15,151       X      X 28-1500    15151
                                                               58,183       4,275       X        28-4580     4275
                                                              369,512      27,150       X      X 28-4580    26900       250

  ENSCO INTL INC               COM           26874Q100         85,355       3,030       X        28-5284     3030
                                                              169,020       6,000       X      X 28-5284     6000
                                                                  676          24       X      X 28-1500       24
0                COLUMN TOTAL                              55,589,796
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 65 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ENI S P A                    SPONSORED
                                ADR          26874R108        636,793       6,308       X        28-5284     6308
                                                              146,781       1,454       X      X 28-5284                       1454
                                                               31,799         315       X        28-4580      315

  EOG RES INC                  COM           26875P101     35,884,007     781,957       X        28-5284   744177      5927   31853
                                                            6,379,352     139,014       X      X 28-5284    78690     50274   10050
                                                               36,712         800       X        28-1500      800
                                                                4,635         101       X      X 28-1500      101
                                                              663,615      14,461       X        28-4580    13874               587
                                                              104,400       2,275       X      X 28-4580     1811       320     144

  E ON AG                      SPONSORED
                                ADR          268780103          1,651          25       X        28-5284       25

  EP MEDSYSTEMS INC            COM           26881P103          1,550         500       X        28-5284      500

  ESB FINL CORP                COM           26884F102         28,200       2,000       X        28-5284     2000
                                                               80,511       5,710       X      X 28-5284                       5710

  EAGLE BANCORP INC MD         COM           268948106         60,101       3,057       X      X 28-5284                       3057

  ESS TECHNOLOGY INC           COM           269151106          4,442         303       X      X 28-5284      303

  E TRADE FINANCIAL CORP       COM           269246104          1,335         100       X        28-5284      100
                                                               33,909       2,540       X      X 28-5284     2540

  EVCI CAREER COLLEGES INC     COM           26926P100          2,812         223       X      X 28-4580      223

  EAGLE MATERIALS INC          COM           26969P108            294           5       X        28-5284        5
                                                               76,799       1,305       X      X 28-5284        1         4    1300

  EAGLE MATERIALS INC          CL B          26969P207            993          17       X        28-5284       17
                                                                  993          17       X      X 28-5284        3        14

  EARTHLINK INC                COM           270321102          1,623         183       X        28-5284      183
                                                               15,602       1,759       X        28-1500     1759

  EAST WEST BANCORP INC        COM           27579R104        100,800       1,800       X      X 28-5284                       1800

  EASTERN AMERN NAT GAS TR     SPERS RCT
                                UNIT         276217106         71,340       3,000       X      X 28-5284     3000
                                                                9,512         400       X      X 28-1500      400

  EASTGROUP PPTY INC           COM           277276101         77,213       2,175       X        28-5284     2175
                                                               56,800       1,600       X      X 28-5284                       1600
0                COLUMN TOTAL                              44,514,574
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 66 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  EASTMAN CHEM CO              COM           277432100        115,919       2,716       X        28-5284     2716
                                                              610,793      14,311       X      X 28-5284     8362      3126    2823
                                                               12,804         300       X        28-4580      300
                                                               44,088       1,033       X      X 28-4580     1033

  EASTMAN KODAK CO             COM           277461109        684,607      26,160       X        28-5284    24752       640     768
                                                            1,487,948      56,857       X      X 28-5284    38793     14651    3413
                                                                2,617         100       X      X 28-1500      100
                                                               85,053       3,250       X        28-4580     3250
                                                               94,997       3,630       X      X 28-4580     3630

  EATON CORP                   COM           278058102      1,163,920      20,714       X        28-5284    20514       200
                                                            1,903,830      33,882       X      X 28-5284    13782     19700     400

  EATON VANCE SR INCOME TR     SH BEN INT    27826S103         23,575       2,500       X        28-5284     2500

  EATON VANCE MUNI INCOME TRUS SH BEN INT    27826U108         18,536       1,133       X      X 28-5284     1133

  EATON VANCE CORP             COM NON
                                VTG          278265103         41,932       1,100       X        28-5284     1100
                                                                9,530         250       X      X 28-5284                        250

  EATON VANCE INS MUN BD FD    COM           27827X101        277,210      19,000       X        28-5284    19000
                                                               14,984       1,027       X      X 28-5284     1027

  EATON VANCE LTD DUR INCOME F COM           27828H105         26,217       1,350       X        28-5284     1350
                                                               19,420       1,000       X      X 28-5284     1000

  EATON VANCE INS PA MUN BD FD COM           27828W102         38,544       2,400       X        28-5284     2400

  EBAY INC                     COM           278642103      3,080,050      44,458       X        28-5284    44458
                                                            1,238,380      17,875       X      X 28-5284    17145       200     530
                                                              103,227       1,490       X      X 28-1500     1490

  ECHELON CORP                 COM           27874N105          3,381         300       X      X 28-5284      300
                                                                2,254         200       X      X 28-1500      200

  ECHOSTAR COMMUNICATIONS NEW  CL A          278762109      1,729,528      52,810       X        28-5284    52810
                                                               33,078       1,010       X      X 28-5284       50               960

  ECLIPSYS CORP                COM           278856109         86,906       6,447       X        28-5284     6447
0                COLUMN TOTAL                              12,953,328
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 67 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ECOLAB INC                   COM           278865100      8,279,406     290,200       X        28-5284   108105       175  181920
                                                            1,754,652      61,502       X      X 28-5284    24980     31302    5220
                                                               10,670         374       X      X 28-4580      374

  EDISON INTL                  COM           281020107         84,529       3,480       X        28-5284     3480
                                                              171,609       7,065       X      X 28-5284     4122      2943

  EDUCATION MGMT CORP          COM           28139T101        125,729       3,950       X        28-5284     3950
                                                              159,150       5,000       X      X 28-5284     4300               700
                                                                4,679         147       X      X 28-4580      147

  EDUCATION LENDING GROUP INC  COM           28140A109         31,640       2,000       X        28-5284     2000

  EDWARDS LIFESCIENCES CORP    COM           28176E108         83,581       2,616       X        28-5284     2436               180
                                                               37,797       1,183       X      X 28-5284     1103        80
                                                                3,195         100       X      X 28-1500      100

  EDWARDS AG INC               COM           281760108          5,594         143       X      X 28-1500      143

  EFUNDS CORP                  COM           28224R101          8,610         525       X      X 28-5284      525

  EL PASO CORP                 COM           28336L109        226,062      31,795       X        28-5284    28295       200    3300
                                                              139,491      19,619       X      X 28-5284     6654     12402     563
                                                              272,313      38,300       X      X 28-1500    38300
                                                                4,977         700       X        28-4580      575               125
                                                                   57           8       X      X 28-4580        8

  EL PASO ELEC CO              COM NEW       283677854         45,672       3,300       X      X 28-5284                       3300

  EL PASO ENERGY CAP TR I      PFD CV TR
                                SECS         283678209          6,390         200       X        28-5284      200

  ELAN PLC                     ADR           284131208        123,720       6,000       X        28-5284     6000
                                                               83,779       4,063       X      X 28-5284     3049       100     914

  ELECTRO RENT CORP            COM           285218103         11,198       1,100       X      X 28-5284                       1100

  ELECTRO SCIENTIFIC INDS      COM           285229100         16,478         700       X        28-5284      700
                                                                9,416         400       X      X 28-5284                        400

  ELECTRONIC ARTS INC          COM           285512109     13,665,168     254,283       X        28-5284   245183      1665    7435
                                                            5,077,301      94,479       X      X 28-5284    40880     11670   41929
                                                              353,555       6,579       X        28-4580     6158               421
                                                               64,810       1,206       X      X 28-4580     1206
0                COLUMN TOTAL                              30,861,228
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 68 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ELECTRONIC DATA SYS NEW      COM           285661104      3,124,270     161,461       X        28-5284   118461      1300   41700
                                                            1,633,295      84,408       X      X 28-5284    30622     51461    2325
                                                              170,764       8,825       X      X 28-1500     8825
                                                               25,619       1,324       X        28-4580     1324
                                                               11,900         615       X      X 28-4580      615

  ELECTRONICS BOUTIQUE HLDGS C COM           286045109          8,682         296       X        28-1500      296

  ELECTRONICS FOR IMAGING INC  COM           286082102        207,125       8,430       X      X 28-5284                       8430

  ELKCORP                      COM           287456107        216,720       8,000       X      X 28-5284     8000

  EMBRAER-EMPRESA BRASILEIRA D SP ADR PFD
                                SHS          29081M102        192,600       6,000       X      X 28-5284     6000

  EMCOR GROUP INC              COM           29084Q100         36,700       1,000       X      X 28-5284      200               800

  EMERGE INTERACTIVE INC       CL A          29088W103         15,801       8,730       X        28-5284     8730
                                                                  362         200       X      X 28-5284      100               100

  EMERSON ELEC CO              COM           291011104     46,784,577     780,784       X        28-5284   716333     23785   40666
                                                           44,717,457     746,286       X      X 28-5284   459750    235254   51282
                                                              211,817       3,535       X        28-1500               3535
                                                              383,907       6,407       X        28-4580     6407
                                                            1,904,617      31,786       X      X 28-4580    27156      3830     800

  EMPIRE DIST ELEC CO          COM           291641108         13,590         600       X        28-5284      600
                                                               15,855         700       X      X 28-5284                        700

  EMULEX CORP                  COM NEW       292475209        100,680       4,729       X        28-5284     4729
                                                               42,580       2,000       X      X 28-5284     2000
                                                               42,580       2,000       X      X 28-4580     2000

  ENBRIDGE INC                 COM           29250N105        107,015       2,630       X        28-5284     2630

  ENBRIDGE ENERGY PARTNERS L P COM           29250R106        321,313       6,283       X        28-5284     4283              2000
                                                              625,238      12,226       X      X 28-5284     6800      5426
                                                               15,342         300       X      X 28-1500      300

  ENCANA CORP                  COM           292505104        651,974      15,120       X        28-5284    15120
                                                              127,075       2,947       X      X 28-5284     2147               800

  ENCORE ACQUISITION CO        COM           29255W100         22,160         800       X      X 28-5284                        800
0                COLUMN TOTAL                             101,731,615
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 69 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ENCYSIVE PHARMACEUTICALS INC COM           29256X107          5,140         500       X        28-5284      500

  ENCORE WIRE CORP             COM           292562105         44,676       1,200       X        28-5284     1200

  ENDESA S A                   SPONSORED
                                ADR          29258N107            802          44       X        28-5284       44

  ENDWAVE CORP                 COM NEW       29264A206          8,559         900       X      X 28-5284                        900

  ENDO PHARMACEUTICALS HLDGS I COM           29264F205         85,470       3,500       X      X 28-5284                       3500

  ENERGEN CORP                 COM           29265N108         23,018         558       X        28-5284      558
                                                               70,125       1,700       X      X 28-1500     1700

  ENERGY CONVERSION DEVICES IN COM           292659109          8,811         900       X      X 28-5284      900

  ENERGY EAST CORP             COM           29266M109        189,794       7,484       X        28-5284     6984               500
                                                              716,395      28,249       X      X 28-5284     7781     16868    3600
                                                               13,847         546       X      X 28-4580      546

  ENERGIZER HLDGS INC          COM           29266R108        167,757       3,593       X        28-5284     3593
                                                            1,001,314      21,446       X      X 28-5284    21446

  ENERGY PARTNERS LTD          COM           29270U105         54,735       4,100       X        28-5284     4100

  ENERGY TRANSFER PRTNRS L P   UNIT LTD
                                PARTN        29273R109         25,805         650       X        28-5284      650
                                                                7,940         200       X      X 28-5284                200

  ENERPLUS RES FD              UNIT TR G
                                NEW          29274D604        349,815      11,935       X        28-5284    11935
                                                              126,033       4,300       X      X 28-5284     1000      2300    1000
                                                               14,655         500       X      X 28-1500      500
                                                               21,601         737       X      X 28-4580      737

  ENGELHARD CORP               COM           292845104        225,371       7,540       X        28-5284     3040              4500
                                                              318,747      10,664       X      X 28-5284     7700       364    2600

  ENGINEERED SUPPORT SYS INC   COM           292866100        500,303      10,250       X      X 28-5284    10000               250

  ENNIS BUSINESS FORMS INC     COM           293389102         30,132       1,800       X        28-5284     1800
                                                               66,960       4,000       X        28-4580     4000

  ENPRO INDS INC               COM           29355X107            870          46       X        28-5284       46
                                                               19,450       1,028       X      X 28-5284       28              1000
0                COLUMN TOTAL                               4,098,125
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 70 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ENSTAR GROUP INC GA          COM           29358R107         44,900       1,000       X        28-5284     1000

  ENTEGRIS INC                 COM           29362U104         66,040       5,200       X        28-5284                       5200
                                                              152,400      12,000       X      X 28-5284                      12000

  ENTERASYS NETWORKS INC       COM           293637104         14,168       5,600       X      X 28-5284               1600    4000

  ENTERCOM COMMUNICATIONS CORP CL A          293639100        125,624       2,775       X        28-5284     2775
                                                              208,921       4,615       X      X 28-5284                       4615

  ENTERGY CORP NEW             COM           29364G103      8,214,987     138,067       X        28-5284   110777      2462   24828
                                                            6,042,701     101,558       X      X 28-5284    56526     36096    8936
                                                              410,550       6,900       X        28-4580     6750               150
                                                               53,550         900       X      X 28-4580      300        50     550

  ENTERPRISE PRODS PARTNERS L  COM           293792107        197,148       8,400       X        28-5284     8400
                                                              123,452       5,260       X      X 28-5284               4260    1000
                                                               23,470       1,000       X      X 28-1500     1000

  ENTRAVISION COMMUNICATIONS C CL A          29382R107        154,733      17,250       X        28-5284    17250

  ENTRUST INC                  COM           293848107            872         200       X        28-5284      200

  ENZON PHARMACEUTICALS INC    COM           293904108        462,900      30,000       X      X 28-5284    30000
                                                               15,430       1,000       X        28-4580     1000

  EON LABS INC                 COM           29412E100        590,304       8,800       X      X 28-5284     8800

  EPICOR SOFTWARE CORP         COM           29426L108         59,310       4,500       X      X 28-5284                       4500

  EQUIFAX INC                  COM           294429105      2,322,277      89,941       X        28-5284    89941
                                                              196,697       7,618       X      X 28-5284     5118      1000    1500

  EQUINIX INC                  COM NEW       29444U502        105,067       2,900       X      X 28-5284                       2900

  EQUITABLE RES INC            COM           294549100      1,207,336      27,180       X        28-5284    25922              1258
                                                            1,765,562      39,747       X      X 28-5284    25944     12203    1600
                                                               62,988       1,418       X      X 28-4580     1418

  EQUITY INCOME FD             UT 1 EX
                                SR-ATT       294700703        696,704       8,392       X        28-5284     6225        70    2097
                                                              141,217       1,701       X      X 28-5284     1251       450
                                                               16,604         200       X      X 28-1500      200
0                COLUMN TOTAL                              23,475,912
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 71 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  EQUITY INNS INC              COM           294703103          9,200       1,000       X        28-5284     1000

  EQUITY MARKETING INC         COM           294724109         87,113       5,886       X        28-1500     5886

  EQUITY OFFICE PROPERTIES TRU COM           294741103      4,908,180     169,892       X        28-5284   169892
                                                           19,606,863     678,673       X      X 28-5284   673573              5100
                                                                5,778         200       X      X 28-1500      200

  EQUITY OIL CO                COM           294749106          6,908       1,588       X        28-1500     1588

  EQUITY ONE                   COM           294752100         62,946       3,275       X      X 28-5284      675              2600

  EQUITY RESIDENTIAL           SH BEN INT    29476L107         86,028       2,882       X        28-5284     2882
                                                              263,725       8,835       X      X 28-5284     4065       600    4170
                                                                5,970         200       X      X 28-1500      200

  EQUITY RESIDENTIAL           PFD CONV
                                E 7%         29476L883          9,993         300       X      X 28-5284      300

  ERICSSON L M TEL CO          ADR B SEK
                                10           294821608        276,462       9,959       X        28-5284     9959
                                                              138,939       5,005       X      X 28-5284     2445       800    1760

  ERIE INDTY CO                CL A          29530P102     20,011,395     414,658       X        28-5284   414658
                                                           24,275,552     503,016       X      X 28-5284   494624      3500    4892

  ESCALADE INC                 COM           296056104          3,715         112       X        28-1500      112

  ESCO TECHNOLOGIES INC        COM           296315104          1,199          26       X      X 28-5284                         26

  ESSEX PPTY TR INC            COM           297178105          3,275          50       X      X 28-5284       50

  ESTERLINE TECHNOLOGIES CORP  COM           297425100         62,125       2,500       X      X 28-5284                       2500

  ETABLISSEMENTS DELHAIZE FRER SPONSORED
                                ADR          29759W101        217,899       4,685       X      X 28-5284     4681                 4

  ETHAN ALLEN INTERIORS INC    COM           297602104        541,249      13,118       X        28-5284    13118
                                                               53,019       1,285       X      X 28-5284     1285

  EUROPE FD INC                COM           29874M103          4,785         478       X        28-5284      478

  EVERGREEN RES INC            COM NO PAR    299900308         49,464       1,440       X        28-5284      640       800

  EVERGREEN INCOME ADVANTAGE F COM SHS       30023Y105         38,675       2,500       X        28-5284     2500
0                COLUMN TOTAL                              70,730,457
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 72 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  EVERGREEN MANAGED INCOME FD  COM SHS       30024Y104         18,730       1,000       X        28-5284     1000
                                                               74,920       4,000       X      X 28-5284     4000

  EVERGREEN SOLAR INC          COM           30033R108          2,364         973       X      X 28-5284      973

  EVERTRUST FINL GROUP INC     COM           300412103         18,900       1,050       X        28-5284     1050

  EXACTECH INC                 COM           30064E109         36,800       2,000       X        28-5284     2000

  EXAR CORP                    COM           300645108         49,680       2,700       X      X 28-5284                       2700

  EXCEL TECHNOLOGY INC         COM           30067T103          7,076         225       X        28-5284      225
                                                               53,151       1,690       X      X 28-5284                       1690

  EXELON CORP                  COM           30161N101     35,178,107     510,790       X        28-5284   469380      4722   36688
                                                           13,376,138     194,223       X      X 28-5284   124601     61102    8520
                                                              200,274       2,908       X      X 28-1500     2908
                                                              628,094       9,120       X        28-4580     8917               203
                                                              208,676       3,030       X      X 28-4580     2720       310

  EXELIXIS INC                 COM           30161Q104          1,551         182       X      X 28-5284                        182

  EXEGENICS INC                COM           301610101          1,335       1,500       X      X 28-5284                       1500

  EXPRESS SCRIPTS INC          COM           302182100         34,591         464       X        28-5284      464
                                                              611,012       8,196       X      X 28-5284      196      2500    5500

  EXTENDED STAY AMER INC       COM           30224P101          5,811         300       X      X 28-1500      300

  EXULT INC DEL                COM           302284104         57,288       9,300       X      X 28-5284               5000    4300

  EXXON MOBIL CORP             COM           30231G102    574,320,095  13,809,091       X        28-5284 12193735    371005 1244351
                                                          805,180,321  19,359,950       X      X 28-5284  7029371   4041295 8289284
                                                            2,009,754      48,323       X        28-1500    12633     35690
                                                           14,186,349     341,100       X        28-4580   332784              8316
                                                           42,539,084   1,022,820       X      X 28-4580   934935     75545   12340

  FEI CO                       COM           30241L109         10,925         500       X        28-5284      500
                                                               76,475       3,500       X      X 28-5284                       3500

  FLIR SYS INC                 COM           302445101        135,326       3,550       X        28-5284     3550
0                COLUMN TOTAL                           1,489,022,827
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 73 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FMC TECHNOLOGIES INC         COM           30249U101         51,465       1,904       X        28-5284     1904
                                                               15,056         557       X      X 28-5284      557
                                                               23,219         859       X      X 28-4580      859

  F M C CORP                   COM NEW       302491303         22,266         520       X        28-5284      520
                                                               13,917         325       X      X 28-5284      325

  FNB CORP PA                  COM           302520101        101,329       4,585       X        28-5284     1985              2600
                                                              210,414       9,521       X      X 28-5284     9521
                                                               24,376       1,103       X      X 28-4580     1103

  FPL GROUP INC                COM           302571104     30,164,324     451,224       X        28-5284   374953      5306   70965
                                                           31,839,452     476,282       X      X 28-5284   266341    162369   47572
                                                               22,395         335       X        28-1500                335
                                                              656,400       9,819       X        28-4580     9819
                                                              985,770      14,746       X      X 28-4580    12016      1830     900

  FSI INTL INC                 COM           302633102         22,876       2,800       X      X 28-5284                       2800

  FACTSET RESH SYS INC         COM           303075105         52,136       1,225       X        28-5284     1225

  FAIR ISAAC CORP              COM           303250104        116,647       3,233       X        28-5284     3233
                                                              483,797      13,409       X      X 28-5284      900      1200   11309

  FAIRCHILD SEMICONDUCTOR INTL COM           303726103         21,627         900       X        28-5284      900
                                                              122,313       5,090       X      X 28-5284                       5090

  FAIRMONT HOTELS RESORTS INC  COM           305204109        188,625       7,500       X        28-5284     7500

  FAMILY DLR STORES INC        COM           307000109        512,000      14,242       X        28-5284    13192              1050
                                                            3,052,694      84,915       X      X 28-5284     5115      3300   76500
                                                               10,785         300       X      X 28-1500      300

  FARMERS CAP BK CORP          COM           309562106        182,000       5,200       X        28-5284     1000              4200
                                                                3,500         100       X        28-1500      100

  FARO TECHNOLOGIES INC        COM           311642102         35,635       1,550       X      X 28-5284      150              1400

  FASTENAL CO                  COM           311900104        469,788       8,750       X      X 28-5284                       8750
0                COLUMN TOTAL                              69,404,806
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 74 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FEDERAL HOME LN MTG CORP     COM           313400301    102,590,823   1,737,061       X        28-5284  1474333      7490  255238
                                                           19,726,217     334,003       X      X 28-5284   248086     70282   15635
                                                            1,647,420      27,894       X        28-1500    27894
                                                              912,831      15,456       X      X 28-1500    15456
                                                            1,398,659      23,682       X        28-4580    22971               711
                                                              376,803       6,380       X      X 28-4580     5157      1050     173

  FEDERAL NATL MTG ASSN        COM           313586109     91,997,270   1,237,354       X        28-5284  1158794     33243   45317
                                                           65,359,301     879,076       X      X 28-5284   551185    227293  100598
                                                              493,981       6,644       X      X 28-1500     6644
                                                            1,127,815      15,169       X        28-4580    15169
                                                              627,514       8,440       X      X 28-4580     7040      1400

  FEDERAL REALTY INVT TR       SH BEN INT
                                NEW          313747206        634,095      13,725       X        28-5284    13725
                                                            1,482,697      32,093       X      X 28-5284    11500     20593

  FEDERAL SIGNAL CORP          COM           313855108        105,205       5,300       X        28-5284     1000              4300
                                                               33,150       1,670       X      X 28-5284       70       400    1200
                                                               56,076       2,825       X      X 28-1500     2825

  FEDERATED DEPT STORES INC DE COM           31410H101        205,444       3,801       X        28-5284     3801
                                                              336,569       6,227       X      X 28-5284      137      1000    5090
                                                              109,992       2,035       X        28-1500               2035

  FEDERATED INVS INC PA        CL B          314211103         79,518       2,530       X        28-5284     2530
                                                              285,856       9,095       X      X 28-5284     2100              6995

  FEDERATED PREM MUN INC FD    COM           31423P108        271,869      18,234       X        28-5284    18234

  FEDEX CORP                   COM           31428X106      1,199,704      15,962       X        28-5284    15662               300
                                                            4,307,871      57,316       X      X 28-5284     4300      2200   50816
                                                               33,446         445       X      X 28-1500      445
                                                            1,172,496      15,600       X        28-4580    15600

  FERRELLGAS PARTNERS L.P.     UNIT LTD
                                PART         315293100         44,528       1,760       X        28-5284     1760
                                                               17,710         700       X      X 28-5284      700

  FERRO CORP                   COM           315405100         57,530       2,200       X        28-5284     2200

  F5 NETWORKS INC              COM           315616102        179,584       5,310       X      X 28-5284                       5310
                                                               23,471         694       X        28-1500      664        30
0                COLUMN TOTAL                             296,895,445
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 75 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FIDELITY NATL FINL INC       COM           316326107        249,638       6,304       X        28-5284     6304
                                                            6,879,748     173,731       X      X 28-5284     1211      2739  169781

  FIFTH THIRD BANCORP          COM           316773100     60,608,057   1,094,601       X        28-5284  1003023       715   90863
                                                           16,652,638     300,752       X      X 28-5284   172814     31431   96507
                                                            1,762,316      31,828       X        28-1500        2     31826
                                                               24,363         440       X        28-4580      440
                                                               13,843         250       X      X 28-4580                250

  FILENET CORP                 COM           316869106        133,250       5,000       X        28-5284                       5000
                                                              133,250       5,000       X      X 28-5284                       5000
                                                               39,975       1,500       X      X 28-1500     1500

  FINANCIAL FED CORP           COM           317492106        236,016       7,060       X      X 28-5284                       7060

  FINISAR                      COM           31787A101         45,792      21,200       X      X 28-5284                      21200

  FINISH LINE INC              CL A          317923100          4,897         133       X        28-1500       33       100

  FIRST AMERN CORP CALIF       COM           318522307        118,121       3,883       X        28-5284     3883
                                                               91,260       3,000       X      X 28-5284     2000              1000

  FIRST BANCORP N C            COM           318910106         19,618         623       X        28-5284      623

  FIRST CTZNS BANCSHARES INC N CL A          31946M103         73,800         600       X      X 28-5284      300               300

  FIRST COMWLTH FINL CORP PA   COM           319829107        543,845      36,796       X        28-5284    36796
                                                              377,186      25,520       X      X 28-5284    24170      1350

  FIRST CONSULTING GROUP INC   COM           31986R103         23,644       3,777       X      X 28-5284                       3777

  FIRST FED FINL CORP KY       COM           319961108         75,733       2,860       X        28-5284     2860
                                                              435,490      16,446       X        28-1500    16446

  FIRST DATA CORP              COM           319963104     76,896,509   1,823,921       X        28-5284  1549891     10980  263050
                                                           17,528,821     415,769       X      X 28-5284   301648     84701   29420
                                                            1,955,718      46,388       X        28-1500    38210      8178
                                                              140,013       3,321       X        28-4580     3321
                                                               67,245       1,595       X      X 28-4580     1125       470

  FIRST FINL BANKSHARES        COM           32020R109         50,238       1,250       X        28-5284     1250
                                                               44,209       1,100       X      X 28-5284                       1100
0                COLUMN TOTAL                             185,225,233
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 76 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FIRST FINL BANCORP OH        COM           320209109        289,562      15,652       X      X 28-5284    15652
                                                              191,401      10,346       X      X 28-1500    10346

  FIRST FRANKLIN CORP          COM           320272107      1,091,276      59,600       X        28-5284    59600

  FIRST HORIZON PHARMACEUTICAL COM           32051K106          7,880         500       X        28-5284      500

  FIRST INDUSTRIAL REALTY TRUS COM           32054K103         43,450       1,100       X        28-5284     1100
                                                               60,435       1,530       X      X 28-5284                       1530

  FIRST ISRAEL FD INC          COM           32063L100          6,150         500       X        28-5284      500

  FIRST KEYSTONE FINL INC      COM           320655103         11,400         400       X        28-5284      400
                                                               25,650         900       X      X 28-5284                900

  FIRST MARINER BANCORP        COM           320795107      4,108,888     214,900       X        28-1500   214900

  FIRST MERCHANTS CORP         COM           320817109          5,051         210       X        28-5284      210

  FIRST MIDWEST BANCORP DEL    COM           320867104            958          28       X        28-5284       28
                                                               34,220       1,000       X      X 28-5284               1000

  FIRST HEALTH GROUP CORP      COM           320960107         17,488         800       X        28-5284      800
                                                              327,900      15,000       X      X 28-5284                      15000
                                                                2,186         100       X      X 28-1500      100

  FIRST NATL BANKSHRS FL INC N COM           321100109         80,523       4,583       X        28-5284     1983              2600
                                                              167,284       9,521       X      X 28-5284     9521
                                                               19,380       1,103       X      X 28-4580     1103

  FIRST POTOMAC RLTY TR        COM           33610F109         20,900       1,000       X      X 28-5284                       1000

  FIRST SENTINEL BANCORP INC   COM           33640T103        274,950      13,000       X        28-5284    13000
                                                              146,548       6,929       X      X 28-5284     5729              1200

  FIRST TENN NATL CORP         COM           337162101        310,050       6,500       X        28-5284     6300       200
                                                              248,994       5,220       X      X 28-5284     4220              1000
                                                              203,965       4,276       X      X 28-1500     4276

  FIRST TR FOUR CRNRS SR FLT R COM SHS       33733Q107         28,000       1,400       X        28-5284     1400

  FIRST TR VALUE LINE 100 FD   COM SHS       33735D104          1,013          60       X        28-5284       60
0                COLUMN TOTAL                               7,725,502
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 77 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FIRST UN REAL EST EQ&MTG INV SH BEN INT    337400105          1,890         602       X        28-5284      602

  FIRST W VA BANCORP INC       COM           337493100         28,048       1,159       X        28-5284     1159

  FISERV INC                   COM           337738108        818,668      22,887       X        28-5284    22887
                                                              225,351       6,300       X      X 28-5284     1700      4100     500

  FIRSTFED FINL CORP           COM           337907109          8,073         175       X        28-5284      175
                                                                4,521          98       X      X 28-5284       98

  FLAGSTAR BANCORP INC         COM           337930101        587,847      22,918       X      X 28-5284      682             22236

  FIRSTENERGY CORP             COM           337932107        653,457      16,721       X        28-5284    14221              2500
                                                              764,053      19,551       X      X 28-5284     8472      8950    2129
                                                               11,724         300       X        28-4580      300
                                                                7,816         200       X      X 28-4580      200

  FISHER SCIENTIFIC INTL INC   COM NEW       338032204         53,389         970       X        28-5284      970
                                                               13,760         250       X      X 28-5284       50               200
                                                                5,504         100       X      X 28-1500      100

  FLAHERTY & CRMN/CLYMR PFD SE COM SHS       338478100        306,943      11,097       X        28-5284     9097              2000
                                                              158,215       5,720       X      X 28-5284     5200       520

  FLAHERTY & CRUMRINE PFD INC  COM           338480106          3,924         200       X      X 28-5284                200

  FLAMEL TECHNOLOGIES SA       SPONSORED
                                ADR          338488109          5,180         200       X        28-5284      200

  FLANIGANS ENTERPRISES INC    COM           338517105          9,525       1,500       X        28-5284     1500

  FLEETBOSTON FINL CORP        COM           339030108     25,177,136     560,738       X        28-5284   533903     17470    9365
                                                           25,292,215     563,301       X      X 28-5284   321448    223930   17923
                                                              226,431       5,043       X        28-4580     5043
                                                              137,394       3,060       X      X 28-4580     3000        60

  FLEETWOOD ENTERPRISES INC    COM           339099103            491          40       X      X 28-5284       40

  FLETCHER CHALLENGE FORESTS L SP ADR NEW    339324808              0           1       X        28-5284        1

  FLORIDA EAST COAST INDS      COM           340632108         17,910         500       X        28-5284      500
                                                               42,984       1,200       X      X 28-5284     1200
0                COLUMN TOTAL                              54,562,449
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 78 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FLORIDA ROCK INDS INC        COM           341140101         76,713       1,820       X        28-5284     1820
                                                              904,118      21,450       X      X 28-5284    20700               750

  FLUOR CORP NEW               COM           343412102      1,440,777      37,239       X        28-5284    37239
                                                              327,975       8,477       X      X 28-5284     4204      4273

  FLOWERS FOODS INC            COM           343498101         20,074         765       X        28-5284      765

  FLOWSERVE CORP               COM           34354P105         90,085       4,300       X      X 28-1500     4300

  FONAR CORP                   COM           344437108         13,300      10,000       X      X 28-5284    10000
                                                                  160         120       X      X 28-1500      120

  FOOD TECHNOLOGY SERVICE INC  COM           344798103            549         300       X        28-5284                300

  FOOT LOCKER INC              COM           344849104      1,211,310      46,950       X      X 28-5284     2200       900   43850

  FORD MTR CO DEL              COM PAR
                                $0.01        345370860      3,653,465     269,231       X        28-5284   248751      7907   12573
                                                            2,229,361     164,286       X      X 28-5284    89383     57420   17483
                                                              205,952      15,177       X        28-1500              15177
                                                               82,804       6,102       X        28-4580     5403               699
                                                               84,718       6,243       X      X 28-4580     3146      2097    1000
                                                              360,338      26,554       X                   26554

  FORD MTR CO CAP TR II        PFD TR
                                CV6.5%       345395206        376,655       7,100       X        28-5284     7100
                                                            1,236,065      23,300       X      X 28-5284    18300      5000

  FORDING CDN COAL TR          TR UNIT       345425102        161,400       4,000       X      X 28-5284     3000      1000

  FOREST CITY ENTERPRISES INC  CL A          345550107         26,925         500       X        28-5284      500
                                                               26,925         500       X      X 28-5284                        500

  FOREST LABS INC              COM           345838106      1,837,626      25,658       X        28-5284    25458       200
                                                            1,313,511      18,340       X      X 28-5284     7875      5000    5465
                                                              144,314       2,015       X      X 28-1500     2015
                                                               17,189         240       X      X 28-4580      240

  FOREST OIL CORP              COM PAR
                                $0.01        346091705         20,453         810       X        28-5284      810

  FORTUNE BRANDS INC           COM           349631101     58,845,173     767,913       X        28-5284   654689      9804  103420
                                                           34,913,318     455,609       X      X 28-5284   259080    106769   89760
                                                              345,831       4,513       X        28-1500               4513
                                                            1,227,306      16,016       X        28-4580    15700               316
                                                              135,635       1,770       X      X 28-4580     1591       100      79
0                COLUMN TOTAL                             111,330,025
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 79 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FORTUNE BRANDS INC           PFD CV
                                $2.67        349631200         47,000         100       X      X 28-5284      100

  FOSSIL INC                   COM           349882100        804,559      24,190       X      X 28-5284    24190

  FOX ENTMT GROUP INC          CL A          35138T107        145,934       5,385       X        28-5284     5385
                                                            1,663,940      61,400       X      X 28-5284     1000             60400

  FRANCE TELECOM               SPONSORED
                                ADR          35177Q105         15,384         600       X        28-5284      600

  FRANKFORT FIRST BANCORP INC  COM NEW       352128201         37,580       1,631       X        28-1500     1631

  FRANKLIN FINL CORP TENN      COM NEW       353523202          7,890         250       X      X 28-1500      250

  FRANKLIN RES INC             COM           354613101      1,191,274      21,395       X        28-5284    19945              1450
                                                            1,212,822      21,782       X      X 28-5284    13567      7800     415

  FRANKLIN TEMPLETON LTD DUR I COM           35472T101         29,740       2,000       X      X 28-1500     2000

  FREEMARKETS INC              COM           356602102         36,220       4,401       X        28-5284     4301               100
                                                                5,761         700       X      X 28-5284      700
                                                               96,579      11,735       X        28-1500    11735

  FREEPORT-MCMORAN COPPER & GO CL B          35671D857        349,738       8,947       X        28-5284     7698              1249
                                                              205,183       5,249       X      X 28-5284     2148      3000     101

  FREMONT GEN CORP             COM           357288109         39,780       1,300       X        28-5284     1300
                                                               30,600       1,000       X      X 28-5284     1000
                                                            1,739,610      56,850       X      X 28-1500    56850

  FREQUENCY ELECTRS INC        COM           358010106          3,300         200       X      X 28-1500      200

  FRIEDMAN BILLINGS RAMSEY GRO CL A          358434108          5,398         200       X        28-5284      200
                                                            1,732,488      64,190       X      X 28-5284    62000      2190

  FRIEDMANS INC                CL A          358438109          8,120       1,400       X      X 28-5284                       1400

  FRIENDLY ICE CREAM CORP NEW  COM           358497105         15,450       1,000       X        28-5284     1000

  FUELCELL ENERGY INC          COM           35952H106         20,340       1,500       X        28-5284     1500
                                                               35,758       2,637       X      X 28-5284     2637

  FUJI PHOTO FILM LTD          ADR           359586302         12,672         400       X        28-5284      400
0                COLUMN TOTAL                               9,493,120
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 80 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  FULLER H B CO                COM           359694106         28,440       1,000       X        28-5284     1000
                                                               42,660       1,500       X      X 28-5284                       1500

  FULTON FINL CORP PA          COM           360271100        162,281       7,287       X        28-5284     7287
                                                            1,990,114      89,363       X      X 28-5284    21792     67571
                                                               46,767       2,100       X        28-4580     2100

  FURNITURE BRANDS INTL INC    COM           360921100         32,200       1,000       X        28-5284     1000
                                                                6,923         215       X      X 28-5284      215
                                                                6,440         200       X      X 28-1500      200

  GA FINL INC                  COM           361437106         31,545         900       X      X 28-5284                900
                                                               35,050       1,000       X      X 28-1500     1000

  GATX CORP                    COM           361448103          5,543         250       X        28-5284      250
                                                               19,776         892       X      X 28-5284      892

  GP STRATEGIES CORP           COM           36225V104          4,306         625       X        28-5284      625

  GSI COMMERCE INC             COM           36238G102        101,500      10,000       X        28-5284    10000

  GTC BIOTHERAPEUTICS INC      COM           36238T104          2,200       1,000       X        28-5284     1000
                                                                1,100         500       X      X 28-5284      500

  GABELLI GLOBAL MULTIMEDIA TR COM           36239Q109         10,618       1,138       X        28-5284     1138
                                                                7,501         804       X      X 28-5284      804

  GABELLI EQUITY TR INC        COM           362397101        277,212      32,234       X        28-5284    32234
                                                               80,900       9,407       X      X 28-5284     4764      4643

  GABELLI UTIL TR              COM           36240A101         17,930       1,839       X        28-5284     1839
                                                               25,955       2,662       X      X 28-5284      262      2400

  GABLES RESIDENTIAL TR        SH BEN INT    362418105         10,875         300       X      X 28-5284                300

  GAIAM INC                    CL A          36268Q103          2,228         400       X        28-5284      400

  GALLAGHER ARTHUR J & CO      COM           363576109      8,233,696     252,800       X        28-5284   252800
                                                               80,285       2,465       X      X 28-5284     2465

  GALLAHER GROUP PLC           SPONSORED
                                ADR          363595109      2,631,372      54,786       X        28-5284    50333      1800    2653
                                                            9,071,474     188,871       X      X 28-5284   172366     16105     400
                                                               55,331       1,152       X        28-4580     1152
0                COLUMN TOTAL                              23,022,222
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 81 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GAMESTOP CORP                CL A          36466R101         43,248       2,400       X      X 28-5284                       2400

  GANNETT INC                  COM           364730101     76,962,085     873,180       X        28-5284   751094     13695  108391
                                                           32,397,091     367,564       X      X 28-5284   216588    119510   31466
                                                              893,828      10,141       X        28-1500    10141
                                                            1,033,618      11,727       X      X 28-1500    11727
                                                              878,315       9,965       X        28-4580     9626               339
                                                            1,178,784      13,374       X      X 28-4580    11674      1700

  GAP INC DEL                  COM           364760108        641,708      29,275       X        28-5284    29275
                                                              617,793      28,184       X      X 28-5284    13884      2700   11600

  GARDNER DENVER INC           COM           365558105          3,900         144       X      X 28-5284      144

  GARTNER INC                  CL B          366651206          4,763         416       X        28-5284      416
                                                               13,992       1,222       X      X 28-5284      676       546
                                                               11,519       1,006       X      X 28-4580     1006

  GATEWAY INC                  COM           367626108          7,392       1,400       X        28-5284     1400
                                                                5,280       1,000       X      X 28-5284     1000

  GAYLORD ENTMT CO NEW         COM           367905106         92,700       3,000       X      X 28-5284                       3000
                                                               46,350       1,500       X      X 28-1500     1500

  GEN-PROBE INC NEW            COM           36866T103         26,680         800       X      X 28-5284      800

  GENENCOR INTL INC            COM           368709101          3,993         300       X      X 28-5284      300

  GENENTECH INC                COM NEW       368710406      2,358,622      22,289       X        28-5284    22289
                                                            1,224,337      11,570       X      X 28-5284     5364       546    5660
                                                               68,783         650       X      X 28-1500      650
                                                            2,417,140      22,842       X                   22842

  GENERAL AMERN INVS INC       COM           368802104        129,868       4,279       X        28-5284     4077               202
                                                              190,203       6,267       X      X 28-5284     6267

  GENERAL CABLE CORP DEL NEW   COM           369300108            738         100       X      X 28-5284      100

  GENERAL DYNAMICS CORP        COM           369550108     11,745,555     131,485       X        28-5284    95280      1675   34530
                                                            5,598,668      62,674       X      X 28-5284    40299     14595    7780
                                                                6,253          70       X        28-4580       70
                                                               55,385         620       X      X 28-4580      300       320
0                COLUMN TOTAL                             138,658,591
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 82 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GENERAL ELEC CO              COM           369604103    584,676,035  19,157,144       X        28-5284 17043004    552743 1561397
                                                          659,564,424  21,610,892       X      X 28-5284 11862288   5922613 3825991
                                                            7,446,514     243,988       X        28-1500    32303    211685
                                                           16,838,433     551,718       X        28-4580   548969              2749
                                                           13,219,158     433,131       X      X 28-4580   397043     32788    3300
                                                               68,670       2,250       X                    2250

  GENERAL GROWTH PPTYS INC     COM           370021107        752,210      21,400       X        28-5284    21400
                                                            1,360,657      38,710       X      X 28-5284    29120              9590
                                                               79,193       2,253       X      X 28-1500     2253
                                                               31,108         885       X      X 28-4580      885

  GENERAL MLS INC              COM           370334104     14,577,184     312,279       X        28-5284   246975      4850   60454
                                                           17,241,351     369,352       X      X 28-5284   287858     66527   14967
                                                               19,746         423       X      X 28-1500      423
                                                               88,692       1,900       X        28-4580     1900
                                                              387,444       8,300       X      X 28-4580     7300       600     400

  GENERAL MTRS CORP            COM           370442105     11,726,346     248,967       X        28-5284   232183      6897    9887
                                                           10,346,881     219,679       X      X 28-5284   116294     91178   12207
                                                              655,161      13,910       X        28-1500    12350      1560
                                                              249,771       5,303       X        28-4580     5103               200
                                                              586,866      12,460       X      X 28-4580    12460

  GENEREX BIOTECHNOLOGY CP DEL COM           371485103          6,900       5,000       X        28-5284     5000

  GENESEE & WYO INC            CL A          371559105      1,012,577      40,995       X        28-5284    40995
                                                              212,420       8,600       X      X 28-5284     1500              7100

  GENESIS HEALTHCARE CORP      COM           37184D101          9,740         400       X        28-5284      400
                                                               32,873       1,350       X      X 28-5284                       1350

  GENESYS S A                  SP ADR
                                REP 1/2      37185M100          1,142         472       X        28-5284      472

  GENTEX CORP                  COM           371901109        303,590       7,000       X        28-5284     7000
                                                              207,742       4,790       X      X 28-5284      650              4140
                                                                8,240         190       X        28-1500       90       100

  GENESIS ENERGY L P           UNIT LTD
                                PARTN        371927104         12,450       1,000       X        28-5284     1000

  GENLYTE GROUP INC            COM           372302109         61,776       1,100       X      X 28-5284      100              1000

  GENOME THERAPEUTICS CORP     COM           372430108          2,810         500       X      X 28-5284      500
0                COLUMN TOTAL                           1,341,788,104
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 83 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GENTA INC                    COM NEW       37245M207         31,500       3,000       X        28-5284     3000
                                                               58,800       5,600       X      X 28-5284                       5600

  GENVEC INC                   COM           37246C109         11,104       3,200       X        28-5284     3200

  GENUINE PARTS CO             COM           372460105      1,342,469      41,029       X        28-5284    41029
                                                            3,147,631      96,199       X      X 28-5284    32407     61767    2025
                                                              220,042       6,725       X      X 28-1500     6725
                                                              215,952       6,600       X      X 28-4580     6600

  GENTIVA HEALTH SERVICES INC  COM           37247A102          2,432         157       X      X 28-5284       12               145

  GENZYME CORP                 COM GENL
                                DIV          372917104        280,680       6,000       X        28-5284     6000
                                                            1,484,470      31,733       X      X 28-5284    21048       800    9885
                                                               11,227         240       X      X 28-1500      240

  GEORGIA GULF CORP            COM PAR
                                $0.01        373200203          6,030         200       X        28-5284      200
                                                              353,509      11,725       X      X 28-1500    11725

  GEORGIA PAC CORP             COM           373298108        688,320      20,431       X        28-5284    18831              1600
                                                            2,458,056      72,961       X      X 28-5284    58420     10141    4400
                                                               13,611         404       X      X 28-1500      404

  GERBER SCIENTIFIC INC        COM           373730100         22,950       3,375       X      X 28-5284     3375

  GERMAN AMERN BANCORP         COM           373865104         52,633       3,087       X        28-5284     3087
                                                              168,795       9,900       X        28-1500     9900

  GERON CORP                   COM           374163103          9,400       1,000       X        28-5284     1000
                                                                3,760         400       X      X 28-5284      400

  GETTY IMAGES INC             COM           374276103         56,679       1,050       X        28-5284     1050
                                                               73,953       1,370       X      X 28-5284                       1370

  GETTY RLTY CORP NEW          COM           374297109         45,169       1,700       X      X 28-5284                       1700

  GEVITY HR INC                COM           374393106         29,200       1,000       X        28-5284     1000
                                                              262,800       9,000       X      X 28-5284     9000

  GILEAD SCIENCES INC          COM           375558103        480,807       8,671       X        28-5284     8671
                                                              157,755       2,845       X      X 28-5284     1550              1295
                                                               49,905         900       X      X 28-1500      900
0                COLUMN TOTAL                              11,739,639
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 84 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GILLETTE CO                  COM           375766102     44,125,679   1,128,534       X        28-5284   900111      5844  222579
                                                           12,530,533     320,474       X      X 28-5284   263019     42585   14870
                                                            1,957,542      50,065       X        28-1500    30145     19920
                                                              150,535       3,850       X        28-4580     3850
                                                              410,550      10,500       X      X 28-4580    10500

  GLADSTONE COML CORP          COM           376536108         35,910       2,100       X      X 28-5284                       2100

  GLAMIS GOLD LTD              COM           376775102         66,457       3,690       X        28-5284     1990              1700
                                                                  450          25       X      X 28-5284                 25

  GLATFELTER                   COM           377316104    109,768,873   9,765,914       X        28-5284  8342828   1423086
                                                           56,238,992   5,003,469       X      X 28-5284  2271216   2658053   74200

  GLAXOSMITHKLINE PLC          SPONSORED
                                ADR          37733W105     16,595,749     415,413       X        28-5284   399394      2789   13230
                                                           32,178,327     805,465       X      X 28-5284   491233    202897  111335
                                                               56,130       1,405       X        28-1500               1405
                                                               76,784       1,922       X        28-4580     1922
                                                              513,397      12,851       X      X 28-4580    12851

  GLENAYRE TECHNOLOGIES INC    COM           377899109          8,438       3,750       X        28-5284     1500              2250
                                                                  675         300       X      X 28-5284      300

  GLENBOROUGH RLTY TR INC      COM           37803P105        223,500      10,000       X        28-5284    10000

  GLIMCHER RLTY TR             SH BEN INT    379302102        283,195      10,450       X        28-5284     7950              2500
                                                              105,690       3,900       X      X 28-5284     3900
                                                              341,325      12,595       X      X 28-1500    12595

  GLOBAL HIGH INCOME DLR FD IN COM           37933G108         19,079       1,050       X        28-5284     1050

  GLOBAL INDS LTD              COM           379336100          4,720         800       X      X 28-5284      800

  GLOBAL IMAGING SYSTEMS       COM           37934A100        122,914       3,700       X      X 28-5284                       3700

  GLOBAL PMTS INC              COM           37940X102        126,494       2,806       X        28-5284     2806
                                                               54,321       1,205       X      X 28-5284                       1205

  GLOBECOMM SYSTEMS INC        COM           37956X103         42,000       7,500       X      X 28-5284               7500

  GOLD BANC CORP INC           COM           379907108         97,115       5,958       X        28-5284     1000              4958
                                                              130,400       8,000       X      X 28-5284     8000
0                COLUMN TOTAL                             276,265,774
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 85 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GOLD FIELDS LTD NEW          SPONSORED
                                ADR          38059T106         57,255       4,354       X        28-5284     1579              2775
                                                               25,840       1,965       X      X 28-5284     1965

  GOLDCORP INC NEW             COM           380956409         53,020       3,580       X        28-5284     3580
                                                               14,810       1,000       X      X 28-5284               1000

  GOLDEN STAR RES LTD CDA      COM           38119T104         17,875       2,500       X        28-5284     2500

  GOLDEN WEST FINL CORP DEL    COM           381317106      1,103,491       9,857       X        28-5284     9857
                                                            1,256,079      11,220       X      X 28-5284     8420       100    2700

  GOLDFIELD CORP               COM           381370105              1           1       X        28-5284        1

  GOLDMAN SACHS GROUP INC      COM           38141G104      2,236,325      21,431       X        28-5284    20831               600
                                                            5,701,162      54,635       X      X 28-5284    11375       800   42460
                                                               36,001         345       X      X 28-1500      345
                                                               10,435         100       X        28-4580      100

  GOODRICH CORP                COM           382388106         11,228         400       X        28-5284      400
                                                               23,579         840       X      X 28-5284      840
                                                              336,840      12,000       X      X 28-1500    12000

  GOODYEAR TIRE & RUBR CO      COM           382550101         17,080       2,000       X        28-5284     2000
                                                               53,785       6,298       X      X 28-5284     1590      4708
                                                              699,426      81,900       X      X 28-1500    81900

  GOODYS FAMILY CLOTHING INC   COM           382588101         59,934       4,200       X      X 28-5284                       4200

  GORMAN RUPP CO               COM           383082104         38,850       1,500       X        28-5284                       1500

  GRACE W R & CO DEL NEW       COM           38388F108         22,817       7,313       X      X 28-5284     6000      1313

  GRACO INC                    COM           384109104         43,665       1,500       X        28-5284     1500

  GRAFTECH INTL LTD            COM           384313102         74,750       5,000       X      X 28-5284     5000

  GRAINGER W W INC             COM           384802104      2,024,736      42,182       X        28-5284    38482              3700
                                                              932,160      19,420       X      X 28-5284     6120      3000   10300
                                                              211,200       4,400       X      X 28-4580     4400

  GRANITE BROADCASTING CORP    COM           387241102          8,350       5,000       X        28-5284     5000
0                COLUMN TOTAL                              15,070,694
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 86 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GRANT PRIDECO INC            COM           38821G101         28,830       1,860       X        28-5284     1860
                                                               73,036       4,712       X      X 28-5284                642    4070

  GREAT AMERN FINL RES INC     COM           389915109            473          30       X      X 28-5284       30

  GREAT LAKES CHEM CORP        COM           390568103        129,863       5,445       X        28-5284     2030              3415
                                                               22,181         930       X      X 28-5284      755               175
                                                               28,620       1,200       X        28-1500     1200

  GREAT NORTHN IRON ORE PPTYS  CTFS BEN
                                INT          391064102          8,667          95       X        28-5284       95

  GREAT PLAINS ENERGY INC      COM           391164100        940,376      27,830       X        28-5284    27830
                                                              277,754       8,220       X      X 28-5284     5000      2100    1120

  GREATER BAY BANCORP          COM           391648102        166,725       5,700       X      X 28-5284     4000              1700
                                                           10,015,200     342,400       X        28-1500   342400

  GREATER CHINA FD INC         COM           39167B102          9,600         600       X        28-5284      600
                                                               24,000       1,500       X      X 28-5284     1500

  GREATER COMMUNITY BANCORP    COM           39167M108         33,005       2,050       X        28-5284     2050

  GREATER DEL VY HLDGS         COM           391688108        505,205      12,790       X        28-5284    12790

  GREEN MTN COFFEE ROASTERS IN COM           393122106          4,028         200       X      X 28-5284                        200

  GREEN MOUNTAIN PWR CORP      COM           393154109            983          38       X        28-5284       38

  GREENPOINT FINL CORP         COM           395384100        463,326      10,600       X      X 28-5284     2400      5000    3200

  GREY GLOBAL GROUP INC        COM           39787M108        413,124         600       X        28-5284      400               200
                                                              258,203         375       X      X 28-5284      175               200

  GREY WOLF INC                COM           397888108         11,551       2,790       X        28-5284     2790

  GRIC COMMUNICATIONS INC      COM           398081109         23,660       7,000       X      X 28-5284                       7000

  GROUP 1 SOFTWARE INC NEW     COM           39943Y103         40,900       2,500       X      X 28-5284                       2500

  GROUPE DANONE                SPONSORED
                                ADR          399449107        257,772       7,816       X        28-5284     6616              1200

  GROUPE CGI INC               CL A SUB
                                VTG          39945C109          5,224         800       X        28-5284      800
0                COLUMN TOTAL                              13,742,306
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 87 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  GRUPO RADIO CENTRO S A DE C  SPONSORED
                                ADR          40049C102            480         100       X        28-5284      100

  GTECH HLDGS CORP             COM           400518106         11,828         200       X      X 28-5284      200

  GUCCI GROUP N V              COM NY REG    401566104         51,282         600       X        28-5284      600

  GUESS INC                    COM           401617105         18,030       1,000       X        28-5284     1000

  GUIDANT CORP                 COM           401698105      9,268,433     146,259       X        28-5284   116143             30116
                                                            2,002,239      31,596       X      X 28-5284    15280      9650    6666
                                                              313,682       4,950       X      X 28-1500     4950
                                                               21,609         341       X        28-4580      341
                                                               82,381       1,300       X      X 28-4580     1300

  GULFTERRA ENERGY PARTNERS LP COM           40274U108         98,859       2,319       X        28-5284     1319              1000
                                                               42,630       1,000       X      X 28-5284      500               500

  H & Q HEALTHCARE FD          SH BEN INT    404052102             99           5       X        28-5284        5
                                                                5,271         265       X      X 28-5284      265

  H & Q LIFE SCIENCES INVS     SH BEN INT    404053100         79,929       4,752       X        28-5284     4752
                                                               17,913       1,065       X      X 28-5284     1065

  HCA INC                      COM           404119109      2,726,577      67,124       X        28-5284    47121             20003
                                                              526,354      12,958       X      X 28-5284     6741      2200    4017
                                                              150,294       3,700       X        28-1500               3700
                                                               81,240       2,000       X        28-4580     2000

  HCC INS HLDGS INC            COM           404132102         38,699       1,197       X        28-5284     1197
                                                               14,549         450       X      X 28-5284                        450

  HRPT PPTYS TR                COM SH BEN
                                INT          40426W101         75,710       6,700       X        28-5284     6700
                                                               18,080       1,600       X      X 28-5284               1600

  HSBC HLDGS PLC               SPON ADR
                                NEW          404280406      4,232,782      56,588       X        28-5284    55088              1500
                                                            1,682,626      22,495       X      X 28-5284    18892      3556      47
                                                              306,755       4,101       X        28-4580     4101
                                                              106,665       1,426       X      X 28-4580     1426

  HAEMONETICS CORP             COM           405024100         37,740       1,200       X        28-5284                       1200
                                                                6,290         200       X      X 28-5284                200
0                COLUMN TOTAL                              22,019,026
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 88 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  HALLIBURTON CO               COM           406216101      3,355,998     110,431       X        28-5284   109440       650     341
                                                            3,321,566     109,298       X      X 28-5284    64718     40280    4300
                                                               66,858       2,200       X      X 28-1500     2200
                                                                9,573         315       X        28-4580      315

  HAMPSHIRE GROUP LTD          COM           408859106         51,850       1,700       X      X 28-5284                       1700

  JOHN HANCOCK BK &THRIFT OPP  SH BEN INT    409735107         39,025       3,860       X        28-5284     3860
                                                               87,937       8,698       X      X 28-5284                       8698

  HANCOCK FABRICS INC          COM           409900107          5,244         330       X      X 28-5284      330
                                                               12,712         800       X      X 28-1500      800

  HANCOCK HLDG CO              COM           410120109         15,480         500       X      X 28-5284                        500

  HANCOCK JOHN INCOME SECS TR  COM           410123103          4,833         300       X        28-5284      300
                                                                9,666         600       X      X 28-5284      600

  HANCOCK JOHN PATRIOT GLOBL D COM           41013G103         24,268       1,709       X      X 28-5284     1709

  HANCOCK JOHN PATRIOT PREM DI COM           41013Q101        172,482      17,800       X        28-5284    17800
                                                               13,779       1,422       X      X 28-5284     1422

  HANCOCK JOHN PATRIOT PREM II COM SH BEN
                                INT          41013T105          9,456         800       X      X 28-5284      800

  HANCOCK JOHN TAX-ADV DIV INC COM           41013V100          5,003         250       X      X 28-1500      250

  HANCOCK JOHN PFD INCOME FD   SH BEN INT    41013W108         13,290         500       X        28-5284      500

  JOHN HANCOCK PREFERRED INC F COM           41013X106         29,788       1,100       X        28-5284     1100

  HANCOCK JOHN FINL SVCS INC   COM           41014S106      2,094,673      47,944       X        28-5284    19552             28392
                                                              140,376       3,213       X      X 28-5284     1750       255    1208

  HANCOCK JOHN FINL TRENDS FD  COM           41014X105        113,890       7,000       X        28-5284     7000

  HANCOCK JOHN INVS TR         COM           410142103         12,978         600       X        28-5284      600
                                                               21,630       1,000       X      X 28-5284               1000

  HANDLEMAN CO DEL             COM           410252100          7,182         300       X        28-5284      300

  HANGER ORTHOPEDIC GROUP INC  COM NEW       41043F208          5,415         300       X        28-5284      300
                                                               36,461       2,020       X      X 28-5284                       2020
0                COLUMN TOTAL                               9,681,413
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 89 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  HANOVER CAP MTG HLDGS INC    COM           410761100         15,550       1,000       X      X 28-5284               1000

  HANOVER COMPRESSOR CO        COM           410768105         45,458       3,760       X        28-5284     3760
                                                               18,135       1,500       X      X 28-5284                       1500

  HANSON PLC NEW               SPONSORED
                                ADR          411349103          2,403          62       X        28-5284       62
                                                                8,215         212       X      X 28-5284       25               187
                                                                1,550          40       X      X 28-1500       40

  HARBOR FLA BANCSHARES INC    COM           411901101         29,260       1,010       X        28-5284     1010
                                                               27,522         950       X      X 28-5284                250     700

  HARKEN ENERGY CORP           COM NEW       412552309            455         500       X      X 28-5284      500

  HARLAND JOHN H CO            COM           412693103          5,602         180       X      X 28-5284      180

  HARLEY DAVIDSON INC          COM           412822108     32,566,257     610,541       X        28-5284   437526      1475  171540
                                                            6,991,541     131,075       X      X 28-5284   117545      9280    4250
                                                              986,257      18,490       X        28-1500     6453     12037
                                                              248,031       4,650       X      X 28-4580     4650

  HARLEYSVILLE GROUP INC       COM           412824104         11,787         630       X        28-5284      630
                                                               57,515       3,074       X      X 28-5284      650      2424

  HARLEYSVILLE NATL CORP PA    COM           412850109      1,803,412      64,801       X        28-5284    64801

  HARMAN INTL INDS INC         COM           413086109        396,010       4,975       X        28-5284     4975
                                                              200,592       2,520       X      X 28-5284                       2520

  HARMONY GOLD MNG LTD         SPONSORED
                                ADR          413216300         30,089       1,950       X        28-5284                       1950

  HARRAHS ENTMT INC            COM           413619107        400,148       7,290       X        28-5284     7290
                                                              120,758       2,200       X      X 28-5284                       2200

  HARRIS CORP DEL              COM           413875105        219,104       4,526       X        28-5284     4526
                                                              126,737       2,618       X      X 28-5284     2618

  HARRODSBURG 1ST FINL BANCORP COM           415781103         33,746       1,484       X        28-5284                       1484

  HARSCO CORP                  COM           415864107      1,080,216      23,741       X        28-5284    23741
                                                              383,110       8,420       X      X 28-5284     6520              1900

  HARTE-HANKS INC              COM           416196103         71,150       3,038       X        28-5284     3038
0                COLUMN TOTAL                              45,880,610
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 90 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  HARTFORD FINL SVCS GROUP INC COM           416515104        684,520      10,746       X        28-5284    10358               388
                                                            1,180,871      18,538       X      X 28-5284    13556      3812    1170
                                                               19,110         300       X      X 28-1500      300

  HARVARD BIOSCIENCE INC       COM           416906105         15,620       1,685       X      X 28-5284                       1685

  HARVEST NATURAL RESOURCES IN COM           41754V103         61,362       4,200       X      X 28-5284                       4200

  HASBRO INC                   COM           418056107        120,713       5,550       X        28-5284     5550
                                                              327,338      15,050       X      X 28-5284                      15050

  HAWAIIAN ELEC INDUSTRIES     COM           419870100         53,914       1,040       X        28-5284     1040
                                                              147,744       2,850       X      X 28-5284     2650       200

  HEALTHCARE SVCS GRP INC      COM           421906108         36,190       2,200       X      X 28-5284                       2200

  HEALTH CARE PPTY INVS INC    COM           421915109        593,791      20,982       X        28-5284    20182       800
                                                            1,366,154      48,274       X      X 28-5284     8674     36200    3400
                                                              234,890       8,300       X      X 28-1500     8300

  HEALTH MGMT ASSOC INC NEW    CL A          421933102         39,596       1,706       X        28-5284     1706
                                                               58,953       2,540       X      X 28-5284                       2540
                                                              275,619      11,875       X      X 28-1500    11875

  HEALTHCARE RLTY TR           COM           421946104        272,426       6,380       X        28-5284     6380
                                                               82,625       1,935       X      X 28-5284     1935
                                                                3,630          85       X      X 28-1500       85

  HEADWATERS INC               COM           42210P102         15,372         600       X        28-5284                600
                                                              558,516      21,800       X      X 28-5284    21500       300
                                                               10,248         400       X      X 28-1500      400

  HEALTH CARE REIT INC         COM           42217K106        408,030      10,050       X        28-5284     9500               550
                                                               12,180         300       X      X 28-5284                300
                                                               89,726       2,210       X      X 28-1500     2210

  HEALTH NET INC               COM           42222G108         24,930       1,000       X        28-5284     1000

  HEALTHSTREAM INC             COM           42222N103          2,290       1,000       X      X 28-1500     1000

  HEARTLAND EXPRESS INC        COM           422347104         77,486       3,400       X      X 28-5284                       3400
                                                               13,674         600       X      X 28-1500      600
0                COLUMN TOTAL                               6,787,518
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 91 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  HECLA MNG CO                 COM           422704106        336,400      40,000       X      X 28-5284    40000

  HEINZ H J CO                 COM           423074103     28,244,900     757,439       X        28-5284   700219     27216   30004
                                                           31,177,647     836,086       X      X 28-5284   549792    251025   35269
                                                              145,543       3,903       X        28-1500               3903
                                                            1,265,996      33,950       X        28-4580    33950
                                                            1,603,395      42,998       X      X 28-4580    42898       100

  HELMERICH & PAYNE INC        COM           423452101         21,774         760       X        28-5284      760

  HERCULES INC                 COM           427056106         16,072       1,400       X        28-5284     1400
                                                               77,375       6,740       X      X 28-5284     3340      1500    1900
                                                               35,634       3,104       X        28-4580     3104
                                                              100,484       8,753       X      X 28-4580     8753

  HERITAGE PPTY INVT TR INC    COM           42725M107         31,100       1,000       X        28-5284     1000

  HERLEY INDS INC DEL          COM           427398102         33,984       1,800       X      X 28-5284                       1800

  HERSHEY FOODS CORP           COM           427866108     15,292,204     184,577       X        28-5284   156519             28058
                                                            9,647,468     116,445       X      X 28-5284    94435     20060    1950
                                                               38,194         461       X      X 28-1500      461

  HEWLETT PACKARD CO           COM           428236103     36,650,983   1,604,684       X        28-5284  1282683     68537  253464
                                                           27,563,243   1,206,797       X      X 28-5284   804190    288451  114156
                                                               69,913       3,061       X      X 28-1500     3061
                                                            1,193,870      52,271       X        28-4580    52271
                                                            5,240,638     229,450       X      X 28-4580    49000       850  179600
                                                            1,755,368      76,855       X                   76855

  HI-TECH PHARMACAL INC        COM           42840B101         13,685         700       X      X 28-5284                        700

  HIBBETT SPORTING GOODS INC   COM           428565105        724,660      19,000       X      X 28-5284    19000

  HIBERNIA CORP                CL A          428656102        199,665       8,500       X        28-5284     6500              2000
                                                               83,390       3,550       X      X 28-5284     2650               900

  HIGHVELD STL & VANADIUM LTD  ADR           431232206         17,250       5,000       X      X 28-5284     5000

  HIGHWOODS PPTYS INC          COM           431284108         89,481       3,414       X        28-5284     3414
                                                              120,566       4,600       X      X 28-5284     4600

  HILB ROGAL & HAMILTON CO     COM           431294107      2,277,237      59,770       X      X 28-5284                      59770
0                COLUMN TOTAL                             164,068,119
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 92 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  HILLENBRAND INDS INC         COM           431573104      4,335,116      63,855       X        28-5284    29855             34000
                                                              337,413       4,970       X      X 28-5284      800              4170
                                                               11,202         165       X      X 28-1500      165

  HILTON HOTELS CORP           COM           432848109         80,730       4,968       X        28-5284     4918        50
                                                              394,745      24,292       X      X 28-5284    12272             12020

  HINES HORTICULTURE INC       COM           433245107        134,080      32,000       X      X 28-5284                      32000

  HITACHI LIMITED              ADR 10 COM    433578507         33,347         430       X        28-5284      430
                                                               23,265         300       X      X 28-5284      300

  HOLLYWOOD ENTMT CORP         COM           436141105         13,560       1,000       X        28-5284     1000

  HOME DEPOT INC               COM           437076102    111,934,445   2,996,104       X        28-5284  2426385     31999  537720
                                                           47,081,782   1,260,219       X      X 28-5284   901420    188258  170541
                                                            2,901,041      77,651       X        28-1500    53280     24371
                                                              925,332      24,768       X        28-4580    24768
                                                              440,848      11,800       X      X 28-4580     9850       780    1170

  HOME PRODS INTL INC          COM           437305105         13,125      10,019       X        28-1500    10019

  HOME PROPERTIES INC          COM           437306103         59,699       1,465       X        28-5284     1465
                                                               12,225         300       X      X 28-5284                        300

  HOMESTORE INC                COM           437852106          8,777       2,075       X        28-5284     2075

  HON INDS INC                 COM           438092108          1,858          50       X      X 28-5284       50

  HONDA MOTOR LTD              AMERN SHS     438128308          7,011         303       X        28-5284      303
                                                              299,871      12,959       X      X 28-5284    10000      1600    1359

  HONEYWELL INTL INC           COM           438516106     11,041,159     326,179       X        28-5284   223895       475  101809
                                                            3,831,109     113,179       X      X 28-5284    74050     36119    3010
                                                                6,093         180       X        28-1500      180
                                                              339,617      10,033       X      X 28-1500    10033
                                                               84,625       2,500       X        28-4580     2500
                                                              443,300      13,096       X      X 28-4580    13096

  HOOPER HOLMES INC            COM           439104100        159,869      25,620       X        28-5284    25620
                                                               19,344       3,100       X      X 28-5284                       3100

  HOPFED BANCORP INC           COM           439734104          6,020         349       X        28-1500      349
0                COLUMN TOTAL                             184,980,608
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 93 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  HORACE MANN EDUCATORS CORP N COM           440327104         40,872       2,600       X      X 28-5284                       2600

  HORMEL FOODS CORP            COM           440452100         61,593       2,100       X      X 28-5284      100              2000
                                                               79,191       2,700       X      X 28-1500     2700

  HOSPITALITY PPTYS TR         COM SH BEN
                                INT          44106M102        142,680       3,075       X        28-5284     3075
                                                              193,720       4,175       X      X 28-5284     2085       200    1890

  HOST MARRIOTT CORP NEW       COM           44107P104         14,569       1,140       X        28-5284     1087        53

  HOT TOPIC INC                COM           441339108         13,225         500       X        28-5284                        500
                                                              706,215      26,700       X      X 28-5284    26700

  HOUSTON EXPL CO              COM           442120101         20,576         460       X        28-5284      460
                                                               47,995       1,073       X      X 28-5284     1073

  HOVNANIAN ENTERPRISES INC    CL A          442487203         25,890         600       X      X 28-5284      200               400

  HUANENG PWR INTL INC         SPON ADR N    443304100         39,160         500       X        28-5284      500
                                                               27,412         350       X      X 28-5284      350

  HUB GROUP INC                CL A          443320106         26,856         900       X      X 28-5284                        900

  HUBBELL INC                  CL A          443510102        148,090       3,804       X        28-5284     3804
                                                               10,511         270       X      X 28-5284      270

  HUBBELL INC                  CL B          443510201        751,555      18,728       X        28-5284     3626             15102
                                                              372,005       9,270       X      X 28-5284     7998              1272
                                                              188,611       4,700       X      X 28-1500     4700

  HUDSON HIGHLAND GROUP INC    COM           443792106         91,971       3,300       X        28-5284     3300

  HUDSON RIV BANCORP INC       COM           444128102        383,160      18,600       X      X 28-5284    18600

  HUDSON UNITED BANCORP        COM           444165104        215,211       5,656       X        28-5284     5656
                                                              479,887      12,612       X      X 28-5284     8606      4006

  HUGOTON RTY TR TEX           UNIT BEN
                                INT          444717102         21,970       1,000       X        28-5284     1000

  HUMANA INC                   COM           444859102        439,172      23,090       X        28-5284    23090
                                                               31,954       1,680       X      X 28-5284     1680
                                                                1,902         100       X      X 28-1500      100
0                COLUMN TOTAL                               4,575,953
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 94 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  HUMAN GENOME SCIENCES INC    COM           444903108         57,638       4,600       X        28-5284     4600
                                                              142,441      11,368       X        28-1500    11328        40

  HUMBOLDT BANCORP             COM           445069107      9,871,374     497,800       X        28-1500   497800

  HUNT J B TRANS SVCS INC      COM           445658107          8,448         300       X        28-5284      300

  HUNTINGTON BANCSHARES INC    COM           446150104      3,012,867     136,762       X        28-5284   136762
                                                              535,858      24,324       X      X 28-5284    24082               242
                                                                  771          35       X        28-1500       35
                                                               28,881       1,311       X        28-4580     1311
                                                              403,832      18,331       X      X 28-4580    18331

  HUTCHINSON TECHNOLOGY INC    COM           448407106          3,760         134       X      X 28-5284      134

  HUTTIG BLDG PRODS INC        COM           448451104          3,035         607       X        28-5284      607

  IDT CORP                     CL B          448947309          4,030         200       X        28-5284      200

  HYPERION SOLUTIONS CORP      COM           44914M104          9,036         218       X        28-5284      218

  ICT GROUP INC                COM           44929Y101         19,515       1,500       X        28-5284     1500

  ICOS CORP                    COM           449295104         11,079         300       X        28-5284      300
                                                              210,870       5,710       X      X 28-5284                400    5310

  ID BIOMEDICAL CORP           COM           44936D108         11,100       1,000       X        28-5284     1000
                                                                4,440         400       X      X 28-1500      400

  IFC CAP TR III               PFD CV TR
                                SECS         449498203         68,540       2,000       X      X 28-5284     2000

  IHOP CORP                    COM           449623107         15,498         450       X        28-5284      450

  IMC GLOBAL INC               COM           449669100          9,867         690       X        28-5284      600                90
                                                               14,300       1,000       X      X 28-5284     1000

  ING PRIME RATE TR            SH BEN INT    44977W106        113,625      14,150       X        28-5284    14150
                                                                8,030       1,000       X        28-4580                       1000

  IMS HEALTH INC               COM           449934108      1,343,800      57,773       X        28-5284    52154              5619
                                                              758,043      32,590       X      X 28-5284    19624     12698     268
                                                              152,400       6,552       X      X 28-4580     6552
0                COLUMN TOTAL                              16,823,078
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 95 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ISTAR FINL INC               COM           45031U101        240,053       5,675       X        28-5284     5675
                                                              473,549      11,195       X      X 28-5284      555      2600    8040

  ITT EDUCATIONAL SERVICES INC COM           45068B109        173,285       5,554       X        28-5284     5554

  ITXC CORP                    COM           45069F109         15,850       5,000       X        28-5284     5000

  IXIA                         COM           45071R109         43,360       4,000       X      X 28-5284               4000

  ITT INDS INC IND             COM           450911102     35,731,218     468,115       X        28-5284   443667      3030   21418
                                                           11,248,523     147,367       X      X 28-5284    88853     47948   10566
                                                               61,293         803       X      X 28-1500      803
                                                              653,614       8,563       X        28-4580     8110               453
                                                              226,624       2,969       X      X 28-4580     2449       520

  IAMGOLD CORP                 COM           450913108         43,162       6,620       X        28-5284     2220              4400

  ICICI BK LTD                 ADR           45104G104         46,255       2,900       X      X 28-1500     2900

  IDACORP INC                  COM           451107106         39,319       1,315       X        28-5284     1315
                                                               18,747         627       X      X 28-5284      627

  IGATE CORP                   COM           45169U105      3,654,310     525,800       X        28-5284   525800
                                                               28,287       4,070       X      X 28-5284       70              4000

  IKON OFFICE SOLUTIONS INC    COM           451713101          8,256         645       X        28-5284       45       600
                                                              276,480      21,600       X      X 28-5284    21600

  IDENTIX INC                  COM           451906101          4,385         760       X        28-5284      760
                                                                  773         134       X      X 28-5284      134
                                                              102,631      17,787       X        28-1500    17787

  ILEX ONCOLOGY INC            COM           451923106          5,023         210       X        28-5284      210
                                                               95,680       4,000       X      X 28-5284                       4000

  ILLINOIS TOOL WKS INC        COM           452308109     49,821,726     628,824       X        28-5284   605689      9205   13930
                                                           26,085,606     329,239       X      X 28-5284   162533    109718   56988
                                                              261,301       3,298       X      X 28-1500     3298
                                                            1,097,415      13,851       X        28-4580    13634               217
                                                            1,531,278      19,327       X      X 28-4580    19077       250
0                COLUMN TOTAL                             131,988,003
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 96 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  IMATION CORP                 COM           45245A107         11,775         313       X        28-5284      263                50
                                                              124,259       3,303       X      X 28-5284     2364       423     516
                                                               25,694         683       X      X 28-4580      683

  IMAX CORP                    COM           45245E109         58,900      10,000       X        28-5284    10000

  IMCLONE SYS INC              COM           45245W109         35,373         697       X        28-5284      697

  IMAGISTICS INTERNATIONAL INC COM           45247T104        177,522       4,030       X        28-5284     3718               312
                                                            1,725,483      39,171       X      X 28-5284    34422      1205    3544
                                                                6,343         144       X        28-4580      144
                                                                3,524          80       X      X 28-4580                         80

  IMMUNOGEN INC                COM           45253H101         13,440       2,000       X      X 28-5284     2000

  IMPAC MTG HLDGS INC          COM           45254P102        652,800      24,000       X      X 28-5284    24000
                                                              140,896       5,180       X      X 28-1500     5180

  IMPERIAL CHEM INDS PLC       ADR NEW       452704505          4,528         270       X        28-5284      270
                                                               18,128       1,081       X      X 28-4580     1081

  IMPERIAL OIL LTD             COM NEW       453038408         36,096         805       X        28-5284      805
                                                              472,165      10,530       X      X 28-5284    10200               330

  IMPERIAL PKG CORP            COM           453077109            645          25       X        28-5284       25

  IMPERIAL TOBACCO GROUP PLC   SPONSORED
                                ADR          453142101         39,429         900       X        28-5284      900
                                                               18,619         425       X      X 28-5284       50               375

  IMPLANT SCIENCES CORP        COM           45320R108        151,159      10,645       X        28-5284    10645

  INAMED CORP                  COM           453235103         26,640         500       X        28-5284      500
                                                               23,976         450       X      X 28-5284                        450

  INCO LTD                     COM           453258402        133,326       3,850       X        28-5284     3850
                                                              393,051      11,350       X      X 28-5284    11100               250

  INCYTE CORP                  COM           45337C102         24,930       3,000       X      X 28-1500     3000

  INDEPENDENCE CMNTY BK CORP   COM           453414104         28,525         700       X        28-5284      600               100

  INDEPENDENT BANK CORP MASS   COM           453836108         21,975         725       X        28-5284      725
                                                               48,496       1,600       X      X 28-5284     1000               600
0                COLUMN TOTAL                               4,417,697
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 97 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  INDEVUS PHARMACEUTICALS INC  COM           454072109         10,285       1,700       X        28-5284     1700

  INDIA FD INC                 COM           454089103        515,480      19,600       X      X 28-5284     9600     10000

  INDYMAC BANCORP INC          COM           456607100         10,887         300       X        28-5284                300
                                                              181,450       5,000       X      X 28-5284     4000              1000

  INET TECHNOLOGIES INC        COM           45662V105         12,330       1,000       X        28-5284     1000

  INFINITY PPTY & CAS CORP     COM           45665Q103        123,127       3,920       X      X 28-5284                       3920

  INFORTE CORP                 COM           45677R107            998         100       X        28-5284      100
                                                               32,934       3,300       X      X 28-5284                       3300

  INFOSPACE INC                COM NEW       45678T201         19,435         500       X      X 28-5284                500

  INFOSYS TECHNOLOGIES LTD     SPONSORED
                                ADR          456788108         13,077         160       X        28-5284      160
                                                                8,173         100       X      X 28-1500      100

  ING GROUP N V                SPONSORED
                                ADR          456837103          8,092         367       X        28-5284      367
                                                              160,700       7,288       X      X 28-5284                       7288

  INGLES MKTS INC              CL A          457030104         16,810       1,545       X        28-1500     1545

  INGRAM MICRO INC             CL A          457153104          4,978         275       X      X 28-5284      275
                                                               18,100       1,000       X      X 28-1500     1000

  INKINE PHARMACEUTICALS INC   COM           457214104         16,608       3,200       X      X 28-5284      200              3000

  INNKEEPERS USA TR            COM           4576J0104          1,097         120       X      X 28-1500      120

  INNOVEX INC                  COM           457647105         22,407       3,300       X      X 28-5284                       3300

  INPUT/OUTPUT INC             COM           457652105         11,625       1,500       X      X 28-1500     1500

  INSITE VISION INC            COM           457660108          8,200      10,000       X      X 28-5284    10000

  INSITUFORM TECHNOLOGIES INC  CL A          457667103          1,813         116       X        28-5284      116

  INSMED INC                   COM NEW       457669208         10,511       3,358       X      X 28-5284               3358

  INSIGHT COMMUNICATIONS INC   CL A          45768V108          5,020         500       X        28-5284      500
0                COLUMN TOTAL                               1,214,137
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 98 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  INNOVATIVE SOLUTIONS & SUPPO COM           45769N105         42,275       3,059       X      X 28-5284     3059

  INSPIRE PHARMACEUTICALS INC  COM           457733103         12,880       1,000       X        28-5284     1000

  INSURANCE AUTO AUCTIONS INC  COM           457875102          7,265         500       X        28-5284      500

  INTEGRA LIFESCIENCES HLDGS C COM NEW       457985208         97,600       3,200       X      X 28-5284                       3200

  INSURED MUN INCOME FD        COM           45809F104         58,296       4,026       X      X 28-5284               4026

  INTEGRATED CIRCUIT SYS INC   COM           45811K208          3,755         150       X        28-5284      150
                                                               52,563       2,100       X      X 28-5284                       2100

  INTEGRATED DEVICE TECHNOLOGY COM           458118106        112,485       7,499       X      X 28-5284      269              7230

  INTEGRA BK CORP              COM           45814P105         26,525       1,102       X        28-5284     1102
                                                               30,786       1,279       X        28-1500     1279

  INTELIDATA TECHNOLOGIES CORP COM           45814T107         40,920      33,000       X        28-5284    33000

  INTEL CORP                   COM           458140100    167,736,253   6,166,774       X        28-5284  5600010     97300  469464
                                                          169,438,755   6,229,366       X      X 28-5284  4357113   1251683  620570
                                                            1,252,234      46,038       X        28-1500     2600     43438
                                                            3,737,090     137,393       X        28-4580   137193               200
                                                            3,572,366     131,337       X      X 28-4580   121777      7000    2560

  INTEGRITY MEDIA INC          CL A          45817Y103          5,056         800       X      X 28-5284                800

  INTER TEL INC                COM           458372109        253,152       8,402       X      X 28-5284                       8402

  INTERACTIVE DATA CORP        COM           45840J107         12,446         700       X      X 28-5284      200       500

  INTERACTIVECORP              COM           45840Q101        532,333      16,830       X        28-5284    16830
                                                              162,262       5,130       X      X 28-5284     1500              3630

  INTERACTIVECORP              *W EXP
                                02/04/2      45840Q127          1,935          50       X      X 28-5284       50

  INTERDIGITAL COMMUNICATIONS  COM           45866A105        169,556       9,700       X      X 28-5284     6700      3000
                                                                9,719         556       X        28-1500      556
                                                                3,496         200       X      X 28-4580      200

  INTERFACE INC                CL A          458665106         39,750       5,000       X      X 28-5284                       5000
0                COLUMN TOTAL                             347,411,753
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 99 OF 211                FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  INTERGRAPH CORP              COM           458683109         26,443       1,090       X      X 28-5284                       1090

  INTERNATIONAL BANCSHARES COR COM           459044103         73,766       1,400       X      X 28-5284     1400

  INTERNATIONAL BUSINESS MACHS COM           459200101    208,782,260   2,273,326       X        28-5284  1909304     26646  337376
                                                          226,780,145   2,469,296       X      X 28-5284  1019191    435290 1014815
                                                            1,587,914      17,290       X        28-1500     4394     12896
                                                            4,734,444      51,551       X        28-4580    51275               276
                                                            9,494,144     103,377       X      X 28-4580   101557      1820

  INTERNATIONAL FLAVORS&FRAGRA COM           459506101        192,339       5,418       X        28-5284     4818               600
                                                              381,767      10,754       X      X 28-5284     1300      4854    4600
                                                               10,934         308       X      X 28-1500      308

  INTERNATIONAL GAME TECHNOLOG COM           459902102      2,076,073      46,176       X        28-5284    46126                50
                                                              767,018      17,060       X      X 28-5284    13300      2000    1760
                                                              125,888       2,800       X        28-4580     2800

  INTERNATIONAL MULTIFOODS COR COM           460043102          2,472         100       X        28-5284      100

  INTL PAPER CO                COM           460146103     51,435,364   1,217,117       X        28-5284  1148691     10315   58111
                                                           14,560,683     344,550       X      X 28-5284   224789     98167   21594
                                                            1,515,993      35,873       X        28-4580    35220               653
                                                              393,356       9,308       X      X 28-4580     7528      1780

  INTERNATIONAL RECTIFIER CORP COM           460254105        284,678       6,190       X        28-5284     6190
                                                               19,546         425       X      X 28-5284      425

  INTERNATIONAL SPEEDWAY CORP  CL A          460335201        168,354       3,582       X      X 28-5284                       3582

  INTERNET CAP GROUP INC       COM           46059C106        396,807     992,017       X        28-5284   992017
                                                                  212         530       X      X 28-5284      300               230

  INTERNET HOLDRS TR           DEPOSIT
                                RCPT         46059W102         61,080       1,200       X      X 28-5284     1200

  INTERNET SEC SYS INC         COM           46060X107         44,100       2,500       X      X 28-5284                       2500
                                                               74,070       4,199       X        28-1500     4199

  INTERPORE INTL               COM           46062W107         43,140       3,000       X      X 28-5284               3000

  INTERPUBLIC GROUP COS INC    COM           460690100      2,182,699     141,918       X        28-5284    80018             61900
                                                           14,718,475     956,988       X      X 28-5284   946314             10674
0                COLUMN TOTAL                             540,934,164
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 100 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  INTERSTATE HOTELS & RESRTS I COM           46088S106        309,986      52,540       X        28-5284    52540

  INTERVEST BANCSHARES CORP    CL A          460927106         35,500       2,000       X      X 28-5284     2000
                                                            7,447,900     419,600       X        28-1500   419600

  INTEST CORP                  COM           461147100         17,258       2,950       X        28-5284     2950

  INTRABIOTICS PHARMACEUTICALS COM NEW       46116T506         28,006       1,667       X      X 28-5284                       1667

  INTUITIVE SURGICAL INC       COM NEW       46120E602         46,668       2,750       X        28-5284      250              2500
                                                                7,637         450       X      X 28-1500      450

  INTUIT                       COM           461202103      1,157,925      25,945       X        28-5284    25945
                                                              553,412      12,400       X      X 28-5284    10950              1450
                                                              109,344       2,450       X      X 28-1500     2450

  INVESTMENT TECHNOLOGY GRP NE COM           46145F105          7,650         500       X        28-5284      500

  INVISION TECHNOLOGIES INC    COM           461851107         81,757       1,646       X      X 28-5284      246              1400

  INVESTORS FINL SERVICES CORP COM           461915100      1,156,533      28,010       X      X 28-5284    24200       250    3560

  IOMEGA CORP                  COM NEW       462030305          1,118         200       X        28-5284                        200
                                                               26,273       4,700       X      X 28-5284                       4700

  IONA TECHNOLOGIES PLC        SPONSORED
                                ADR          46206P109          8,333       1,111       X      X 28-1500     1111

  IONICS INC                   COM           462218108        147,680       5,200       X        28-5284     5200
                                                               42,600       1,500       X      X 28-5284                       1500

  IRON MTN INC PA              COM           462846106        400,554       8,975       X        28-5284     8975
                                                               31,241         700       X      X 28-5284      700

  IRWIN FINL CORP              COM           464119106        194,256       7,200       X        28-5284     7200
                                                              316,475      11,730       X      X 28-5284                      11730
                                                            1,095,388      40,600       X        28-1500    40600

  ISHARES INC                  MSCI
                                BRAZIL       464286400        109,586       6,523       X      X 28-5284     5000      1523

  ISHARES INC                  MSCI EMU
                                INDEX        464286608        237,354       3,900       X      X 28-5284      400      3500
                                                                9,494         156       X      X 28-1500      156
                                                              146,064       2,400       X        28-4580     2400
                                                              547,740       9,000       X      X 28-4580     9000
0                COLUMN TOTAL                              14,273,732
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 101 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ISHARES INC                  MSCI PAC
                                J IDX        464286665      3,154,346      40,717       X        28-5284    38453              2264
                                                              204,443       2,639       X      X 28-5284     2300       339
                                                              209,169       2,700       X        28-4580     2700
                                                            1,200,785      15,500       X      X 28-4580     9300      5200    1000

  ISHARES INC                  MSCI
                                SINGAPORE    464286673         38,280       6,000       X        28-5284     6000
                                                               87,725      13,750       X      X 28-5284    13750

  ISHARES INC                  MSCI
                                TAIWAN       464286731         79,170       6,500       X        28-5284     6500
                                                               11,571         950       X      X 28-5284      950

  ISHARES INC                  MSCI S
                                KOREA        464286772         11,276         400       X      X 28-5284      400

  ISHARES INC                  MSCI
                                MALAYSIA     464286830         85,293      11,700       X      X 28-5284    11700
                                                               10,206       1,400       X      X 28-1500     1400

  ISHARES INC                  MSCI JAPAN    464286848        864,937      79,571       X        28-5284    79571
                                                            1,836,258     168,929       X      X 28-5284   151705      2587   14637
                                                               20,653       1,900       X      X 28-1500     1900
                                                              493,498      45,400       X        28-4580    45400
                                                              902,210      83,000       X      X 28-4580    42500     35500    5000

  ISHARES INC                  MSCI
                                HONG KONG    464286871         86,708       8,180       X        28-5284     8180
                                                                8,618         813       X      X 28-5284                        813
                                                               21,200       2,000       X      X 28-4580     2000

  ISHARES TR                   S&P 100
                                IDX FD       464287101      2,229,159      40,223       X        28-5284    40223
                                                            1,271,113      22,936       X      X 28-5284      350             22586

  ISHARES TR                   DJ SEL DIV
                                INX          464287168        923,398      16,701       X        28-5284    16701
                                                              264,894       4,791       X      X 28-5284     2791       500    1500

  ISHARES TR                   US TIPS BD
                                FD           464287176        120,274       1,125       X        28-5284     1125
                                                               16,037         150       X      X 28-5284      150
                                                               21,382         200       X      X 28-1500      200
                                                              320,730       3,000       X      X 28-4580     3000

  ISHARES TR                   S&P 500
                                INDEX        464287200     57,751,376     510,036       X        28-5284   491126     11406    7504
                                                           15,441,515     136,373       X      X 28-5284    97358     25611   13404
                                                              484,398       4,278       X      X 28-1500     4278
                                                            2,992,329      26,427       X        28-4580    26427
                                                            1,775,333      15,679       X      X 28-4580    15679
0                COLUMN TOTAL                              92,938,284
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 102 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ISHARES TR                   LEHMAN AGG
                                BND          464287226        483,368       4,650       X        28-5284     4650
                                                               36,383         350       X      X 28-5284      350

  ISHARES TR                   MSCI EMERG
                                MKT          464287234      1,520,006       8,661       X        28-5284     7549              1112
                                                            1,157,072       6,593       X      X 28-5284     3039      2934     620
                                                                5,967          34       X        28-4580       34
                                                              112,847         643       X      X 28-4580      580                63

  ISHARES TR                   GS CORP BD
                                FD           464287242        141,275       1,241       X        28-5284     1091               150

  ISHARES TR                   S&P500/BAR
                                GRW          464287309      2,735,026      49,262       X        28-5284    49262
                                                              568,081      10,232       X      X 28-5284     2492      6465    1275
                                                              208,033       3,747       X        28-4580     3747

  ISHARES TR                   GS NAT RES
                                IDX          464287374        124,301       1,125       X        28-5284     1025       100
                                                               93,917         850       X      X 28-5284      550       300
                                                               38,672         350       X        28-4580      200               150
                                                              198,882       1,800       X      X 28-4580     1800

  ISHARES TR                   S&P LTN
                                AM 40        464287390         24,940         400       X        28-5284      400
                                                               52,998         850       X      X 28-5284                850

  ISHARES TR                   S&P500/BAR
                                VAL          464287408     20,290,627     355,477       X        28-5284   299977             55500
                                                            2,013,497      35,275       X      X 28-5284    26935      8274      66
                                                              336,886       5,902       X        28-4580     5902
                                                              388,144       6,800       X      X 28-4580     2000              4800

  ISHARES TR                   20+ YR TRS
                                BD           464287432        140,683       1,571       X        28-5284     1571

  ISHARES TR                   7-10 YR
                                TRS BD       464287440        286,201       3,269       X        28-5284     3269
                                                              745,138       8,511       X      X 28-5284      500      8011
                                                              393,975       4,500       X      X 28-1500     4500

  ISHARES TR                   1-3 YR TRS
                                BD           464287457        745,983       8,991       X        28-5284     7783              1208
                                                               49,616         598       X      X 28-5284      295       303
                                                               82,970       1,000       X      X 28-1500     1000

  ISHARES TR                   MSCI EAFE
                                IDX          464287465     43,525,574     307,384       X        28-5284   295479      1400   10505
                                                           14,469,962     102,189       X      X 28-5284    64768     20645   16776
                                                            2,158,126      15,241       X        28-4580    15241
                                                              393,648       2,780       X      X 28-4580     2180       600
0                COLUMN TOTAL                              93,522,798
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 103 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ISHARES TR                   RUSSELL
                                MCP VL       464287473      3,096,137      31,687       X        28-5284    27396              4291
                                                              554,504       5,675       X      X 28-5284     4579       853     243
                                                              541,118       5,538       X        28-4580     5538
                                                              109,728       1,123       X      X 28-4580     1123

  ISHARES TR                   RUSSELL
                                MCP GR       464287481      2,747,239      35,586       X        28-5284    30029              5557
                                                              754,553       9,774       X      X 28-5284     8072       841     861

  ISHARES TR                   RUSSELL
                                MIDCAP       464287499     15,195,098     216,208       X        28-5284   211054       485    4669
                                                            3,480,195      49,519       X      X 28-5284    24280      3424   21815

  ISHARES TR                   S&P MIDCAP
                                400          464287507     11,243,270      92,958       X        28-5284    86765              6193
                                                            3,667,688      30,324       X      X 28-5284     7597     14006    8721
                                                              186,989       1,546       X        28-4580     1546
                                                                4,838          40       X      X 28-4580       40

  ISHARES TR                   GLMN SCHS
                                SOFT         464287515        102,222       2,700       X      X 28-1500     2700

  ISHARES TR                   GLDM SCHS
                                SEMI         464287523          2,220          36       X        28-5284       36
                                                               18,498         300       X        28-4580      300

  ISHARES TR                   GLDM SCHS
                                NETW         464287531        269,524       8,600       X        28-5284     8600

  ISHARES TR                   GLDM SACHS
                                TEC          464287549         27,186         600       X        28-5284      600
                                                               53,738       1,186       X      X 28-5284     1186

  ISHARES TR                   NASDQ BIO
                                INDX         464287556      2,097,419      27,137       X        28-5284    25387              1750
                                                              524,722       6,789       X      X 28-5284     4190       799    1800
                                                               23,187         300       X      X 28-4580      300

  ISHARES TR                   COHEN&ST
                                RLTY         464287564      7,536,926      63,748       X        28-5284    61934      1389     425
                                                            1,577,188      13,340       X      X 28-5284     6315      2751    4274
                                                              131,590       1,113       X        28-4580     1113
                                                               11,468          97       X      X 28-4580       97

  ISHARES TR                   S&P
                                GLB100-
                                INDX         464287572         29,930         518       X        28-5284      518
                                                               11,960         207       X      X 28-5284                        207

  ISHARES TR                   DJ US CON
                                CYCL         464287580         37,758         663       X        28-5284      663
0                COLUMN TOTAL                              54,036,893
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 104 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ISHARES TR                   RUSSELL-
                                1000VAL      464287598     13,306,910     222,115       X        28-5284   205845             16270
                                                            1,970,979      32,899       X      X 28-5284    28504      3879     516
                                                              258,332       4,312       X        28-4580     4312
                                                               66,620       1,112       X      X 28-4580     1112

  ISHARES TR                   S&P MIDCP
                                GROW         464287606      4,444,284      35,841       X        28-5284    30766      1309    3766
                                                            1,999,004      16,121       X      X 28-5284    11379      3205    1537
                                                              247,256       1,994       X        28-4580     1994
                                                              156,240       1,260       X      X 28-4580     1260

  ISHARES TR                   RUSSELL-
                                1000GRW      464287614     17,571,738     373,073       X        28-5284   314153             58920
                                                            1,320,778      28,042       X      X 28-5284    25484      2308     250
                                                               69,849       1,483       X      X 28-4580     1483

  ISHARES TR                   RUSSELL
                                1000         464287622     45,115,939     745,718       X        28-5284   745718
                                                            6,097,069     100,778       X      X 28-5284    87328             13450
                                                              111,925       1,850       X        28-4580     1850

  ISHARES TR                   RUSL 2000
                                VALU         464287630     10,991,082      64,219       X        28-5284    59919       201    4099
                                                            6,182,451      36,123       X      X 28-5284    10713      6452   18958
                                                              137,433         803       X        28-4580      803
                                                                3,423          20       X      X 28-4580       20

  ISHARES TR                   RUSL 2000
                                GROW         464287648      5,912,688      94,603       X        28-5284    86561       461    7581
                                                            1,410,813      22,573       X      X 28-5284    12768      8091    1714
                                                               18,750         300       X      X 28-4580      300

  ISHARES TR                   RUSSELL
                                2000         464287655     64,474,318     548,251       X        28-5284   442678      1803  103770
                                                           22,587,785     192,073       X      X 28-5284    92444     36751   62878
                                                               58,800         500       X      X 28-1500      500
                                                              992,662       8,441       X        28-4580     8441
                                                              345,862       2,941       X      X 28-4580     2641       300

  ISHARES TR                   RUSL 3000
                                VALU         464287663         17,149         220       X        28-5284      220
                                                                7,795         100       X        28-4580      100

  ISHARES TR                   RUSSELL
                                3000         464287689        372,764       5,809       X        28-5284     5809
                                                            1,425,472      22,214       X      X 28-5284    11509      1652    9053
                                                               31,122         485       X        28-4580      485

  ISHARES TR                   DJ US
                                UTILS        464287697        284,090       4,738       X        28-5284     2188      2550
                                                            1,114,656      18,590       X      X 28-5284     7128      3399    8063
                                                              116,982       1,951       X        28-4580     1951
0                COLUMN TOTAL                             209,223,020
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 105 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ISHARES TR                   S&P MIDCP
                                VALU         464287705     20,394,846     176,426       X        28-5284   171722              4704
                                                            2,038,028      17,630       X      X 28-5284    11941      2780    2909
                                                              245,419       2,123       X        28-4580     2123
                                                               11,560         100       X      X 28-4580      100

  ISHARES TR                   DJ US
                                TELECOMM     464287713        334,724      15,475       X        28-5284    14475      1000
                                                              513,929      23,760       X      X 28-5284    10138             13622

  ISHARES TR                   DJ US
                                TECH SEC     464287721      1,589,195      33,492       X        28-5284    33492
                                                            1,939,803      40,881       X      X 28-5284     8518     12033   20330

  ISHARES TR                   DJ US REAL
                                EST          464287739        184,861       1,689       X        28-5284     1689
                                                              462,207       4,223       X      X 28-5284     1569      2654
                                                               71,143         650       X        28-4580      650
                                                               65,670         600       X      X 28-4580      600

  ISHARES TR                   DJ US
                                INDUSTRL     464287754         58,414       1,198       X        28-5284     1198

  ISHARES TR                   DJ US
                                HEALTHCR     464287762      1,650,480      28,754       X        28-5284    21199      6875     680
                                                              818,007      14,251       X      X 28-5284    11376      1725    1150
                                                                8,380         146       X      X 28-4580      146

  ISHARES TR                   DJ US FINL
                                SEC          464287788         54,299         586       X        28-5284      586
                                                               74,591         805       X      X 28-5284      505       300

  ISHARES TR                   DJ US
                                ENERGY       464287796         56,356       1,079       X        28-5284     1079
                                                              275,461       5,274       X      X 28-5284      504              4770

  ISHARES TR                   S&P SMLCAP
                                600          464287804     10,909,264      76,610       X        28-5284    66539       559    9512
                                                            6,536,160      45,900       X      X 28-5284    30284     14775     841
                                                              308,723       2,168       X        28-4580     2168
                                                               21,360         150       X      X 28-4580       50       100

  ISHARES TR                   DJ US BAS
                                MATL         464287838        100,124       2,251       X        28-5284     2051       200
                                                               55,600       1,250       X      X 28-5284      250      1000

  ISHARES TR                   S&P EURO
                                PLUS         464287861         71,522       1,100       X        28-5284     1100
                                                                3,251          50       X      X 28-5284                         50
                                                              442,461       6,805       X        28-4580     6805
                                                            3,501,977      53,860       X      X 28-4580    26460     27400
0                COLUMN TOTAL                              52,797,815
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 106 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ISHARES TR                   S&P SMLCP
                                VALU         464287879      2,222,396      20,772       X        28-5284    19351      1168     253
                                                              689,016       6,440       X      X 28-5284     2347      2484    1609
                                                              782,953       7,318       X        28-4580     6978               340
                                                              506,063       4,730       X      X 28-4580     4730

  ISHARES TR                   S&P SMLCP
                                GROW         464287887      1,837,917      19,617       X        28-5284    19617
                                                              869,068       9,276       X      X 28-5284     6412      2021     843
                                                              683,750       7,298       X        28-4580     6948               350
                                                              582,096       6,213       X      X 28-4580     6213

  ISIS PHARMACEUTICALS INC     COM           464330109         23,280       3,000       X        28-5284     3000
                                                               43,301       5,580       X      X 28-5284     2700              2880

  ITRON INC                    COM           465741106         85,606       4,600       X      X 28-5284                       4600

  IVANHOE ENERGY INC           COM           465790103          2,460       1,000       X      X 28-5284     1000

  IVAX CORP                    COM           465823102        309,171      13,578       X        28-5284    13078               500
                                                              158,024       6,940       X      X 28-5284     1500      1000    4440

  IVILLAGE INC                 COM           46588H105             21           3       X        28-1500        3

  IXYS CORP                    COM           46600W106         92,082       9,796       X      X 28-5284                       9796

  JDS UNIPHASE CORP            COM           46612J101        292,474      71,861       X        28-5284    66181              5680
                                                              104,925      25,780       X      X 28-5284     9400     12380    4000
                                                               14,001       3,440       X      X 28-1500     3440
                                                                  611         150       X        28-4580      150

  JLG INDS INC                 COM           466210101         28,600       2,000       X      X 28-5284                       2000
                                                              243,100      17,000       X      X 28-1500    17000

  J P MORGAN CHASE & CO        COM           46625H100     46,468,644   1,107,715       X        28-5284   990740     22980   93995
                                                           42,579,418   1,015,004       X      X 28-5284   508094    427028   79882
                                                            2,026,185      48,300       X        28-1500    29300     19000
                                                              108,609       2,589       X        28-4580     2589
                                                            1,303,387      31,070       X      X 28-4580    30970       100

  J2 GLOBAL COMMUNICATIONS INC COM NEW       46626E205        309,865      13,723       X        28-1500    13723

  JABIL CIRCUIT INC            COM           466313103         63,275       2,150       X        28-5284     2150
                                                               55,623       1,890       X      X 28-5284      100              1790
0                COLUMN TOTAL                             102,485,921
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 107 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  JACOBS ENGR GROUP INC DEL    COM           469814107         17,840         400       X      X 28-5284      400
                                                               30,105         675       X      X 28-1500      675

  JACUZZI BRANDS INC           COM           469865109         78,154       8,332       X      X 28-5284     3520              4812

  JAKKS PAC INC                COM           47012E106         46,469       3,100       X      X 28-5284                       3100
                                                               83,015       5,538       X        28-1500     2077      3461

  JANUS CAP GROUP INC          COM           47102X105        201,802      12,320       X        28-5284     7520              4800
                                                              169,173      10,328       X      X 28-5284       28             10300

  JAPAN EQUITY FD INC          COM           471057109        114,750      15,000       X      X 28-5284    15000

  JAPAN SMALLER CAPTLZTN FD IN COM           47109U104         35,625       2,500       X        28-5284     2500

  JARDEN CORP                  COM           471109108        248,570       7,000       X      X 28-5284                       7000

  JEFFERIES GROUP INC NEW      COM           472319102        123,655       3,500       X      X 28-5284                       3500

  JEFFERSON PILOT CORP         COM           475070108     11,511,778     209,267       X        28-5284   208142              1125
                                                              901,174      16,382       X      X 28-5284    15445       600     337
                                                              250,296       4,550       X      X 28-1500     4550
                                                              371,318       6,750       X        28-4580     6750

  JETBLUE AWYS CORP            COM           477143101         38,809       1,537       X        28-5284     1537
                                                               12,625         500       X      X 28-5284                500

  JO-ANN STORES INC            COM           47758P307         34,838       1,242       X      X 28-5284                       1242

  JOHNSON & JOHNSON            COM           478160104    326,640,807   6,440,079       X        28-5284  5744754     88377  606948
                                                          276,722,538   5,455,886       X      X 28-5284  4023357   1059482  373047
                                                            4,384,237      86,440       X        28-1500    31491     54949
                                                            9,305,903     183,476       X        28-4580   182952               524
                                                            9,858,091     194,363       X      X 28-4580   158191     17232   18940

  JOHNSON CTLS INC             COM           478366107     21,550,415     364,335       X        28-5284   338280      2680   23375
                                                            8,362,036     141,370       X      X 28-5284    81890     50890    8590
                                                               55,010         930       X        28-4580      930
                                                               43,534         736       X      X 28-4580      736

  JOHNSON OUTDOORS INC         CL A          479167108         33,235       1,700       X      X 28-5284                       1700
                                                              405,076      20,720       X        28-1500    20720
0                COLUMN TOTAL                             671,630,878
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 108 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  JONES APPAREL GROUP INC      COM           480074103        169,905       4,700       X        28-5284     1800       900    2000
                                                               31,631         875       X      X 28-5284      175               700
                                                               37,958       1,050       X      X 28-1500     1050

  JOURNAL COMMUNICATIONS INC   CL A          481130102         70,640       3,532       X      X 28-5284                       3532

  JOURNAL REGISTER CO          COM           481138105         25,080       1,200       X      X 28-5284                       1200

  JOY GLOBAL INC               COM           481165108          4,208         150       X      X 28-5284      150

  JUNIPER NETWORKS INC         COM           48203R104      2,199,627      84,536       X        28-5284    84536
                                                              359,857      13,830       X      X 28-5284    13440               390
                                                               52,430       2,015       X      X 28-1500     2015

  KCS ENERGY INC               COM           482434206         56,175       5,250       X      X 28-5284      250              5000

  KLA-TENCOR CORP              COM           482480100      1,498,394      29,801       X        28-5284    29801
                                                            2,807,887      55,845       X      X 28-5284     2345             53500

  KLM ROYAL DUTCH AIRLS        COM NY
                                REG NEW      482516309         15,972         769       X      X 28-5284      769

  K-SWISS INC                  CL A          482686102        685,160      28,000       X      X 28-5284    28000
                                                               14,682         600       X      X 28-1500      600

  KADANT INC                   COM           48282T104         52,125       2,500       X      X 28-5284                       2500

  KAMAN CORP                   CL A          483548103         25,296       1,700       X      X 28-5284                       1700

  KANA SOFTWARE INC            COM NEW       483600300            374          83       X        28-5284       83

  KANEB PIPE LINE PARTNERS L P SR PREF
                                UNIT         484169107        230,179       4,300       X        28-5284     2800              1500

  KANEB SERVICES LLC           COM           484173109         92,532       2,804       X        28-5284     1804              1000

  KANSAS CITY LIFE INS CO      COM           484836101         12,837         300       X      X 28-5284                        300

  KANSAS CITY SOUTHERN         COM NEW       485170302         15,707       1,130       X        28-5284     1130
                                                              152,997      11,007       X      X 28-5284    11007

  KAYDON CORP                  COM           486587108         66,072       2,400       X        28-5284     2400

  KB HOME                      COM           48666K109         40,400         500       X        28-5284      500
                                                               39,592         490       X      X 28-5284       90       400
0                COLUMN TOTAL                               8,757,717
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 109 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  KEANE INC                    COM           486665102            787          50       X      X 28-5284       50

  KEITH COMPANIES INC          COM           487539108         14,170       1,000       X        28-5284     1000

  KEITHLEY INSTRS INC          COM           487584104         10,355         500       X        28-5284      500
                                                                6,213         300       X      X 28-5284      300
                                                              115,976       5,600       X      X 28-1500     5600

  KELLOGG CO                   COM           487836108      3,102,118      79,055       X        28-5284    55064             23991
                                                            1,690,341      43,077       X      X 28-5284    20867     18800    3410
                                                               23,544         600       X      X 28-1500      600
                                                               62,784       1,600       X        28-4580     1600
                                                               78,480       2,000       X      X 28-4580      800              1200

  KELLWOOD CO                  COM           488044108         86,350       2,200       X      X 28-5284                       2200
                                                               39,250       1,000       X        28-4580     1000

  KELLY SVCS INC               CL A          488152208          7,403         250       X        28-5284      250
                                                              151,899       5,130       X      X 28-5284     5130

  KEMET CORP                   COM           488360108         60,945       4,250       X        28-5284     4250

  KENNAMETAL INC               COM           489170100        110,604       2,680       X        28-5284     2680
                                                              562,923      13,640       X      X 28-5284    13640

  KERR MCGEE CORP              COM           492386107      2,535,242      49,228       X        28-5284     9528     25000   14700
                                                            1,580,072      30,681       X      X 28-5284    22404      5522    2755

  KEWAUNEE SCIENTIFIC CORP     COM           492854104        161,132      15,017       X        28-1500    15017

  KEY ENERGY SVCS INC          COM           492914106         22,000       2,000       X        28-5284     2000
                                                               85,800       7,800       X      X 28-5284                       7800

  KEYCORP NEW                  COM           493267108      1,036,069      34,205       X        28-5284    31695       600    1910
                                                              888,042      29,318       X      X 28-5284    20974      6344    2000
                                                           10,389,652     343,006       X        28-1500   343006
                                                               29,200         964       X      X 28-4580      964

  KEYNOTE SYS INC              COM           493308100         43,894       3,400       X      X 28-5284                       3400

  KEYSPAN CORP                 COM           49337W100        114,316       2,991       X        28-5284     2991
                                                              448,894      11,745       X      X 28-5284     4252      3613    3880
                                                               20,180         528       X        28-4580      528
0                COLUMN TOTAL                              23,478,635
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 110 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  KEYSTONE AUTOMOTIVE INDS INC COM           49338N109        137,000       5,000       X        28-5284     5000

  KEYSTONE PPTY TR CORP        COM           493596100         41,327       1,700       X      X 28-5284                       1700

  KIMBALL INTL INC             CL B          494274103         78,800       5,000       X        28-5284     1000              4000
                                                               52,008       3,300       X      X 28-5284                       3300
                                                               45,231       2,870       X        28-1500     2070       800

  KIMBERLY CLARK CORP          COM           494368103     48,276,422     765,078       X        28-5284   733089      3055   28934
                                                           37,029,793     586,843       X      X 28-5284   459029     93112   34702
                                                              389,958       6,180       X        28-1500      900      5280
                                                              192,076       3,044       X        28-4580     3044
                                                              577,113       9,146       X      X 28-4580     9146

  KIMCO REALTY CORP            COM           49446R109        198,822       3,900       X        28-5284     1600              2300
                                                              952,561      18,685       X      X 28-5284    14875       900    2910

  KINDER MORGAN INC KANS       COM           49455P101     19,415,139     308,079       X        28-5284   291114      3196   13769
                                                            4,143,691      65,752       X      X 28-5284    36412     27535    1805
                                                              290,774       4,614       X        28-4580     4458               156
                                                               64,469       1,023       X      X 28-4580      823       200

  KINDER MORGAN MANAGEMENT LLC SHS           49455U100        117,425       2,776       X        28-5284     2776

  KINDER MORGAN ENERGY PARTNER UT LTD
                                PARTNER      494550106      1,238,352      27,464       X        28-5284    23464      2000    2000
                                                            2,661,933      59,036       X      X 28-5284     1936     56900     200
                                                              196,277       4,353       X      X 28-1500     4353

  KINDRED HEALTHCARE INC       COM           494580103            201           4       X        28-5284        4
                                                               75,450       1,500       X      X 28-5284                       1500

  KING PHARMACEUTICALS INC     COM           495582108         45,670       2,712       X        28-5284     2376               336
                                                              119,059       7,070       X      X 28-5284      250              6820
                                                              176,904      10,505       X      X 28-1500    10505

  KINROSS GOLD CORP            COM NEW       496902206         35,638       4,862       X        28-5284     4862
                                                                  125          17       X      X 28-5284       17

  KMART HLDG CORPORATION       COM           498780105         91,961       2,217       X        28-5284     2217
                                                              352,580       8,500       X      X 28-5284                       8500
                                                                7,135         172       X        28-1500      172

  KNAPE & VOGT MFG CO          COM           498782101         48,449       3,552       X        28-1500     3552
0                COLUMN TOTAL                             117,052,343
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 111 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  KNIGHT RIDDER INC            COM           499040103        578,968       7,904       X        28-5284     7904
                                                              919,068      12,547       X      X 28-5284     6780      3967    1800

  KNIGHT TRADING GROUP INC     COM           499063105         27,366       2,165       X        28-5284     2165

  KNOLOGY INC                  COM           499183804      1,722,500     250,000       X        28-5284                     250000

  KOGER EQUITY INC             COM           500228101          1,572          67       X        28-5284       67

  KOHLS CORP                   COM           500255104     12,306,413     254,633       X        28-5284   249788       700    4145
                                                            3,566,271      73,790       X      X 28-5284    50360     21260    2170
                                                              163,645       3,386       X        28-1500               3386
                                                               30,931         640       X        28-4580      640
                                                                7,250         150       X      X 28-4580                150

  KONINKLIJKE PHILIPS ELECTRS  NY REG SH
                                NEW          500472303        209,207       7,219       X        28-5284     7219
                                                               78,391       2,705       X      X 28-5284     2705

  KOPIN CORP                   COM           500600101         61,268      10,600       X        28-5284    10600
                                                               11,560       2,000       X      X 28-5284               2000

  KOREA ELECTRIC PWR           SPONSORED
                                ADR          500631106         41,280       4,000       X      X 28-5284     4000

  KORN FERRY INTL              COM NEW       500643200        127,968       7,998       X        28-5284     7998

  KRAFT FOODS INC              CL A          50075N104      1,756,805      54,883       X        28-5284    51883      1800    1200
                                                            1,416,763      44,260       X      X 28-5284    27420      2590   14250
                                                               16,453         514       X        28-1500                514
                                                                9,603         300       X        28-4580      300
                                                                9,603         300       X      X 28-4580      300

  KRAMONT RLTY TR              COM SH BEN
                                INT          50075Q107         14,175         750       X        28-5284      750
                                                              189,000      10,000       X      X 28-5284                      10000

  KRISPY KREME DOUGHNUTS INC   COM           501014104         92,718       2,700       X        28-5284     1800               900
                                                               20,947         610       X      X 28-5284      110       300     200
                                                                2,747          80       X      X 28-1500       80

  KROGER CO                    COM           501044101      4,890,845     293,921       X        28-5284   283666      8125    2130
                                                            1,257,052      75,544       X      X 28-5284    59828     14316    1400
                                                              148,512       8,925       X      X 28-1500     8925
                                                               57,408       3,450       X        28-4580     3450
                                                                6,656         400       X      X 28-4580                400
0                COLUMN TOTAL                              29,742,945
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 112 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  KROLL INC                    COM           501049100          5,370         200       X        28-5284      200
                                                                5,370         200       X      X 28-1500      200

  KRONOS WORLDWIDE INC         COM           50105F105          4,998         165       X      X 28-5284      165

  KRONOS INC                   COM           501052104          2,342          72       X      X 28-5284       72

  KULICKE & SOFFA INDS INC     COM           501242101          5,850         500       X      X 28-5284      500

  KYOCERA CORP                 ADR           501556203         16,788         200       X        28-5284                        200

  KYPHON INC                   COM           501577100          4,782         200       X      X 28-5284      200

  LCA-VISION INC               COM PAR
                                $.001        501803308         29,274       1,242       X      X 28-5284                       1242
                                                               71,841       3,048       X        28-1500     3048

  LNR PPTY CORP                COM           501940100         16,059         300       X      X 28-5284      300

  LL & E RTY TR                UNIT BEN
                                INT          502003106            326          50       X        28-5284       50
                                                               11,295       1,735       X      X 28-5284       50      1600      85

  LSI INDS INC                 COM           50216C108         12,160       1,000       X        28-5284     1000

  LSI LOGIC CORP               COM           502161102         91,420       9,788       X        28-5284     9488               300
                                                               97,136      10,400       X      X 28-5284     5400       500    4500
                                                                9,340       1,000       X      X 28-1500     1000

  LTC PPTYS INC                COM           502175102        548,733      30,300       X        28-5284    30300

  L-3 COMMUNICATIONS HLDGS INC COM           502424104      1,913,174      32,165       X        28-5284    32165
                                                            1,350,791      22,710       X      X 28-5284    17990              4720
                                                               48,774         820       X      X 28-1500      820

  LA QUINTA CORP               PAIRED CTF    50419U202         10,556       1,400       X        28-5284     1400
                                                               80,520      10,679       X      X 28-5284       48             10631

  LA Z BOY INC                 COM           505336107         32,640       1,500       X      X 28-1500     1500

  LABONE INC NEW               COM           50540L105         36,765       1,205       X      X 28-5284                       1205

  LABORATORY CORP AMER HLDGS   COM NEW       50540R409         80,463       2,050       X        28-5284     2050
                                                              129,525       3,300       X      X 28-5284     2100      1200
                                                               19,625         500       X        28-4580      500
0                COLUMN TOTAL                               4,635,917
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 113 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  LABRANCHE & CO INC           COM           505447102         31,388       2,800       X      X 28-5284                       2800

  LACLEDE GROUP INC            COM           505597104         40,026       1,321       X        28-5284     1121       200
                                                               31,815       1,050       X      X 28-5284       50      1000

  LADISH INC                   COM NEW       505754200         34,008       3,900       X      X 28-5284                       3900

  LAFARGE COPPEE S A           SPON ADR
                                NEW          505861401          1,531          75       X      X 28-5284       75

  LAM RESEARCH CORP            COM           512807108         27,632       1,100       X        28-5284     1100
                                                              138,160       5,500       X      X 28-5284     5500

  LAMAR ADVERTISING CO         CL A          512815101        389,781       9,660       X        28-5284     9660

  LANCASTER COLONY CORP        COM           513847103        107,060       2,650       X        28-5284     2650
                                                              181,194       4,485       X      X 28-5284                       4485

  LANCE INC                    COM           514606102         20,450       1,250       X        28-5284     1250
                                                               23,722       1,450       X      X 28-5284     1450
                                                               33,129       2,025       X        28-1500     2025

  LANDAUER INC                 COM           51476K103        167,076       3,978       X        28-5284     1966              2012
                                                               77,616       1,848       X      X 28-5284     1848
                                                              214,788       5,114       X      X 28-1500     5114

  LANDAMERICA FINL GROUP INC   COM           514936103          8,464         187       X      X 28-5284       75       112

  LANDRYS RESTAURANTS INC      COM           51508L103         71,592       2,400       X      X 28-5284                       2400

  LANNET INC                   COM           516012101        264,528      15,840       X      X 28-5284    15840

  LARGE SCALE BIOLOGY CORP     COM           517053104          1,680       1,000       X      X 28-5284     1000

  LASERSCOPE                   COM           518081104          7,912         400       X      X 28-5284      400

  LATIN AMER EQUITY FD INC NEW COM           51827Q106          5,717         363       X        28-5284      363

  LATTICE SEMICONDUCTOR CORP   COM           518415104         98,649      11,300       X      X 28-5284                      11300

  LAUDER ESTEE COS INC         CL A          518439104      2,297,876      51,824       X        28-5284    35874             15950
                                                              232,120       5,235       X      X 28-5284      845              4390
                                                                6,208         140       X        28-1500      140
                                                              311,932       7,035       X      X 28-1500     7035
0                COLUMN TOTAL                               4,826,054
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 114 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  LAWSON SOFTWARE INC          COM           520780107          1,660         200       X        28-5284      200
                                                               27,390       3,300       X      X 28-5284                       3300

  LAYNE CHRISTENSEN CO         COM           521050104          1,467         100       X        28-5284      100
                                                                1,467         100       X      X 28-5284      100

  LEAPFROG ENTERPRISES INC     CL A          52186N106         11,610         600       X        28-5284      600
                                                                7,740         400       X      X 28-5284      400

  LEAR CORP                    COM           521865105      1,632,150      26,342       X        28-5284    26342
                                                              130,116       2,100       X      X 28-5284                       2100
                                                                6,196         100       X      X 28-1500      100

  LEE ENTERPRISES INC          COM           523768109         41,340         915       X      X 28-5284      115               800

  LEESPORT FINANCIAL CORP      COM           524477106        673,127      25,401       X      X 28-5284    25401
                                                              572,400      21,600       X        28-1500    21600

  LEGGETT & PLATT INC          COM           524660107         20,154         850       X        28-5284      850
                                                               38,600       1,628       X      X 28-5284      628              1000

  LEGG MASON INC               COM           524901105     27,327,700     294,543       X        28-5284   278713       800   15030
                                                            4,319,651      46,558       X      X 28-5284    24477     15953    6128
                                                              719,231       7,752       X        28-4580     7391               361
                                                              117,923       1,271       X      X 28-4580     1207                64

  LEHMAN BROS HLDGS INC        COM           524908100     19,257,496     232,382       X        28-5284   202433      6545   23404
                                                            8,201,561      98,969       X      X 28-5284    67705     22407    8857
                                                              132,675       1,601       X        28-4580     1601
                                                              126,625       1,528       X      X 28-4580     1188       340

  LENNAR CORP                  CL A          526057104      3,125,636      57,850       X        28-5284    57850
                                                              866,101      16,030       X      X 28-5284    16030

  LENNAR CORP                  CL B          526057302          4,582          90       X        28-5284       90
                                                               10,182         200       X      X 28-5284      200

  LEUCADIA NATL CORP           COM           527288104        280,732       5,269       X        28-5284     5269
                                                                5,328         100       X      X 28-5284      100

  LEVEL 3 COMMUNICATIONS INC   COM           52729N100         59,200      14,800       X        28-5284    14800
                                                                4,000       1,000       X      X 28-5284     1000
                                                                2,000         500       X      X 28-4580      500
0                COLUMN TOTAL                              67,726,040
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 115 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  LEVITT CORP                  CL A          52742P108          6,125         250       X        28-5284      250

  LEXINGTON CORP PPTYS TR      COM           529043101          5,230         240       X        28-5284      240
                                                               87,966       4,037       X      X 28-5284     4037

  LEXMARK INTL NEW             CL A          529771107        351,900       3,825       X        28-5284     3825
                                                            6,938,180      75,415       X      X 28-5284     2630      2300   70485
                                                                9,200         100       X      X 28-1500      100

  LIBERTY ALL-STAR GROWTH FD I COM           529900102         21,317       3,041       X        28-5284     3041

  LIBERTE INVS INC DEL         COM           530154103          1,638         200       X        28-5284      200

  LIBERTY ALL STAR EQUITY FD   SH BEN INT    530158104         23,305       2,312       X      X 28-5284     1860       452
                                                               12,005       1,191       X        28-1500               1191

  LIBERTY CORP S C             COM           530370105        127,937       2,765       X        28-5284     2765
                                                               64,778       1,400       X      X 28-5284                       1400

  LIBERTY MEDIA CORP NEW       COM SER A     530718105     17,816,165   1,627,047       X        28-5284  1627047
                                                            3,670,155     335,174       X      X 28-5284    42746      7261  285167
                                                              294,095      26,858       X      X 28-1500    26858

  LIBERTY MEDIA CORP NEW       COM SER B     530718204         62,852       5,340       X        28-5284     5340

  LIBERTY PPTY TR              SH BEN INT    531172104         52,875       1,175       X        28-5284     1175
                                                            1,936,800      43,040       X      X 28-5284      400     39250    3390

  LIFE PARTNERS HOLDINGS INC   COM           53215T106             20           3       X      X 28-5284        3

  LIFEPOINT HOSPITALS INC      COM           53219L109         31,079         961       X        28-5284      930                31
                                                               81,076       2,507       X      X 28-5284        7              2500

  LIFELINE SYS INC             COM           532192101         88,920       4,680       X        28-5284     4680

  LIGAND PHARMACEUTICALS INC   CL B          53220K207         80,400       4,000       X        28-5284     4000
                                                               40,200       2,000       X      X 28-5284     2000

  LIGHTBRIDGE INC              COM           532226107         25,960       4,400       X      X 28-5284                       4400
0                COLUMN TOTAL                              31,830,178
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 116 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  LILLY ELI & CO               COM           532457108     25,780,316     385,356       X        28-5284   342307      8820   34229
                                                           35,166,320     525,655       X      X 28-5284   374204    104277   47174
                                                              632,205       9,450       X        28-1500               9450
                                                              311,754       4,660       X        28-4580     4660
                                                            1,106,192      16,535       X      X 28-4580    16335       200

  LIMITED BRANDS INC           COM           532716107        132,080       6,604       X        28-5284     5280      1324
                                                                6,220         311       X      X 28-5284       11               300

  LIN TV CORP                  CL A          532774106        111,907       4,700       X      X 28-5284                       4700

  LINCARE HLDGS INC            COM           532791100          6,280         200       X        28-5284      200
                                                                6,186         197       X      X 28-5284      100                97
                                                               25,277         805       X      X 28-1500      805

  LINCOLN NATL CORP IND        COM           534187109        275,308       5,818       X        28-5284     5018               800
                                                              599,071      12,660       X      X 28-5284    11060      1600
                                                                9,464         200       X      X 28-1500      200

  LINCOLN NATL INCOME FD       COM           534217104          6,705         450       X      X 28-1500      450

  LINEAR TECHNOLOGY CORP       COM           535678106      2,682,534      72,325       X        28-5284    70286              2039
                                                              522,784      14,095       X      X 28-5284      265             13830
                                                               78,112       2,106       X      X 28-1500     2106

  LINENS N THINGS INC          COM           535679104         46,033       1,300       X      X 28-5284                       1300

  LITTELFUSE INC               COM           537008104        305,040       8,200       X      X 28-5284               5400    2800

  LIZ CLAIBORNE INC            COM           539320101     14,014,149     381,961       X        28-5284   292533      1745   87683
                                                            5,995,146     163,400       X      X 28-5284    99710     45735   17955
                                                              427,732      11,658       X        28-4580    11264               394
                                                              102,328       2,789       X      X 28-4580     2379       410

  LLOYDS TSB GROUP PLC         SPONSORED
                                ADR          539439109         62,180       2,000       X      X 28-5284               1000    1000

  LOCKHEED MARTIN CORP         COM           539830109      2,886,045      63,235       X        28-5284    38235             25000
                                                            4,370,669      95,764       X      X 28-5284    86210      6762    2792
                                                               13,692         300       X        28-1500      300

  LODGIAN INC                  COM NEW       54021P205         30,600       5,000       X        28-5284     5000

  LODGENET ENTMT CORP          COM           540211109         97,850       5,150       X        28-5284     5150
0                COLUMN TOTAL                              95,810,179
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 117 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  LOEWS CORP                   COM           540424108        428,421       7,254       X        28-5284     7254
                                                               93,433       1,582       X      X 28-5284      382              1200
                                                               23,624         400       X      X 28-4580                400

  LONE STAR STEAKHOUSE SALOON  COM           542307103         93,408       3,200       X      X 28-5284                       3200

  LONGS DRUG STORES CORP       COM           543162101          7,532         400       X        28-5284      400
                                                                  659          35       X      X 28-5284       35

  LOUISIANA PAC CORP           COM           546347105         93,396       3,620       X        28-5284     3620
                                                              441,722      17,121       X      X 28-5284    17121

  LOWES COS INC                COM           548661107     46,065,049     820,685       X        28-5284   672877     13816  133992
                                                           20,118,058     358,419       X      X 28-5284   235231     96558   26630
                                                              269,705       4,805       X      X 28-1500     4805
                                                              443,427       7,900       X        28-4580     7900
                                                              520,606       9,275       X      X 28-4580     8100      1175

  LOWRANCE ELECTRS INC         COM           548900109        108,800       5,000       X        28-5284                       5000

  LUBRIZOL CORP                COM           549271104        181,068       5,750       X        28-5284     5750
                                                              511,555      16,245       X      X 28-5284     5045      3200    8000
                                                                3,149         100       X      X 28-1500      100

  LUCENT TECHNOLOGIES INC      COM           549463107        907,599     220,827       X        28-5284   213183              7644
                                                            1,552,215     377,668       X      X 28-5284   231108     75532   71028
                                                              178,144      43,344       X        28-1500              43344
                                                               56,825      13,826       X        28-4580    13122               704
                                                               28,236       6,870       X      X 28-4580     6520       350

  LUFKIN INDS INC              COM           549764108         58,995       1,900       X      X 28-5284                       1900

  LYNX THERAPEUTICS INC        COM PAR
                                $0.01        551812407             23           5       X        28-5284        5

  LYONDELL CHEMICAL CO         COM           552078107         22,542       1,519       X        28-5284     1519
                                                               51,584       3,476       X      X 28-5284     2476              1000

  M & F WORLDWIDE CORP         COM           552541104            192          14       X        28-5284       14
                                                               15,059       1,100       X      X 28-5284                       1100
0                COLUMN TOTAL                              72,275,026
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 118 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  M & T BK CORP                COM           55261F104     25,243,986     280,957       X        28-5284   267968      3050    9939
                                                            9,080,780     101,066       X      X 28-5284    55878     41628    3560
                                                              408,997       4,552       X        28-4580     4414               138
                                                              107,550       1,197       X      X 28-4580      997       160      40

  MBIA INC                     COM           55262C100     19,235,357     306,784       X        28-5284   252095      4850   49839
                                                            6,212,316      99,080       X      X 28-5284    65692     29983    3405
                                                                6,270         100       X        28-1500      100
                                                               77,685       1,239       X      X 28-1500     1239
                                                               57,496         917       X        28-4580      917
                                                               28,529         455       X      X 28-4580      355       100

  MBNA CORP                    COM           55262L100    101,789,915   3,684,036       X        28-5284  3192032     48471  443533
                                                           34,976,154   1,265,876       X      X 28-5284   627333    406153  232390
                                                               54,956       1,989       X      X 28-1500     1989
                                                            3,941,558     142,655       X        28-4580   142130               525
                                                              924,224      33,450       X      X 28-4580    31365      1745     340

  MB FINANCIAL INC NEW         COM           55264U108        672,578      17,250       X      X 28-5284    17250

  MBIA CAP CLAYMORE MNG DUR IN COM           55266X100          4,447         286       X        28-5284      286

  M D C HLDGS INC              COM           552676108        429,792       6,105       X      X 28-5284     6105

  MDU RES GROUP INC            COM           552690109        269,336      11,466       X        28-5284    11466
                                                              193,252       8,227       X      X 28-5284     6522              1705

  MFC BANCORP LTD              COM NEW       55271X202        132,129       5,300       X      X 28-5284                       5300

  MEMC ELECTR MATLS INC        COM           552715104         27,450       3,000       X      X 28-5284                       3000

  MFA MTG INVTS INC            COM           55272X102          5,050         500       X      X 28-5284                500

  MFS CHARTER INCOME TR        SH BEN INT    552727109         22,280       2,443       X        28-5284     2443
                                                               54,720       6,000       X      X 28-5284     2700      3300

  MFS INTER INCOME TR          SH BEN INT    55273C107        187,233      26,940       X        28-5284     7940             19000
                                                               15,985       2,300       X      X 28-5284               2300
                                                                6,950       1,000       X      X 28-4580     1000

  MFS MULTIMARKET INCOME TR    SH BEN INT    552737108          6,400       1,000       X        28-5284     1000
0                COLUMN TOTAL                             204,173,375
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 119 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MFS MUN INCOME TR            SH BEN INT    552738106          4,030         500       X        28-5284      500
                                                               48,360       6,000       X      X 28-5284     6000

  MGE ENERGY INC               COM           55277P104         21,472         696       X        28-5284      696
                                                               33,935       1,100       X      X 28-5284                       1100

  MGIC INVT CORP WIS           COM           552848103        613,397       9,550       X        28-5284      350              9200

  MFS GOVT MKTS INCOME TR      SH BEN INT    552939100         15,180       2,200       X      X 28-5284               2200

  MGM MIRAGE                   COM           552953101         31,738         700       X        28-5284      700
                                                              109,723       2,420       X      X 28-5284                       2420

  MI DEVS INC                  CL A SUB
                                VTG          55304X104          1,036          37       X        28-5284       37

  MIM CORP                     COM           553044108        152,140      20,000       X      X 28-1500    20000

  M/I HOMES INC                COM           55305B101         53,757       1,137       X      X 28-5284     1137

  MMO2 PLC                     ADR           55309W101         20,515       1,100       X      X 28-5284     1100

  MPS GROUP INC                COM           553409103          1,112         100       X        28-5284      100
                                                              106,752       9,600       X      X 28-5284                       9600

  MSC SOFTWARE CORP            COM           553531104         38,764       4,400       X      X 28-5284                       4400

  MTC TECHNOLOGIES INC         COM           55377A106         75,330       3,000       X      X 28-5284                       3000

  MTS SYS CORP                 COM           553777103        105,526       3,800       X      X 28-5284                       3800

  MVC CAP                      COM           553829102          4,250         500       X        28-5284      500

  MACDERMID INC                COM           554273102         35,190       1,000       X        28-5284     1000

  MACK CALI RLTY CORP          COM           554489104         45,808       1,020       X        28-5284     1020
                                                              574,848      12,800       X      X 28-5284    10300      2500

  MACROCHEM CORP DEL           COM           555903103         13,500      10,000       X        28-5284    10000
                                                                8,100       6,000       X      X 28-5284     6000

  MACROMEDIA INC               COM           556100105        227,915      11,356       X      X 28-5284     5956              5400

  MADDEN STEVEN LTD            COM           556269108         19,960       1,000       X        28-5284     1000
0                COLUMN TOTAL                               2,362,338
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 120 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MAGELLAN HEALTH SVCS INC     COM NEW       559079207        130,553       4,646       X      X 28-5284                       4646

  MAGELLAN MIDSTREAM PRTNRS LP COM UNIT
                                RP LP        559080106         85,095       1,550       X        28-5284     1050               500
                                                              164,700       3,000       X      X 28-5284     2000      1000

  MAGMA DESIGN AUTOMATION      COM           559181102         73,080       3,500       X      X 28-5284                       3500

  MAGNA INTL INC               CL A          559222401            713           9       X        28-5284        9
                                                                7,920         100       X      X 28-5284      100

  MAGNETEK INC                 COM           559424106         78,624      10,400       X        28-5284    10400

  MAGNUM HUNTER RES INC        *W EXP
                                03/21/2      55972F138            192         401       X        28-5284      400                 1

  MAINE & MARITIMES CORP       COM           560377103         20,490         600       X      X 28-5284                        600

  MAINSOURCE FINANCIAL GP INC  COM           56062Y102        269,760       7,531       X        28-5284     7531
                                                               30,089         840       X      X 28-5284                        840
                                                            1,387,488      38,735       X        28-1500    38735

  MAIR HOLDINGS INC            COM           560635104         19,488       2,100       X      X 28-5284                       2100

  MALAN RLTY INVS INC          SDCV
                                9.500% 7     561063AA6      7,100,000      71,000       X        28-5284    71000

  MANAGED HIGH INCOME PORTFOLI COM           56166C105         21,763       3,145       X        28-5284     3145
                                                               35,749       5,166       X      X 28-1500     5166

  MANAGED MUNS PORTFOLIO INC   COM           561662107         48,002       4,131       X        28-5284     4131
                                                               54,103       4,656       X      X 28-5284     4656

  MANDALAY RESORT GROUP        COM           562567107          6,871         120       X        28-5284      120
                                                                5,726         100       X      X 28-1500      100

  MANHATTAN ASSOCS INC         COM           562750109         69,967       2,515       X        28-5284     2515
                                                              114,062       4,100       X      X 28-5284                       4100
                                                               69,550       2,500       X      X 28-1500     2500

  MANITOWOC INC                COM           563571108        100,927       3,412       X        28-5284     3412

  MANNING GREG AUCTIONS INC    COM           563823103         14,220       1,000       X        28-5284     1000

  MANOR CARE INC NEW           COM           564055101        116,457       3,300       X      X 28-5284                       3300
                                                               26,468         750       X      X 28-4580      750
0                COLUMN TOTAL                              10,052,057
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 121 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MANPOWER INC                 COM           56418H100         51,150       1,100       X        28-5284                       1100
                                                              148,800       3,200       X      X 28-5284                       3200

  MANUFACTURED HOME CMNTYS INC COM           564682102         33,535         950       X      X 28-5284                        950

  MANULIFE FINL CORP           COM           56501R106      2,341,453      63,027       X        28-5284    61153              1874
                                                            2,121,822      57,115       X      X 28-5284    49452      4031    3632

  MARATHON OIL CORP            COM           565849106        889,090      26,406       X        28-5284    24740       600    1066
                                                              240,741       7,150       X      X 28-5284     1861      3239    2050
                                                              437,710      13,000       X      X 28-1500    13000
                                                                5,253         156       X        28-4580      156
                                                                8,316         247       X      X 28-4580      247

  MARCUS CORP                  COM           566330106         20,820       1,200       X      X 28-5284                       1200

  MARINEMAX INC                COM           567908108         26,570       1,000       X        28-5284     1000

  MARITRANS INC                COM           570363101         15,710       1,000       X      X 28-5284     1000

  MARKEL CORP                  COM           570535104          6,334          22       X      X 28-5284       22

  MARKET 2000+ HOLDRS TR       DEPOSITARY
                                RCT          57059Y204          5,405         100       X        28-5284      100

  MARKETWATCH COM INC          COM           570619106            697          50       X        28-5284       50

  MARSH & MCLENNAN COS INC     COM           571748102     16,533,637     357,098       X        28-5284   348898      5800    2400
                                                            5,844,125     126,223       X      X 28-5284    78478     39095    8650
                                                              183,533       3,964       X      X 28-1500     3964
                                                              484,298      10,460       X        28-4580    10460
                                                              907,758      19,606       X      X 28-4580    19606

  MARSHALL & ILSLEY CORP       COM           571834100         39,360       1,041       X        28-5284     1041
                                                                3,781         100       X      X 28-5284      100

  MARRIOTT INTL INC NEW        CL A          571903202     23,377,013     549,401       X        28-5284   513186      3125   33090
                                                            6,170,005     145,006       X      X 28-5284    98268     39983    6755
                                                              449,796      10,571       X        28-4580    10571
                                                               78,803       1,852       X      X 28-4580     1852

  MARTHA STEWART LIVING OMNIME CL A          573083102          2,750         250       X        28-5284       50               200
                                                                4,950         450       X      X 28-5284                 50     400
0                COLUMN TOTAL                              60,433,215
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 122 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MARTIN MARIETTA MATLS INC    COM           573284106         84,796       1,837       X        28-5284     1837
                                                              558,074      12,090       X      X 28-5284     3490              8600

  MARVEL ENTERPRISES INC       COM           57383M108          4,318         225       X      X 28-5284      225

  MASCO CORP                   COM           574599106      3,285,663     107,939       X        28-5284   107939
                                                            2,611,661      85,797       X      X 28-5284    37375     33930   14492
                                                               33,423       1,098       X      X 28-1500     1098

  MASSBANK CORP READ MASS      COM           576152102         27,741         700       X      X 28-5284                        700

  MASSEY ENERGY CORP           COM           576206106          2,384         108       X        28-5284      108
                                                               48,267       2,187       X      X 28-5284      287       600    1300

  MASSMUTUAL CORPORATE INVS IN COM           576292106         20,352         848       X        28-5284      848
                                                              392,808      16,367       X      X 28-5284      150             16217

  MASSMUTUAL PARTN INVS        SH BEN INT    576299101         49,407       4,315       X        28-5284     4315

  MASTEC INC                   COM           576323109          9,470       1,000       X      X 28-5284                       1000

  MATRITECH INC                COM           576818108          1,800       1,250       X        28-5284     1250

  MATRIXX INITIATIVES INC      COM           57685L105        103,730      11,500       X        28-5284    11500

  MATRIX SVC CO                COM           576853105          2,706         200       X      X 28-5284      200

  MATSUSHITA ELEC INDL         ADR           576879209         32,074       2,080       X        28-5284     2080
                                                               28,527       1,850       X      X 28-5284     1850

  MATTEL INC                   COM           577081102      5,320,973     288,556       X        28-5284   256356             32200
                                                            1,905,756     103,349       X      X 28-5284     1570      9179   92600
                                                              690,855      37,465       X        28-1500    37465
                                                              134,464       7,292       X      X 28-1500     7292

  MATTHEWS INTL CORP           CL A          577128101         26,560         800       X        28-5284      300               500
                                                            1,323,219      39,856       X      X 28-5284    26320             13536

  MAXIM INTEGRATED PRODS INC   COM           57772K101         97,932       2,085       X        28-5284     2085
                                                            3,100,490      66,010       X      X 28-5284     1600       500   63910
                                                               74,213       1,580       X      X 28-1500     1580

  MAXIM PHARMACEUTICALS INC    COM           57772M107          8,560       1,000       X      X 28-1500     1000
0                COLUMN TOTAL                              19,980,223
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 123 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MAXTOR CORP                  COM NEW       577729205         27,001       3,313       X        28-5284     3313
                                                               52,111       6,394       X      X 28-5284     1150              5244

  MAXWELL SHOE INC             CL A          577766108         76,500       3,400       X      X 28-5284                       3400

  MAXWELL TECHNOLOGIES INC     COM           577767106         91,700       7,000       X      X 28-1500     7000

  MAXYGEN INC                  COM           577776107         18,960       2,000       X        28-5284                       2000
                                                               18,960       2,000       X      X 28-5284                       2000

  MAY DEPT STORES CO           COM           577778103      6,036,665     174,571       X        28-5284   156026      4708   13837
                                                            5,128,802     148,317       X      X 28-5284   112259     25756   10302
                                                               20,748         600       X      X 28-1500      600
                                                              185,868       5,375       X        28-4580     5375

  MAX & ERMAS RESTAURANTS INC  COM           577903107          1,757         107       X        28-5284      107

  MAVERICK TUBE CORP           COM           577914104        257,873      10,950       X      X 28-5284     6000              4950

  MAXIMUS INC                  COM           577933104         31,500         900       X      X 28-5284                        900

  MAYTAG CORP                  COM           578592107         22,320         707       X        28-5284      307               400
                                                              656,656      20,800       X      X 28-5284    15000      5800
                                                               12,628         400       X      X 28-4580      400

  MBT FINL CORP                COM           578877102         19,107       1,100       X        28-5284     1100

  MCCLATCHY CO                 CL A          579489105        189,322       2,665       X        28-5284     2665
                                                              337,440       4,750       X      X 28-5284                       4750

  MCCORMICK & CO INC           COM NON
                                VTG          579780206     29,457,309     878,798       X        28-5284   844239     14770   19789
                                                           12,514,122     373,333       X      X 28-5284   231149    125479   16705
                                                               32,179         960       X      X 28-1500      960
                                                              441,727      13,178       X        28-4580    13028               150
                                                              191,198       5,704       X      X 28-4580     5404       300

  MCDATA CORP                  CL A          580031201         70,907      10,072       X        28-5284    10072
                                                               33,574       4,769       X      X 28-5284      163        61    4545
                                                                  936         133       X      X 28-1500      133
                                                                  204          29       X        28-4580       29
                                                                  317          45       X      X 28-4580       45
0                COLUMN TOTAL                              55,928,391
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 124 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MCDERMOTT INTL INC           COM           580037109         13,424       1,600       X      X 28-5284     1600
                                                               39,433       4,700       X      X 28-1500     4700

  MCDONALDS CORP               COM           580135101     20,512,231     717,964       X        28-5284   663906      6200   47858
                                                           12,621,112     441,761       X      X 28-5284   264674    128425   48662
                                                               51,712       1,810       X      X 28-1500     1810
                                                               35,827       1,254       X        28-4580     1254
                                                               19,285         675       X      X 28-4580      300       375

  MCGRAW HILL COS INC          COM           580645109     31,862,306     418,470       X        28-5284   390243     10410   17817
                                                           31,075,780     408,140       X      X 28-5284   202305    177915   27920
                                                              228,420       3,000       X      X 28-1500     3000
                                                              956,471      12,562       X        28-4580    12562
                                                               75,074         986       X      X 28-4580      986

  MCKESSON CORP                COM           58155Q103      1,052,368      34,974       X        28-5284    34974
                                                              175,696       5,839       X      X 28-5284     1900       300    3639

  MCLEODUSA INC                CL A          582266706          4,616       3,098       X      X 28-5284                       3098

  MCMORAN EXPLORATION CO       COM           582411104          3,611         244       X      X 28-5284       82        74      88

  MEADWESTVACO CORP            COM           583334107        596,099      21,071       X        28-5284    21071
                                                            1,109,902      39,233       X      X 28-5284    26623             12610
                                                                8,487         300       X      X 28-4580      300

  MEASUREMENT SPECIALTIES INC  COM           583421102          9,690         500       X        28-5284      500
                                                                2,907         150       X      X 28-5284      150

  MEDAREX INC                  COM           583916101            538          60       X        28-5284       60
                                                                5,526         616       X      X 28-5284      616

  MEDCO HEALTH SOLUTIONS INC   COM           58405U102      9,420,992     277,088       X        28-5284   245186      5157   26745
                                                           14,327,090     421,385       X      X 28-5284   295635    102518   23232
                                                              102,884       3,026       X        28-1500     1654      1372
                                                              163,812       4,818       X        28-4580     4818
                                                              444,006      13,059       X      X 28-4580     8320        24    4715

  MEDIA GEN INC                CL A          584404107        278,539       4,140       X        28-5284     4140
                                                              617,698       9,181       X      X 28-5284     7300              1881

  MEDIACOM COMMUNICATIONS CORP CL A          58446K105         49,724       6,200       X      X 28-5284                       6200
0                COLUMN TOTAL                             125,865,260
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 125 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MEDICAL ACTION INDS INC      COM           58449L100         98,064       4,800       X      X 28-5284                       4800

  MEDICIS PHARMACEUTICAL CORP  CL A NEW      584690309          1,040          26       X        28-5284       26
                                                              490,400      12,260       X      X 28-5284                      12260

  MEDIMMUNE INC                COM           584699102        300,063      13,001       X        28-5284    12677               324
                                                               10,940         474       X      X 28-5284      285       100      89

  MEDIFAST INC                 COM           58470H101         13,485       1,500       X        28-5284     1500

  MEDQUIST INC                 COM           584949101         14,166         900       X        28-5284      900

  MEDIS TECHNOLOGIES LTD       COM           58500P107        176,330      13,318       X        28-5284    13318

  MEDTRONIC INC                COM           585055106     74,945,487   1,569,539       X        28-5284  1470563     28740   70236
                                                           58,175,974   1,218,345       X      X 28-5284   750754    276547  191044
                                                              144,635       3,029       X        28-1500               3029
                                                              719,831      15,075       X        28-4580    15075
                                                            1,192,652      24,977       X      X 28-4580    14779     10198

  MELLON FINL CORP             COM           58551A108     11,823,990     377,884       X        28-5284   344054     31390    2440
                                                            5,854,985     187,120       X      X 28-5284   118535     34455   34130
                                                              427,109      13,650       X        28-4580    13650
                                                               10,952         350       X      X 28-4580      350

  MENS WEARHOUSE INC           COM           587118100          5,978         225       X        28-5284      225

  MENTOR GRAPHICS CORP         COM           587200106         19,602       1,100       X        28-5284     1100
                                                               12,474         700       X      X 28-5284                        700

  MERCANTILE BANKSHARES CORP   COM           587405101        386,370       9,000       X        28-5284     9000
                                                              616,475      14,360       X      X 28-5284    10210              4150
                                                               32,198         750       X      X 28-1500      750
                                                            1,888,920      44,000       X      X 28-4580    37000              7000

  MERCER INTL INC              SH BEN INT    588056101         32,300       3,400       X      X 28-5284                       3400

  MERCHANTS BANCSHARES         COM           588448100         49,130       1,700       X      X 28-5284                       1700
                                                            1,812,030      62,700       X        28-1500    62700
0                COLUMN TOTAL                             159,255,580
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 126 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MERCK & CO INC               COM           589331107    179,088,415   4,052,691       X        28-5284  3548072     72887  431732
                                                          294,423,299   6,662,668       X      X 28-5284  3559042   2857948  245678
                                                            1,959,429      44,341       X        28-1500    14260     30081
                                                            2,481,887      56,164       X        28-4580    56164
                                                            6,145,592     139,072       X      X 28-4580    94916       850   43306

  MERCURY COMPUTER SYS         COM           589378108          7,644         300       X      X 28-5284      300

  MERCURY GENL CORP NEW        COM           589400100         23,217         465       X      X 28-5284       65       400

  MERCURY INTERACTIVE CORP     COM           589405109         19,757         441       X        28-5284      441
                                                               96,320       2,150       X      X 28-5284                       2150

  MEREDITH CORP                COM           589433101          7,584         150       X        28-5284      150
                                                                2,528          50       X      X 28-5284       50

  MERIDIAN BIOSCIENCE INC      COM           589584101         39,527       3,879       X        28-5284     3879
                                                                3,057         300       X      X 28-5284      300
                                                                   41           4       X        28-1500        4

  MERISTAR HOSPITALITY CORP    COM           58984Y103         32,665       4,700       X      X 28-5284                       4700

  MERIT MED SYS INC            COM           589889104        490,514      22,667       X      X 28-5284    22667

  MERIDIAN GOLD INC            COM           589975101         18,544       1,520       X        28-5284     1520

  MERGE TECHNOLOGIES INC       COM           589981109          1,457         100       X        28-5284      100

  MERITAGE CORP                COM           59001A102        126,225       1,700       X      X 28-5284                       1700

  MERRILL LYNCH & CO INC       COM           590188108     16,062,141     269,680       X        28-5284   148216      1250  120214
                                                           15,998,590     268,613       X      X 28-5284   157662     30444   80507
                                                               11,912         200       X      X 28-1500      200
                                                               38,714         650       X        28-4580      650
                                                              142,944       2,400       X      X 28-4580     2400

  METAL MGMT INC               *W EXP
                                06/29/2      591097134             51           3       X        28-5284        3

  METASOLV INC                 COM           59139P104          6,573       2,100       X        28-5284     2100

  METHANEX CORP                COM           59151K108          4,827         431       X      X 28-5284      431
0                COLUMN TOTAL                             517,233,454
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 127 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  METLIFE INC                  COM           59156R108        650,839      18,241       X        28-5284    14412       586    3243
                                                               79,852       2,238       X      X 28-5284     1718       220     300
                                                                7,243         203       X        28-4580      203
                                                                3,568         100       X      X 28-4580      100

  METRIS COS INC               COM           591598107         96,480      12,000       X        28-5284    12000
                                                               61,104       7,600       X      X 28-5284               1000    6600

  METROCORP BANCSHARES INC     COM           591650106          4,422         300       X      X 28-5284                        300

  METTLER TOLEDO INTERNATIONAL COM           592688105         11,100         250       X        28-5284      250

  MICHAELS STORES INC          COM           594087108         24,310         500       X        28-5284      500
                                                               36,611         753       X      X 28-5284                        753

  MICREL INC                   COM           594793101          1,739         130       X        28-5284      130

  MICROS SYS INC               COM           594901100          4,518         100       X        28-5284      100

  MICROSOFT CORP               COM           594918104    166,643,164   6,684,443       X        28-5284  6272870    100455  311118
                                                          107,509,453   4,312,453       X      X 28-5284  2521932   1022237  768284
                                                            1,739,167      69,762       X        28-1500     1280     68482
                                                            3,466,118     139,034       X        28-4580   137645              1389
                                                            2,751,948     110,387       X      X 28-4580    94997     15030     360

  MICROSTRATEGY INC            *W EXP
                                06/24/2      594972119             25          98       X        28-5284       98
                                                                    4          16       X        28-4580       16

  MICROSTRATEGY INC            CL A NEW      594972408        140,019       2,627       X        28-5284     2627

  MICRO THERAPEUTICS INC       COM           59500W100            420         100       X        28-5284      100

  MICROCHIP TECHNOLOGY INC     COM           595017104        194,055       7,345       X        28-5284     7345
                                                              174,504       6,605       X      X 28-5284                       6605

  MICROMUSE INC                COM           595094103            507          65       X        28-5284       65
                                                               88,140      11,300       X      X 28-5284                      11300
                                                                  218          28       X        28-1500       28

  MICRON TECHNOLOGY INC        COM           595112103      1,286,804      77,008       X        28-5284    77008
                                                              608,160      36,395       X      X 28-5284    16350      3000   17045

  MICROTEK MEDICAL HLDGS INC   COM           59515B109          5,508       1,200       X      X 28-1500     1200
0                COLUMN TOTAL                             285,590,000
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 128 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MID-AMER APT CMNTYS INC      COM           59522J103         63,121       1,700       X      X 28-5284                       1700

  MID-STATE BANCSHARES         COM           595440108         74,400       3,100       X      X 28-5284                       3100

  MIDAS GROUP INC              COM           595626102          1,439          74       X        28-5284       74
                                                                4,687         241       X      X 28-5284      200        41

  MIDCAP SPDR TR               UNIT SER 1    595635103    217,664,226   1,969,812       X        28-5284  1857924     17548   94340
                                                           63,402,911     573,782       X      X 28-5284   189400    115273  269109
                                                               45,305         410       X      X 28-1500      410
                                                            2,541,058      22,996       X        28-4580    22456               540
                                                              702,780       6,360       X      X 28-4580     5760       600

  MIDDLEBY CORP                COM           596278101          4,559         100       X        28-5284      100
                                                               18,236         400       X      X 28-5284                        400

  MIDDLESEX WATER CO           COM           596680108        404,830      19,557       X        28-5284     6533             13024
                                                              158,479       7,656       X      X 28-5284      323      7333

  MIDLAND CO                   COM           597486109        305,638      12,250       X        28-5284    12250
                                                                  499          20       X      X 28-1500       20

  MILACRON INC                 COM           598709103      2,606,504     751,154       X        28-5284   751154
                                                            1,755,931     506,032       X      X 28-5284   495067     10965

  MILLENNIUM PHARMACEUTICALS I COM           599902103         27,716       1,640       X        28-5284     1640
                                                              456,925      27,037       X      X 28-5284    22037              5000
                                                              162,696       9,627       X        28-1500     9627

  MILLENNIUM CHEMICALS INC     COM           599903101          2,121         142       X        28-5284      142
                                                                6,290         421       X      X 28-5284      314               107

  MILLEA HOLDINGS INC          ADR           60032R106         22,473         289       X        28-5284      289

  MILLER HERMAN INC            COM           600544100         79,800       3,000       X        28-5284     3000

  MILLIPORE CORP               COM           601073109        497,924       9,691       X        28-5284     9691
                                                              602,790      11,732       X      X 28-5284     2400      7332    2000

  MILLS CORP                   COM           601148109        556,134      10,436       X        28-5284    10436
                                                              143,883       2,700       X      X 28-5284     2700
0                COLUMN TOTAL                             292,313,355
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 129 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MINDSPEED TECHNOLOGIES INC   COM           602682106         11,734       1,797       X        28-5284     1664               133
                                                               14,170       2,170       X      X 28-5284     1723       381      66

  MINE SAFETY APPLIANCES CO    COM           602720104        991,182      34,950       X        28-5284    34950
                                                            3,319,850     117,061       X      X 28-5284   116061              1000

  MINERALS TECHNOLOGIES INC    COM           603158106         57,100       1,000       X      X 28-5284                       1000

  MIPS TECHNOLOGIES INC        COM           604567107            109          19       X        28-5284       19

  MISSION RESOURCES CORP       COM           605109107          1,661         511       X      X 28-5284                511

  MITSUBISHI TOKYO FINL GROUP  SPONSORED
                                ADR          606816106         69,510       7,000       X        28-5284     7000

  MOBIUS MGMT SYSTEMS INC      COM           606925105         77,605       8,500       X        28-5284     8500

  MOBILE MINI INC              COM           60740F105         29,393       1,699       X        28-1500     1699

  MOBILE TELESYSTEMS OJSC      SPONSORED
                                ADR          607409109         52,600         400       X        28-5284      400
                                                              263,000       2,000       X      X 28-5284     2000

  MOBILITY ELECTRONICS INC     COM           60741U101         18,198       2,000       X      X 28-1500     2000

  MODEM MEDIA INC              CL A          607533106            169          26       X        28-5284       26
                                                               30,386       4,682       X      X 28-5284                       4682

  MODINE MFG CO                COM           607828100         28,666       1,100       X      X 28-5284                       1100

  MOHAWK INDS INC              COM           608190104         65,880         800       X      X 28-5284      800

  MOLEX INC                    COM           608554101        158,575       5,218       X        28-5284     5218
                                                               72,723       2,393       X      X 28-5284     2393

  MOLEX INC                    CL A          608554200        130,120       4,995       X        28-5284     3495              1500
                                                              335,602      12,883       X      X 28-5284     2374             10509

  MONDAVI ROBERT CORP          CL A          609200100        297,280       7,850       X        28-5284     3650              4200
                                                              159,054       4,200       X      X 28-5284                       4200

  MONOLITHIC SYS TECHNOLOGY IN COM           609842109        124,433       9,293       X      X 28-5284                       9293

  MONRO MUFFLER BRAKE INC      COM           610236101         78,719       3,150       X      X 28-5284                       3150
0                COLUMN TOTAL                               6,387,719
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 130 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MONROE BANCORP               COM           610313108            129           8       X        28-1500        8

  MONSANTO CO NEW              COM           61166W101      1,882,198      51,328       X        28-5284    49785       284    1259
                                                            1,929,905      52,629       X      X 28-5284    39185      8779    4665
                                                               13,018         355       X      X 28-1500      355
                                                               12,504         341       X        28-4580      341
                                                               67,913       1,852       X      X 28-4580     1852

  MONSTER WORLDWIDE INC        COM           611742107      1,755,479      67,003       X        28-5284    67003
                                                              150,126       5,730       X      X 28-5284                       5730

  MONTGOMERY STR INCOME SECS I COM           614115103         81,196       4,240       X        28-5284     4240
                                                               22,961       1,199       X      X 28-5284               1199

  MONY GROUP INC               COM           615337102        519,137      16,512       X        28-5284    16512
                                                                7,200         229       X      X 28-5284      229

  MOODYS CORP                  COM           615369105     59,060,298     834,185       X        28-5284   761169      5455   67561
                                                           13,736,333     194,016       X      X 28-5284   117705     65531   10780
                                                              754,799      10,661       X        28-4580    10250               411
                                                              682,087       9,634       X      X 28-4580     8634      1000

  MOOG INC                     CL A          615394202          1,024          30       X      X 28-5284       30

  MORGAN STANLEY EASTN EUR FD  COM           616988101        180,200       5,300       X      X 28-5284     5300

  MORGAN STANLEY EMER MKTS FD  COM           61744G107         43,876       2,800       X        28-5284     2800

  MORGAN STANLEY EMER MKTS DEB COM           61744H105         52,805       5,350       X      X 28-5284               5350

  MORGAN STANLEY HIGH YIELD FD COM           61744M104         23,184       3,600       X      X 28-5284     3600

  MORGAN STANLEY GBL OPP BOND  COM           61744R103          3,560         400       X      X 28-5284      400

  MORGAN STANLEY ASIA PAC FD I COM           61744U106          6,350         527       X        28-5284      527
                                                               32,366       2,686       X      X 28-5284     2686

  MORGAN STANLEY               COM NEW       617446448     94,644,530   1,651,737       X        28-5284  1482444     21000  148293
                                                           47,363,722     826,592       X      X 28-5284   469842    309670   47080
                                                               90,305       1,576       X        28-1500     1576
                                                              317,213       5,536       X      X 28-1500     5536
                                                            1,847,008      32,234       X        28-4580    31791               443
                                                              728,570      12,715       X      X 28-4580    10937      1612     166
0                COLUMN TOTAL                             226,009,996
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 131 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MORGAN STANLEY INDIA INVS FD COM           61745C105         33,462       1,320       X        28-5284     1320

  MORGAN STANLEY               GOVT
                                INCOME TR    61745P106          6,384         700       X        28-5284      700

  MORGAN STANLEY               MUN PREM
                                INCOM        61745P429         49,100       5,000       X        28-5284     1000              4000
                                                               80,524       8,200       X      X 28-5284     6100      2100

  MORGAN STANLEY               MUN INCM
                                OPPTN        61745P452          3,698         486       X      X 28-5284      486
                                                                7,610       1,000       X      X 28-4580     1000

  MORGAN STANLEY               QULTY MUN
                                SECS         61745P585        133,197       9,012       X        28-5284     9012
                                                                6,799         460       X      X 28-5284      460
                                                               22,170       1,500       X      X 28-4580     1500

  MORGAN STANLEY               QLT MUN
                                INV TR       61745P668         33,732       2,290       X        28-5284     2290

  MORGAN STANLEY               QUALT MUN
                                INCM         61745P734        192,819      13,234       X        28-5284    13234

  MORGAN STANLEY               INSD MUN
                                INCM         61745P791        202,770      13,500       X        28-5284    13500
                                                              300,400      20,000       X      X 28-5284    20000
                                                               34,982       2,329       X      X 28-4580     2329

  MORGAN STANLEY               INSD MUN
                                TR           61745P866          7,425         500       X        28-5284      500
                                                                8,910         600       X      X 28-5284                600

  MORGAN STANLEY               INCOME SEC
                                INC          61745P874          8,134         496       X        28-5284      496

  MOTOROLA INC                 COM           620076109     17,925,741   1,018,508       X        28-5284   883156     15100  120252
                                                           18,669,922   1,060,791       X      X 28-5284   786921    223439   50431
                                                              650,250      36,946       X      X 28-1500    36946
                                                              336,688      19,130       X        28-4580    18830               300
                                                              191,594      10,886       X      X 28-4580    10636       250

  MOVIE GALLERY INC            COM           624581104         21,549       1,100       X      X 28-5284      100              1000

  MOVIE STAR INC               COM           624591103            104          66       X        28-5284       66

  MUELLER INDS INC             COM           624756102         80,488       2,368       X        28-5284     2368
                                                               64,037       1,884       X      X 28-5284                184    1700

  MULTI COLOR CORP             COM           625383104          9,191         485       X        28-5284                        485

  MULTIMEDIA GAMES INC         COM           625453105          9,896         400       X        28-5284      400
0                COLUMN TOTAL                              39,091,576
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 132 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MUNIHOLDINGS N Y INSD FD INC COM           625931100         42,131       2,820       X      X 28-5284     2820

  MUNICIPAL HIGH INCOME FD INC COM           626214100         67,768       8,535       X        28-5284     8535

  MUNICIPAL MTG & EQUITY L L C GROWTH SHS    62624B101          4,905         191       X      X 28-5284      191

  MUNIHOLDINGS FLA INSD FD     COM           62624W105          6,948         455       X        28-5284      455
                                                              142,576       9,337       X      X 28-5284     9337

  MUNIENHANCED FD INC          COM           626243109         54,468       4,833       X        28-5284     4833

  MUNIYIELD CALIF INS FD       COM           62629L104         32,281       2,259       X        28-5284     2259

  MUNIVEST FD II INC           COM           62629P105         50,895       3,333       X      X 28-5284     3333

  MUNIVEST FD INC              COM           626295109         84,090       8,723       X      X 28-5284     8723
                                                                4,820         500       X        28-4580                        500

  MUNIYIELD FLA FD             COM           626297105        803,786      54,200       X        28-5284                      54200

  MUNIYIELD FLA INSD FD        COM           626298103        278,160      18,300       X        28-5284                      18300

  MUNIYIELD FD INC             COM           626299101        163,665      11,817       X      X 28-5284    11817

  MUNIYIELD INSD FD INC        COM           62630E107        134,120       8,766       X        28-5284     8766
                                                              116,081       7,587       X      X 28-5284     7587
                                                               20,548       1,343       X        28-4580     1343

  MUNIYIELD N J FD INC         COM           62630L101        114,332       7,429       X      X 28-5284     7429

  MUNIYIELD PA INSD FD         COM           62630V109         49,042       3,100       X        28-5284     3100
                                                              159,909      10,108       X      X 28-5284     9441               667
                                                              508,170      32,122       X        28-4580    32122
                                                               33,744       2,133       X      X 28-4580     2133

  MUNIYIELD QUALITY FD INC     COM           626302103         32,447       2,166       X      X 28-5284     1166      1000

  MURPHY OIL CORP              COM           626717102        125,940       2,000       X        28-5284     2000
                                                              120,588       1,915       X      X 28-5284      200              1715

  MYERS INDS INC               COM           628464109        180,072      14,640       X        28-5284    14640
0                COLUMN TOTAL                               3,331,486
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 133 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  MYKROLIS CORP                COM           62852P103         44,149       3,096       X        28-5284     3096
                                                              122,993       8,625       X      X 28-5284      947      1578    6100

  MYLAN LABS INC               COM           628530107        694,379      30,549       X        28-5284    30399               150
                                                            1,597,351      70,275       X      X 28-5284    19000     33525   17750
                                                              123,469       5,432       X      X 28-1500     5432
                                                               56,257       2,475       X      X 28-4580      450      2025

  MYOGEN INC                   COM           62856E104         21,900       2,000       X        28-5284     2000

  NBC CAP CORP                 COM           628729105         91,000       3,500       X        28-5284                       3500
                                                              468,000      18,000       X      X 28-5284    18000

  NBT BANCORP INC              COM           628778102        374,558      16,647       X        28-5284    15059      1588
                                                              300,105      13,338       X      X 28-5284    11750      1588

  NBTY INC                     COM           628782104     36,805,597     989,930       X        28-5284   989930
                                                           37,106,755     998,030       X      X 28-5284     6100            991930

  NCI BUILDING SYS INC         COM           628852105         46,920       2,000       X      X 28-5284                       2000

  NCO GROUP INC                COM           628858102     11,079,715     474,506       X        28-5284     1000            473506
                                                              282,535      12,100       X      X 28-5284                      12100
                                                                2,335         100       X      X 28-4580      100

  NCR CORP NEW                 COM           62886E108        110,370       2,505       X        28-5284     2363               142
                                                               99,003       2,247       X      X 28-5284      563       680    1004
                                                                9,341         212       X        28-4580      212

  NEC CORP                     ADR           629050204          9,231       1,123       X        28-5284     1123
                                                               16,440       2,000       X      X 28-5284               2000

  NII HLDGS INC                CL B NEW      62913F201        166,981       4,760       X        28-5284     4760

  NSD BANCORP INC              COM           62938D108        208,893       8,777       X        28-5284     8777

  NTL INC                      COM           62940M104      1,297,575      21,797       X                   21797

  NTL INC DEL                  *W EXP
                                01/13/2      62940M138         16,459       1,995       X        28-5284     1995

  NTT DOCOMO INC               SPONS ADR     62942M201          1,396          63       X        28-5284       63

  NUI CORP                     COM           629431107         73,626       4,354       X        28-5284     1000              3354

  NVR INC                      COM           62944T105        100,280         218       X      X 28-5284       23               195
0                COLUMN TOTAL                              91,327,613
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 134 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NYMAGIC INC                  COM           629484106          2,404          95       X        28-5284       95

  NACCO INDS INC               CL A          629579103         82,400       1,000       X        28-5284                       1000

  NANOGEN INC                  COM           630075109         20,783       2,760       X      X 28-5284      830              1930

  NANOPHASE TCHNOLOGIES CORP   COM           630079101            198          20       X        28-5284       20

  NARA BANCORP INC             COM           63080P105         89,430       3,000       X      X 28-5284     3000

  NASDAQ 100 TR                UNIT SER 1    631100104      4,224,712     117,877       X        28-5284   114423              3454
                                                           13,441,326     375,037       X      X 28-5284   336919     14161   23957
                                                              486,886      13,585       X      X 28-1500    13585
                                                               86,554       2,415       X        28-4580     2415

  NASTECH PHARMACEUTICAL INC   COM PAR
                                $0.006       631728409         39,540       3,000       X      X 28-1500     3000

  NATIONAL AUSTRALIA BK LTD    CAP UTS
                                EXCHBL       632525309         90,390       2,300       X        28-5284     2300
                                                               78,600       2,000       X      X 28-5284     2000

  NATIONAL CITY CORP           COM           635405103     75,987,637   2,135,684       X        28-5284  1730606      6850  398228
                                                           19,791,624     556,257       X      X 28-5284   401225     95946   59086
                                                            4,686,420     131,715       X        28-1500   124725      6990
                                                               98,343       2,764       X        28-4580     2764
                                                              224,723       6,316       X      X 28-4580     6316

  NATIONAL COMMERCE FINL CORP  COM           63545P104        865,710      30,259       X        28-5284    30259
                                                              201,701       7,050       X      X 28-5284     5600       850     600

  NATIONAL HEALTH REALTY INC   COM           635905102          9,340         500       X      X 28-5284      500

  NATIONAL FUEL GAS CO N J     COM           636180101        494,189      20,089       X        28-5284    14429              5660
                                                              262,433      10,668       X      X 28-5284     7286              3382
                                                               33,702       1,370       X      X 28-1500     1370

  NATIONAL GRID TRANSCO PLC    SPONSORED
                                ADR          636274102         12,552         312       X      X 28-5284      312

  NATIONAL HEALTH INVS INC     COM           63633D104        174,174       5,655       X      X 28-1500     5655

  NATIONAL INSTRS CORP         COM           636518102         56,646       1,800       X      X 28-5284                       1800

  NATIONAL MED HEALTH CARD SYS COM NEW       636918302        180,482       7,100       X      X 28-5284     7100
0                COLUMN TOTAL                             121,722,899
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 135 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NATIONAL-OILWELL INC         COM           637071101         39,592       1,400       X        28-5284     1400
                                                              110,292       3,900       X      X 28-5284                       3900

  NATIONAL PENN BANCSHARES INC COM           637138108          3,468         110       X        28-5284      110
                                                               31,530       1,000       X      X 28-5284               1000

  NATIONAL PRESTO INDS INC     COM           637215104          1,357          35       X      X 28-5284       35

  NATIONAL PROCESSING INC      COM           637229105        209,000      11,000       X        28-5284    11000

  NATIONAL SEMICONDUCTOR CORP  COM           637640103         91,926       2,069       X        28-5284     2069
                                                               89,526       2,015       X      X 28-5284                       2015

  NATIONAL WESTMINSTER BK PLC  ADR REP
                                PREF B       638539700         56,408       2,200       X      X 28-5284     2200

  NATIONWIDE FINL SVCS INC     CL A          638612101        278,630       7,729       X        28-5284     7427               302
                                                               84,285       2,338       X      X 28-5284      162        76    2100
                                                               22,171         615       X      X 28-1500      615

  NATIONWIDE HEALTH PPTYS INC  COM           638620104        952,332      42,763       X        28-5284    42763
                                                               73,491       3,300       X      X 28-5284                500    2800

  NAVISTAR INTL CORP           PREF D
                                CVADJDV      638901306          3,780         252       X        28-5284      252

  NAVIGATORS GROUP INC         COM           638904102         28,780       1,000       X      X 28-5284                       1000

  NAUTILUS GROUP INC           COM           63910B102         12,994         825       X        28-5284      825
                                                                3,764         239       X      X 28-5284      239

  NAVARRE CORP                 COM           639208107        108,519      18,300       X      X 28-1500    18300

  NAVISTAR INTL CORP NEW       COM           63934E108         36,680         800       X        28-5284      800
                                                              192,570       4,200       X      X 28-5284                       4200

  NAVIGANT CONSULTING INC      COM           63935N107         70,805       3,500       X      X 28-5284                       3500

  NEIGHBORCARE INC             COM           64015Y104         65,772       2,700       X      X 28-5284                       2700

  NEIMAN MARCUS GROUP INC      CL B          640204301         75,526       1,506       X      X 28-5284     1506

  NEKTAR THERAPEUTICS          COM           640268108        120,512       5,600       X      X 28-5284                       5600

  NELNET INC                   CL A          64031N108         60,960       2,400       X        28-5284     2400
0                COLUMN TOTAL                               2,824,670
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 136 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NEOGEN CORP                  COM           640491106         11,538         625       X      X 28-5284      625

  NEORX CORP                   COM PAR
                                $0.02        640520300          1,752         400       X        28-5284      400

  NEOSE TECHNOLOGIES INC       COM           640522108            940         100       X        28-5284      100
                                                                  940         100       X      X 28-5284      100

  NEOPHARM INC                 COM           640919106         47,219       2,517       X      X 28-5284                       2517

  NETBANK INC                  COM           640933107            745          61       X        28-1500       61

  NETWORKS ASSOCS INC          COM           640938106          1,206          67       X        28-5284       67
                                                              144,000       8,000       X      X 28-5284     8000

  NET2PHONE                    COM           64108N106            154          30       X        28-1500       30

  NETFLIX COM INC              COM           64110L106         77,589       2,274       X      X 28-5284     1874       400

  NETOPIA INC                  COM           64114K104         54,183       4,398       X      X 28-5284                       4398

  NETSMART TECHNOLOGIES INC    COM NEW       64114W306        119,240       8,800       X      X 28-5284     8000               800

  NETSOLVE INC                 COM           64115J106          5,280         500       X      X 28-5284                        500

  NETIQ CORP                   COM           64115P102         43,593       3,116       X        28-5284                       3116

  NETRATINGS INC               COM           64116M108          3,315         300       X        28-5284      300

  NETWORK APPLIANCE INC        COM           64120L104        659,636      30,638       X        28-5284    30638
                                                              188,388       8,750       X      X 28-5284     5450              3300
                                                              173,855       8,075       X        28-1500     8075

  NEUROCRINE BIOSCIENCES INC   COM           64125C109        106,362       1,800       X      X 28-5284                       1800

  NEW AMER HIGH INCOME FD INC  COM           641876107          4,608       2,030       X        28-5284     2030

  NEW ENGLAND BUSINESS SVC INC COM           643872104         23,695         700       X      X 28-5284      700

  NEW ENGLAND RLTY ASSOC LTD P DEPOSITRY
                                RCPT         644206104         17,748         310       X        28-5284      310

  NEW JERSEY RES               COM           646025106         93,971       2,486       X        28-5284     1361       225     900
                                                              281,005       7,434       X      X 28-5284     1450      4784    1200
0                COLUMN TOTAL                               2,060,962
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 137 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NEW PLAN EXCEL RLTY TR INC   COM           648053106        155,567       5,688       X        28-5284     5688
                                                              228,373       8,350       X      X 28-5284     7550       800

  NEW VY CORP                  *W EXP
                                06/14/2      649080116              2          15       X        28-5284       15

  NEW YORK CMNTY BANCORP INC   COM           649445103     42,612,988   1,243,086       X        28-5284  1137101     25054   80931
                                                           15,393,811     449,061       X      X 28-5284   224577    194543   29941
                                                              546,492      15,942       X        28-4580    15439               503
                                                              108,873       3,176       X      X 28-4580     3030               146

  NEW YORK TIMES CO            CL A          650111107        916,266      20,730       X        28-5284    20730
                                                              579,904      13,120       X      X 28-5284     5220              7900
                                                               51,272       1,160       X      X 28-1500     1160
                                                               57,990       1,312       X      X 28-4580     1312

  NEWCASTLE INVT CORP          COM           65105M108        119,770       3,554       X      X 28-5284                294    3260

  NEWELL RUBBERMAID INC        COM           651229106     28,678,054   1,236,123       X        28-5284  1049081      6165  180877
                                                            9,792,929     422,109       X      X 28-5284   263678     60271   98160
                                                            1,207,050      52,028       X        28-1500    43370      8658
                                                                5,870         253       X        28-4580      253
                                                               34,220       1,475       X      X 28-4580     1475

  NEWFIELD EXPL CO             COM           651290108         64,706       1,350       X        28-5284      850               500
                                                                1,246          26       X      X 28-5284       14        12

  NEWMONT MINING CORP          COM           651639106      3,134,655      67,224       X        28-5284    59948      4530    2746
                                                            2,995,838      64,247       X      X 28-5284    55008      6178    3061
                                                               29,936         642       X        28-4580      642
                                                              182,883       3,922       X      X 28-4580     3922

  NEWPORT CORP                 COM           651824104         25,682       1,536       X        28-5284     1536
                                                               35,112       2,100       X      X 28-5284     1200               900

  NEWS CORP LTD                ADR NEW       652487703      1,371,198      38,110       X        28-5284    37935               175
                                                               98,585       2,740       X      X 28-5284     1130       600    1010

  NEWS CORP LTD                SP ADR PFD    652487802        375,351      11,837       X        28-5284     7166        12    4659
                                                              132,136       4,167       X      X 28-5284     1800      2077     290
                                                                  190           6       X        28-4580        6
                                                                  761          24       X      X 28-4580       24

  NEXMED INC                   COM           652903105            840         300       X      X 28-5284      300
0                COLUMN TOTAL                             108,938,550
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 138 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NEXTEL COMMUNICATIONS INC    CL A          65332V103      6,614,330     268,221       X        28-5284   112371            155850
                                                              519,833      21,080       X      X 28-5284    14015      2645    4420
                                                              125,766       5,100       X      X 28-1500     5100
                                                               54,252       2,200       X        28-4580     2200
                                                               29,592       1,200       X      X 28-4580     1200

  NEXTEL PARTNERS INC          CL A          65333F107         82,670       6,530       X      X 28-5284                       6530

  NEXEN INC                    COM           65334H102         81,765       2,103       X        28-5284     2103
                                                                3,888         100       X      X 28-5284      100

  NICHOLAS-APPLEGATE CV & INC  COM           65370F101         30,856       1,878       X        28-5284     1878

  NICOR INC                    COM           654086107         77,506       2,200       X        28-5284     2200
                                                              102,167       2,900       X      X 28-5284     2900
                                                               17,615         500       X        28-1500                500

  NIKE INC                     CL B          654106103      9,634,154     123,721       X        28-5284    88057             35664
                                                            1,061,212      13,628       X      X 28-5284     6300              7328
                                                              709,785       9,115       X        28-1500     9115
                                                              358,903       4,609       X      X 28-1500     4609

  99 CENTS ONLY STORES         COM           65440K106        129,426       5,300       X        28-5284     5300

  NIPPON TELEG & TEL CORP      SPONSORED
                                ADR          654624105         24,401         861       X        28-5284      861

  NISOURCE INC                 COM           65473P105        577,341      27,169       X        28-5284    21337      1632    4200
                                                            1,690,374      79,547       X      X 28-5284    68133     11414
                                                                3,740         176       X      X 28-4580      176

  NISSAN MOTORS                SPONSORED
                                ADR          654744408         18,246         829       X        28-5284      829
                                                               11,005         500       X      X 28-1500      500

  NOBEL LEARNING CMNTYS INC    COM           654889104        221,052      31,624       X      X 28-5284                      31624

  NOKIA CORP                   SPONSORED
                                ADR          654902204     34,439,719   1,698,211       X        28-5284  1503336     22690  172185
                                                           17,615,289     868,604       X      X 28-5284   591911    217010   59683
                                                               66,011       3,255       X        28-1500     3255
                                                              565,508      27,885       X      X 28-1500    27885
                                                              311,704      15,370       X        28-4580    14717               653
                                                              953,424      47,013       X      X 28-4580    22253     24760
0                COLUMN TOTAL                              76,131,534
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 139 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NOBLE ENERGY INC             COM           655044105        136,025       2,888       X        28-5284     2888
                                                               38,622         820       X      X 28-5284      600       220

  NOMURA HLDGS INC             SPONSORED
                                ADR          65535H208          2,098         115       X        28-5284      115

  NORAM ENERGY CORP            SDCV
                                6.000% 3     655419AC3      2,450,000      25,000       X        28-5284    25000
                                                            2,205,000      22,500       X      X 28-5284              22500

  NORANDA INC                  COM           655422103         79,563       4,430       X        28-5284     4430
                                                               71,840       4,000       X      X 28-5284     3000              1000

  NORDSON CORP                 COM           655663102      2,735,292      73,019       X        28-5284    73019

  NORDSTROM INC                COM           655664100         11,172         280       X        28-5284      280
                                                               87,980       2,205       X      X 28-5284               2000     205

  NORFOLK SOUTHERN CORP        COM           655844108      9,851,058     445,951       X        28-5284   343070     52590   50291
                                                           11,454,814     518,552       X      X 28-5284   181093    135469  201990
                                                               29,711       1,345       X        28-4580     1345
                                                               19,881         900       X      X 28-4580      900

  NORSK HYDRO A S              SPONSORED
                                ADR          656531605      1,299,960      18,447       X        28-5284    18297       150
                                                              426,203       6,048       X      X 28-5284               1300    4748

  NORTEL NETWORKS CORP NEW     COM           656568102      1,728,338     290,966       X        28-5284   289966              1000
                                                              737,576     124,171       X      X 28-5284   110430      6780    6961
                                                              234,933      39,551       X      X 28-1500    39551
                                                                1,188         200       X        28-4580      200
                                                                1,782         300       X      X 28-4580      300

  NORTH AMERN PALLADIUM LTD    COM           656912102             24           2       X        28-5284        2
                                                                1,178         100       X      X 28-1500      100

  NORTH AMERN SCIENTIFIC INC   COM           65715D100         25,000       2,500       X      X 28-1500     2500

  NORTH EUROPEAN OIL RTY TR    SH BEN INT    659310106      1,719,899      69,100       X        28-5284    16900             52200
                                                              136,895       5,500       X      X 28-5284      300              5200

  NORTH FORK BANCORPORATION NY COM           659424105      1,897,925      44,847       X        28-5284    44847
                                                              459,172      10,850       X      X 28-5284     7250              3600

  NORTH PITTSBURGH SYS INC     COM           661562108         99,040       4,920       X      X 28-5284     2920              2000
0                COLUMN TOTAL                              37,942,169
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 140 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NORTH VALLEY BANCORP         COM           66304M105      2,334,645     130,500       X        28-1500   130500

  NORTHEAST PA FINL CORP       COM           663905107         28,244       1,535       X        28-5284     1535

  NORTHEAST UTILS              COM           664397106         83,571       4,481       X        28-5284     2900              1581
                                                              126,167       6,765       X      X 28-5284     4465              2300

  NORTHERN BORDER PARTNERS L P UNIT LTD
                                PARTN        664785102        430,515      10,226       X        28-5284     9726       500
                                                               77,885       1,850       X      X 28-5284     1000       850

  NORTHERN TR CORP             COM           665859104      1,809,835      38,846       X        28-5284    38846
                                                            3,048,710      65,437       X      X 28-5284    58620              6817
                                                                8,293         178       X      X 28-1500      178

  NORTHRIM BANCORP INC         COM           666762109         41,024       1,600       X      X 28-5284                       1600
                                                           10,991,868     428,700       X        28-1500   428700

  NORTHROP GRUMMAN CORP        COM           666807102      3,425,213      34,802       X        28-5284    32554      2248
                                                            4,585,978      46,596       X      X 28-5284    21690     21436    3470
                                                               15,747         160       X      X 28-1500      160
                                                              186,506       1,895       X        28-4580     1895
                                                               59,150         601       X      X 28-4580      601

  NORTHWEST AIRLS CORP         CL A          667280101         15,165       1,500       X      X 28-5284                       1500

  NORTHWEST BANCORP INC PA     COM           667328108         28,097       1,104       X      X 28-5284     1104

  NORTHWEST NAT GAS CO         COM           667655104        126,563       4,050       X        28-5284     4050
                                                              143,750       4,600       X      X 28-5284     1000      2700     900

  NORWOOD FINANCIAL CORP       COM           669549107        133,376       4,657       X        28-5284     4657

  NOVA CHEMICALS CORP          COM           66977W109          7,527         300       X        28-5284      300

  NOVARTIS A G                 SPONSORED
                                ADR          66987V109        275,026       6,456       X        28-5284     4756              1700
                                                               60,705       1,425       X      X 28-5284      525       600     300
                                                               38,170         896       X      X 28-1500      896

  NU HORIZONS ELECTRS CORP     COM           669908105         46,420       4,400       X      X 28-5284                       4400

  NOVASTAR FINL INC            COM           669947400        131,900       2,000       X        28-5284     2000
                                                              263,800       4,000       X      X 28-5284               4000
0                COLUMN TOTAL                              28,523,850
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 141 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NOVELL INC                   COM           670006105         60,542       5,320       X        28-5284     5320
                                                              104,468       9,180       X      X 28-5284                       9180

  NOVELLUS SYS INC             COM           670008101         55,106       1,740       X        28-5284     1740
                                                               42,438       1,340       X      X 28-5284                       1340

  NOVEN PHARMACEUTICALS INC    COM           670009109        105,203       4,900       X      X 28-5284                       4900

  NOVO-NORDISK A S             ADR           670100205        466,622      10,050       X        28-5284    10050
                                                              435,049       9,370       X      X 28-5284      380      8990

  NSTOR TECHNOLOGIES INC       COM           67018N108          6,400      16,000       X        28-5284    16000

  NSTAR                        COM           67019E107         39,917         787       X        28-5284      787
                                                               15,470         305       X      X 28-5284      150       155

  NUCOR CORP                   COM           670346105        375,766       6,112       X        28-5284     4912              1200
                                                              400,235       6,510       X      X 28-5284     6110       400

  NUVEEN INSD PREM INCOME MUN  COM           6706D8104         11,198         750       X        28-5284      750

  NUVEEN PREM INCOME MUN FD 4  COM           6706K4105         41,977       3,114       X        28-5284     3114
                                                               19,047       1,413       X      X 28-5284      666       747

  NUVEEN CONN PREM INCOME MUN  SH BEN INT    67060D107         16,360       1,000       X        28-5284     1000

  NUTRACEUTICAL INTL CORP      COM           67060Y101          4,328         200       X      X 28-5284      200
                                                                  238          11       X        28-1500       11

  NUVEEN PA PREM INCOME MUN FD COM           67061F101        304,405      19,073       X        28-5284    19073
                                                              442,363      27,717       X      X 28-5284     7804     19913
                                                              724,791      45,413       X        28-4580    45413

  NUVEEN MD PREM INCOME MUN FD COM           67061Q107         50,670       3,000       X      X 28-5284     3000

  NUVEEN SELECT MAT MUN FD     SH BEN INT    67061T101         34,934       3,518       X        28-5284     3518
                                                               39,025       3,930       X      X 28-5284               3930

  NUVEEN INVT QUALITY MUN FD I COM           67062E103        106,664       6,700       X        28-5284     6700
                                                              139,730       8,777       X      X 28-5284     2755      6022

  NUVEEN SELECT TAX FREE INCM  SH BEN INT    67062F100          1,430         100       X        28-5284      100
0                COLUMN TOTAL                               4,044,376
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 142 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NUVEEN MUN ADVANTAGE FD INC  COM           67062H106         60,190       3,704       X        28-5284     3704
                                                              153,969       9,475       X      X 28-5284     9475

  NUVEEN MUN INCOME FD INC     COM           67062J102        194,250      18,500       X        28-5284    16000              2500
                                                              130,935      12,470       X      X 28-5284     7970      4500

  NUVEEN INSD QUALITY MUN FD I COM           67062N103        134,196       7,950       X        28-5284     7950
                                                               13,504         800       X        28-4580      800

  NUVEEN PERFORMANCE PLUS MUN  COM           67062P108        107,041       6,897       X        28-5284     6897
                                                              228,687      14,735       X      X 28-5284      735     14000

  NUVEEN PREM INCOME MUN FD    COM           67062T100         96,846       6,478       X        28-5284     6478
                                                              216,775      14,500       X      X 28-5284      700     13800

  NUVEEN MUN MKT OPPORTUNITY F COM           67062W103        177,229      11,737       X        28-5284    11737
                                                               17,184       1,138       X      X 28-5284     1138

  NUVEEN SELECT TAX FREE INCM  SH BEN INT    67063C106         96,600       7,000       X      X 28-5284     7000

  NUVEEN PREM INCOME MUN FD 2  COM           67063W102         36,000       2,400       X        28-5284     2400
                                                               19,980       1,332       X      X 28-5284     1332

  NUVEEN SELECT TAX FREE INCM  SH BEN INT    67063X100         10,753         793       X      X 28-5284      793

  NUVEEN TAX FREE ADV MUN FD   COM           670657105         37,104       2,400       X        28-5284     2400

  NVIDIA CORP                  COM           67066G104      1,453,584      55,060       X        28-5284    55060
                                                              134,640       5,100       X      X 28-5284     5100
                                                               33,370       1,264       X        28-1500     1264

  NUVEEN DIVID ADVANTAGE MUN F COM           67066V101         20,709       1,300       X        28-5284     1300

  NUVEEN SR INCOME FD          COM           67067Y104         36,593       3,700       X        28-5284     3700

  NUVEEN MASS DIVID ADVANTAG M COM SH BEN
                                INT          67069P101         75,122       4,520       X      X 28-5284               4520

  NUVEEN PA DIV ADVANTAGE MUN  COM           67070E103         31,160       1,900       X        28-5284     1900

  NUVEEN DIV ADV MUNI FD 3     COM SH BEN
                                INT          67070X101         14,890       1,000       X        28-5284     1000

  NUVEEN QUALITY PFD INCOME FD COM           67071S101        171,084      10,600       X        28-5284    10600
0                COLUMN TOTAL                               3,702,395
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 143 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NUVEEN NEW JERSEY DIVID      COM           67071T109         52,404       3,300       X      X 28-5284     3300

  NUVEEN PA DIVID ADVANTAGE MU COM           67071W102          8,085         500       X      X 28-5284      500

  NYFIX INC                    COM           670712108         25,800       5,000       X        28-5284     5000
                                                               42,947       8,323       X        28-1500     8323

  NUVEEN QUALITY PFD INCOME FD COM           67072C105        556,818      33,604       X        28-5284    31804      1500     300
                                                               74,681       4,507       X      X 28-5284     3514       993

  NUVEEN PFD & CONV INC FD     COM           67073B106         58,688       3,750       X        28-5284     3750
                                                              253,530      16,200       X      X 28-5284    16200

  NUVEEN PFD & CONV INCOME FD  COM SHS       67073D102         27,216       1,800       X        28-5284     1800
                                                               10,962         725       X      X 28-5284                725

  O CHARLEYS INC               COM           670823103         56,575       3,100       X      X 28-1500     3100

  OGE ENERGY CORP              COM           670837103         86,089       3,256       X        28-5284     2256      1000
                                                              145,420       5,500       X      X 28-5284     5500

  OM GROUP INC                 COM           670872100         20,672         680       X        28-5284      680

  NUVEEN MUN VALUE FD INC      COM           670928100      2,989,085     313,650       X        28-5284   307000              6650
                                                              471,011      49,424       X      X 28-5284    18883     22041    8500
                                                                6,195         650       X        28-4580      650

  NUVEEN NJ INVT QUALITY MUN F COM           670971100        159,860       9,561       X        28-5284     9561
                                                              196,644      11,761       X      X 28-5284    11761

  NUVEEN PA INVT QUALITY MUN F COM           670972108        430,636      27,067       X        28-5284    27067
                                                              679,150      42,687       X      X 28-5284     8329     33469     889

  NUVEEN SELECT QUALITY MUN FD COM           670973106        205,952      13,236       X        28-5284    13236
                                                              248,960      16,000       X      X 28-5284    16000

  NUVEEN CA SELECT QUALITY MUN COM           670975101         92,460       6,000       X      X 28-5284                       6000

  NUVEEN QUALITY INCOME MUN FD COM           670977107        209,500      13,666       X        28-5284    13666
                                                               90,708       5,917       X      X 28-5284     4711      1206

  NUVEEN OHIO QUALITY INCOME M COM           670980101         20,103       1,089       X      X 28-5284               1089
0                COLUMN TOTAL                               7,220,151
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 144 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  NUVEEN INSD MUN OPPORTUNITY  COM           670984103         76,028       4,650       X        28-5284     4650
                                                                3,270         200       X      X 28-5284      200

  NUVEEN CALIF QUALITY INCM MU COM           670985100         93,840       6,000       X      X 28-5284                       6000

  NUVEEN PREMIER MUN INCOME FD COM           670988104        204,732      13,200       X        28-5284    13200
                                                               10,345         667       X      X 28-5284                667

  NUVEEN NJ PREM INCOME MUN FD COM           67101N106        325,158      19,529       X        28-5284    19529
                                                               58,608       3,520       X      X 28-5284     3520

  NUVEEN INSD NY PREM INCOME F COM           67101R107         59,996       3,683       X      X 28-5284     3683

  NUVEEN INSD FLA PREM INCOME  COM           67101V108         73,571       4,374       X        28-5284     4374
                                                               35,608       2,117       X      X 28-5284      374              1743

  OSI PHARMACEUTICALS INC      COM           671040103          2,342          61       X        28-5284       61

  OSI SYSTEMS INC              COM           671044105         14,000         700       X        28-5284      700
                                                               34,000       1,700       X      X 28-5284                       1700

  OYO GEOSPACE CORP            COM           671074102         25,980       1,500       X      X 28-5284               1500

  OAK HILL FINL INC            COM           671337103         81,875       2,500       X        28-5284     2500

  OAKLEY INC                   COM           673662102         65,296       4,400       X        28-5284     4400

  OCCIDENTAL PETE CORP DEL     COM           674599105      1,200,385      26,067       X        28-5284    25307               760
                                                              576,684      12,523       X      X 28-5284     6665       200    5658
                                                                  230           5       X      X 28-1500        5
                                                                8,980         195       X        28-4580      195

  OCEANEERING INTL INC         COM           675232102         30,450       1,000       X        28-5284                       1000

  OCEANFIRST FINL CORP         COM           675234108         18,615         750       X        28-5284      750
                                                               22,338         900       X      X 28-5284                        900

  OCTEL CORP                   COM           675727101            209           7       X        28-5284        7
                                                                2,985         100       X      X 28-5284      100

  OCULAR SCIENCES INC          COM           675744106          2,915         100       X      X 28-5284      100

  OCWEN FINL CORP              COM           675746101         58,020       6,000       X      X 28-5284               6000
0                COLUMN TOTAL                               3,086,460
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 145 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ODYSSEY HEALTHCARE INC       COM           67611V101          7,073         375       X        28-5284      375
                                                                9,430         500       X      X 28-5284                        500

  ODYSSEY RE HLDGS CORP        COM           67612W108         13,500         500       X        28-5284      500

  OFFICE DEPOT INC             COM           676220106         23,600       1,254       X        28-5284     1254
                                                                  941          50       X      X 28-5284       50
                                                                6,342         337       X      X 28-1500      337

  OHIO CAS CORP                COM           677240103        339,830      17,000       X        28-5284    15400              1600
                                                               27,086       1,355       X      X 28-5284      855               500
                                                              328,836      16,450       X      X 28-1500    16450

  OIL SVC HOLDRS TR            DEPOSTRY
                                RCPT         678002106         35,536         506       X      X 28-4580      506

  OLD DOMINION FGHT LINES INC  COM           679580100         67,600       2,000       X      X 28-5284                       2000
                                                               16,900         500       X      X 28-1500      500

  OLD NATL BANCORP IND         COM           680033107        577,633      25,559       X        28-5284    22909              2650

  OLD REP INTL CORP            COM           680223104     14,886,135     606,113       X        28-5284   550204      8845   47064
                                                            6,429,833     261,801       X      X 28-5284   139240    110137   12424
                                                              461,728      18,800       X        28-4580    18130               670
                                                               49,611       2,020       X      X 28-4580     2020

  OLIN CORP                    COM PAR $1    680665205         71,097       3,983       X        28-5284     3983
                                                              226,231      12,674       X      X 28-5284     8865      3809

  OMNICARE INC                 COM           681904108         98,812       2,229       X        28-5284     2229
                                                              100,186       2,260       X      X 28-5284     2060               200

  OMNICOM GROUP INC            COM           681919106     60,600,627     755,148       X        28-5284   577979     13630  163539
                                                           23,193,855     289,020       X      X 28-5284   173602    108383    7035
                                                            1,234,646      15,385       X        28-1500    15385
                                                              242,997       3,028       X      X 28-1500     3028
                                                              125,270       1,561       X        28-4580     1561
                                                               48,471         604       X      X 28-4580      304       300

  OMEGA HEALTHCARE INVS INC    COM           681936100        652,200      60,000       X        28-5284    60000

  OMEGA FINL CORP              COM           682092101         10,968         300       X        28-5284      300
                                                              124,304       3,400       X      X 28-5284     3000               400
0                COLUMN TOTAL                             110,011,278
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 146 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  OMEGA PROTEIN CORP           COM           68210P107         24,718       3,400       X      X 28-5284                       3400

  OMNIVISION TECHNOLOGIES INC  COM           682128103        273,100      10,000       X      X 28-5284    10000

  OMNICELL INC                 COM           68213N109        515,060      26,000       X      X 28-5284    26000

  ONEIDA LTD                   COM           682505102          1,507         615       X        28-5284      615

  ONEOK INC NEW                COM           682680103         24,602       1,091       X        28-5284     1091
                                                               45,100       2,000       X      X 28-5284                       2000

  ON2 TECHNOLOGIES INC         COM           68338A107            182         200       X        28-5284      200

  ONVIA COM INC                COM NEW       68338T403        151,412      33,873       X        28-1500    33873

  ONYX PHARMACEUTICALS INC     COM           683399109         20,245         500       X        28-5284      500

  OPEN JT STK CO-VIMPEL COMMUN SPONSORED
                                ADR          68370R109        166,384       1,600       X      X 28-5284     1600

  OPEN TEXT CORP               COM           683715106        536,400      18,000       X      X 28-5284    18000

  OPENWAVE SYS INC             COM NEW       683718308          6,670         500       X        28-5284      500

  OPLINK COMMUNICATIONS INC    COM           68375Q106          4,980       2,000       X      X 28-1500     2000

  OPPENHEIMER HLDGS INC        CL A NON
                                VTG          683797104         48,480       1,500       X        28-5284     1500

  OPTICAL COMMUNICATION PRODS  CL A          68382T101         22,372       6,800       X      X 28-5284                       6800

  OPSWARE INC                  COM           68383A101             38           5       X        28-5284        5

  OPTICARE HEALTH SYS INC      COM           68386P105          1,360       2,000       X        28-5284     2000

  OPTIMAL ROBOTICS CORP        CL A NEW      68388R208         15,928       2,200       X        28-5284     2200

  ORACLE CORP                  COM           68389X105     19,229,076   1,602,423       X        28-5284  1531972     16137   54314
                                                           14,122,548   1,176,879       X      X 28-5284   764944    274541  137394
                                                              147,540      12,295       X        28-1500              12295
                                                              150,636      12,553       X        28-4580    12553
                                                              251,520      20,960       X      X 28-4580     4200     16760

  OPPENHEIMER MULTI-SECTOR INC SH BEN INT    683933105        103,560      12,000       X        28-5284              12000
                                                                4,315         500       X      X 28-5284      500
0                COLUMN TOTAL                              35,867,733
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 147 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ORASURE TECHNOLOGIES INC     COM           68554V108         10,390       1,000       X        28-5284     1000
                                                               10,390       1,000       X      X 28-5284     1000
                                                                2,888         278       X        28-1500       78       200

  ORBITZ INC                   CL A          68556Y100         23,810       1,000       X        28-4580     1000

  ORBITAL SCIENCES CORP        COM           685564106          3,759         300       X        28-5284      300

  O REILLY AUTOMOTIVE INC      COM           686091109          4,004         100       X      X 28-1500      100

  ORTHOLOGIC CORP              COM           68750J107             47           6       X        28-1500        6

  ORTHODONTIC CTRS AMER INC    COM           68750P103          2,370         300       X        28-5284      300

  ORTHOVITA INC                COM           68750U102          3,116         775       X        28-5284      775

  OSHKOSH TRUCK CORP           COM           688239201        155,960       2,800       X        28-5284     2800
                                                              284,070       5,100       X      X 28-5284     5100

  OTTER TAIL CORP              COM           689648103         26,420       1,000       X      X 28-5284                       1000

  OUTBACK STEAKHOUSE INC       COM           689899102         42,320         869       X        28-5284      119               750
                                                              160,467       3,295       X      X 28-5284     2000              1295

  OVERLAND STORAGE INC         COM           690310107          5,085         300       X      X 28-5284      300

  OVERSEAS SHIPHOLDING GROUP I COM           690368105        529,250      14,500       X      X 28-5284    14500

  OVERSTOCK COM INC DEL        COM           690370101          6,176         200       X      X 28-5284      200

  OWENS ILL INC                COM NEW       690768403         16,824       1,200       X        28-5284     1200
                                                               31,938       2,278       X      X 28-5284                       2278

  OXFORD HEALTH PLANS INC      COM           691471106         68,390       1,400       X        28-5284     1400
                                                              136,047       2,785       X      X 28-5284     2000               785

  PAB BANKSHARES INC           COM           69313P101      6,187,440     487,200       X        28-1500   487200

  PG&E CORP                    COM           69331C108         87,953       3,036       X        28-5284     2436       600
                                                               88,301       3,048       X      X 28-5284     3048

  P F CHANGS CHINA BISTRO INC  COM           69333Y108        113,265       2,250       X        28-5284     2150               100
                                                               40,272         800       X      X 28-5284      800
0                COLUMN TOTAL                               8,040,952
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 148 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PICO HLDGS INC               COM NEW       693366205             16           1       X        28-5284        1

  PIMCO COML MTG SECS TR INC   COM           693388100         47,775       3,250       X        28-5284     3250
                                                                  176          12       X      X 28-1500       12

  PLX TECHNOLOGY INC           COM           693417107         13,247       1,230       X      X 28-1500     1230

  PMA CAP CORP                 CL A          693419202        321,710      53,000       X        28-5284    53000

  PMC-SIERRA INC               COM           69344F106         19,125       1,127       X        28-5284     1127
                                                               63,807       3,760       X      X 28-5284     1000              2760
                                                               16,461         970       X      X 28-1500      970

  PMI GROUP INC                COM           69344M101        257,784       6,900       X      X 28-5284      100              6800

  PNC FINL SVCS GROUP INC      COM           693475105    119,271,433   2,152,137       X        28-5284  2070442     15415   66280
                                                          155,771,488   2,810,745       X      X 28-5284  1537149    453162  820434
                                                            1,237,473      22,329       X        28-1500              22329
                                                            2,271,167      40,981       X        28-4580    40081               900
                                                            2,118,430      38,225       X      X 28-4580    36525              1700

  PNC FINL SVCS GROUP INC      PFD A CV
                                $1.80        693475204          5,832          27       X      X 28-5284                 27

  PNC FINL SVCS GROUP INC      PFD CV D
                                $1.80        693475501          2,250          25       X      X 28-5284       25

  POSCO                        SPONSORED
                                ADR          693483109         17,695         500       X      X 28-5284      500

  PNM RES INC                  COM           69349H107          9,015         300       X        28-5284      300

  PPG INDS INC                 COM           693506107     52,674,750     903,512       X        28-5284   881957      4150   17405
                                                           39,328,947     674,596       X      X 28-5284   443547    183791   47258
                                                              298,379       5,118       X        28-4580     5118
                                                            1,097,614      18,827       X      X 28-4580    18827

  PPL CORP                     COM           69351T106     10,240,164     224,565       X        28-5284   194901     25598    4066
                                                           15,351,240     336,650       X      X 28-5284   198343    133047    5260
                                                              128,455       2,817       X        28-4580     2817
                                                                9,120         200       X      X 28-4580      200

  PS BUSINESS PKS INC CALIF    COM           69360J107         83,430       1,800       X      X 28-5284                       1800

  PTEK HLDGS INC               COM           69366M104        459,500      50,000       X      X 28-5284    50000
0                COLUMN TOTAL                             401,116,483
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 149 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PAC-WEST TELECOM INC         COM           69371Y101          3,021       1,900       X        28-5284     1900
                                                                  159         100       X      X 28-5284                        100

  PACCAR INC                   COM           693718108      2,392,382      42,683       X        28-5284    42683
                                                              264,836       4,725       X      X 28-5284     4725

  PACHOLDER HIGH YIELD FD INC  COM           693742108         16,533       1,665       X      X 28-5284     1665

  PACIFIC CAP BANCORP NEW      COM           69404P101         39,670       1,000       X      X 28-5284                       1000

  PACIFIC ENERGY PARTNERS L P  COM UNIT      69422R105         56,980       2,000       X      X 28-5284               2000

  PACIFIC SUNWEAR CALIF INC    COM           694873100        585,627      23,700       X      X 28-5284    23700

  PACIFIC UN BK CALIF          COM           695025106         87,720       3,000       X      X 28-5284     3000

  PACIFICARE HEALTH SYS DEL    COM           695112102          6,012         152       X      X 28-5284      152

  PACKAGING CORP AMER          COM           695156109         36,322       1,610       X        28-5284     1610
                                                               63,168       2,800       X      X 28-5284                       2800

  PACTIV CORP                  COM           695257105         29,237       1,314       X        28-5284     1314
                                                              208,772       9,383       X      X 28-5284     4592      1201    3590

  PALL CORP                    COM           696429307        258,666      11,400       X        28-5284     7500              3900
                                                              134,325       5,920       X      X 28-5284                       5920

  PALMONE INC                  COM           69713P107          1,091          51       X        28-5284       51
                                                               13,118         613       X      X 28-5284      613
                                                                4,558         213       X      X 28-1500      213

  PALMSOURCE INC               COM           697154102            254          14       X        28-5284       14
                                                                3,380         186       X      X 28-5284      186
                                                                1,163          64       X      X 28-1500       64

  PALOMAR MED TECHNOLOGIES INC COM NEW       697529303            848          47       X      X 28-5284                         47

  PAMRAPO BANCORP INC          COM           697738102        106,020       3,600       X        28-5284     3600

  PAN AMERICAN SILVER CORP     COM           697900108          8,910         500       X        28-5284      500
                                                               17,820       1,000       X      X 28-5284     1000

  PAN PACIFIC RETAIL PPTYS INC COM           69806L104      1,015,950      19,500       X      X 28-5284    18000              1500
0                COLUMN TOTAL                               5,356,542
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 150 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PANERA BREAD CO              CL A          69840W108         19,455         500       X        28-5284      300               200
                                                               12,062         310       X      X 28-5284      310

  PAPA JOHNS INTL INC          COM           698813102         84,780       2,512       X        28-5284     2512
                                                              348,435      10,324       X        28-1500    10324

  PARADIGM GENETICS INC        COM           69900R106            479         380       X      X 28-5284                380

  PARAGON REAL EST EQT & INVT  COM           69912Y107         20,000     100,000       X        28-5284   100000

  PARAMETRIC TECHNOLOGY CORP   COM           699173100         75,977      16,809       X        28-5284      809             16000
                                                               18,080       4,000       X      X 28-5284     1300              2700

  PAREXEL INTL CORP            COM           699462107         10,740         600       X        28-5284      600
                                                               21,480       1,200       X      X 28-5284                       1200

  PARK ELECTROCHEMICAL CORP    COM           700416209         13,485         533       X        28-5284      533

  PARK NATL CORP               COM           700658107        895,297       7,902       X        28-5284     7902

  PARKE BK SEWELL NJ           COM           700886104        200,600      11,800       X      X 28-5284    11800

  PARKER DRILLING CO           NOTE
                                5.500% 8     701081AD3     20,921,250     210,000       X        28-5284   210000

  PARKER DRILLING CO           COM           701081101         20,850       5,000       X      X 28-5284     5000

  PARKER HANNIFIN CORP         COM           701094104        305,100       5,400       X        28-5284     5400
                                                            1,442,332      25,528       X      X 28-5284     9250      3500   12778

  PARKVALE FINL CORP           COM           701492100         27,370         952       X      X 28-5284                952

  PARKWAY PPTYS INC            COM           70159Q104        233,750       5,000       X        28-5284                       5000
                                                               21,973         470       X      X 28-5284                        470

  PARTY CITY CORP              COM           702145103         53,604       3,600       X      X 28-5284                       3600

  PATHMARK STORES INC NEW      COM           70322A101            798         100       X      X 28-5284      100

  PATINA OIL & GAS CORP        COM           703224105         13,125         500       X        28-5284      500
                                                               76,125       2,900       X      X 28-5284      700              2200

  PATRIOT BANK CORP PA         COM           70335P103         26,133         891       X        28-5284      891
0                COLUMN TOTAL                              24,863,280
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 151 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PATRIOT TRANSN HLDG INC      COM           70337B102          3,661         100       X      X 28-5284      100

  PATTERSON DENTAL CO          COM           703412106         27,408         400       X        28-5284      400
                                                               84,622       1,235       X      X 28-5284      735       500
                                                              129,160       1,885       X      X 28-1500     1885

  PATTERSON UTI ENERGY INC     COM           703481101         43,554       1,230       X        28-5284     1230
                                                              341,529       9,645       X      X 28-5284     7050              2595

  PAYCHEX INC                  COM           704326107     15,302,375     429,842       X        28-5284   374890      8875   46077
                                                           27,683,628     777,630       X      X 28-5284   719494     37378   20758
                                                               23,140         650       X        28-4580      650
                                                               22,784         640       X      X 28-4580      370       270

  PAYLESS SHOESOURCE INC       COM           704379106         38,139       2,732       X        28-5284     2732
                                                              111,931       8,018       X      X 28-5284     8018

  PCCW LTD                     SPONS ADR
                                NEW          70454G207          1,156         170       X        28-5284      170

  PEABODY ENERGY CORP          COM           704549104         38,138         820       X        28-5284      820
                                                              130,228       2,800       X      X 28-5284                       2800

  PEAPACK-GLADSTONE FINL CORP  COM           704699107         37,246       1,100       X        28-5284     1100
                                                              186,907       5,520       X      X 28-5284     5520

  PEARSON PLC                  SPONSORED
                                ADR          705015105          6,900         600       X        28-5284                        600

  PEC SOLUTIONS INC            COM           705107100         33,962       2,569       X      X 28-5284                       2569

  PEDIATRIX MED GROUP          COM           705324101        100,800       1,600       X      X 28-5284      300              1300

  PEGASYSTEMS INC              COM           705573103         12,330       1,500       X      X 28-5284     1500
                                                                1,644         200       X      X 28-1500      200

  PELICAN FINL INC             COM           705808103         16,500       3,000       X        28-5284                       3000

  PEGASUS COMMUNICATIONS CORP  CL A NEW      705904605      1,351,990      35,300       X      X 28-5284              35300

  PEMCO AVIATION INC           COM           706444106         16,325         500       X      X 28-5284                        500

  PENGROWTH ENERGY TR          COM           706902103        121,382       8,860       X        28-5284     8860
                                                              110,970       8,100       X      X 28-5284     8100
0                COLUMN TOTAL                              45,978,409
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 152 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PENN ENGR & MFG CORP         CL A          707389102      8,225,910     548,394       X      X 28-5284             548394

  PENN ENGR & MFG CORP         COM NON
                                VTG          707389300     16,051,618     945,882       X      X 28-5284             945182     700

  PENN NATL GAMING INC         COM           707569109         60,417       2,100       X        28-5284     2100
                                                              604,170      21,000       X      X 28-5284    21000

  PENN TREATY AMERN CORP       COM           707874103         21,400      10,000       X        28-5284    10000

  PENN VA CORP                 COM           707882106        123,139       2,032       X        28-5284     1232       800
                                                              133,320       2,200       X      X 28-5284      200              2000

  PENN VA RESOURCES PARTNERS L COM           707884102        328,290       9,300       X        28-5284      400              8900
                                                               35,300       1,000       X      X 28-5284               1000

  PENNEY J C INC               COM           708160106      1,184,189      34,048       X        28-5284    30848      2000    1200
                                                              356,147      10,240       X      X 28-5284     7544       800    1896
                                                              101,732       2,925       X      X 28-4580     2925

  PENNROCK FINL SVCS CORP      COM           708352109         79,406       2,796       X      X 28-5284     2796

  PENNSYLVANIA COMM BANCORP IN COM           708677109        168,840       3,360       X        28-5284     3360

  PENNSYLVANIA RL ESTATE INVT  SH BEN INT    709102107      1,218,791      32,363       X        28-5284    32363
                                                            3,904,589     103,680       X      X 28-5284     8230     53450   42000

  PENTAIR INC                  COM           709631105         59,000       1,000       X        28-5284     1000

  PEOPLES BANCORP INC          COM           709789101         19,579         700       X        28-5284      700

  PEOPLES BK BRIDGEPORT CONN   COM           710198102        271,967       5,850       X        28-5284     5850
                                                                2,325          50       X      X 28-5284       50

  PEOPLES ENERGY CORP          COM           711030106        312,104       6,990       X        28-5284     4790              2200
                                                              131,316       2,941       X      X 28-5284     2641       100     200

  PEOPLES HLDG CO              COM           711148106        157,548       4,675       X      X 28-1500     4675

  PEOPLESOFT INC               COM           712713106      1,507,397      81,525       X        28-5284    81525
                                                              295,563      15,985       X      X 28-5284     9000      2000    4985
                                                                3,365         182       X        28-1500                182
0                COLUMN TOTAL                              35,357,422
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 153 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PEP BOYS MANNY MOE & JACK    COM           713278109         30,525       1,100       X        28-5284     1100
                                                                2,775         100       X      X 28-5284      100

  PEPCO HOLDINGS INC           COM           713291102        549,672      26,892       X        28-5284    20439       439    6014
                                                            1,206,962      59,049       X      X 28-5284    40928     16910    1211
                                                               30,680       1,501       X        28-4580     1501
                                                                4,088         200       X      X 28-4580      200

  PEPSI BOTTLING GROUP INC     COM           713409100        112,158       3,770       X        28-5284     3770
                                                              364,586      12,255       X      X 28-5284     2055             10200
                                                               11,900         400       X      X 28-1500      400

  PEPSIAMERICAS INC            COM           71343P200         64,895       3,178       X        28-5284     3178
                                                               29,527       1,446       X      X 28-5284     1200       246

  PEPSICO INC                  COM           713448108    161,786,671   3,004,395       X        28-5284  2684119     26551  293725
                                                           96,846,856   1,798,456       X      X 28-5284  1035094    449587  313775
                                                            2,887,922      53,629       X        28-1500    34276     19353
                                                            2,237,521      41,551       X        28-4580    41551
                                                            1,006,403      18,689       X      X 28-4580    14969       720    3000

  PERFORMANCE FOOD GROUP CO    COM           713755106         41,220       1,200       X        28-5284                       1200
                                                               61,830       1,800       X      X 28-5284                       1800

  PERICOM SEMICONDUCTOR CORP   COM           713831105         30,807       2,700       X      X 28-5284                       2700

  PERKINELMER INC              COM           714046109        516,091      24,944       X        28-5284    24944
                                                              406,890      19,666       X      X 28-5284    19666
                                                                2,069         100       X      X 28-1500      100

  PERMIAN BASIN RTY TR         UNIT BEN
                                INT          714236106         61,368       6,796       X        28-5284     6796
                                                                3,829         424       X      X 28-5284                424

  PERRIGO CO                   COM           714290103        216,761      10,811       X        28-1500      811     10000

  PERUSAHAAN PERS INDO SATELLI SPONSORED
                                ADR          715680104         22,000       1,000       X        28-5284     1000

  PETCO ANIMAL SUPPLIES        COM NEW       716016209        219,100       7,775       X        28-5284     7775
                                                              112,720       4,000       X      X 28-5284      500              3500

  PETMED EXPRESS INC           COM           716382106         22,000       2,000       X        28-5284     2000

  PETRO-CDA                    COM           71644E102        179,347       4,090       X        28-5284     4090
0                COLUMN TOTAL                             269,069,173
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 154 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PETROCHINA CO LTD            SPONSORED
                                ADR          71646E100         28,105         550       X        28-5284      550
                                                               40,880         800       X      X 28-5284      800
                                                               97,090       1,900       X      X 28-1500     1900
                                                               29,229         572       X      X 28-4580      572

  PETROFUND ENERGY TRUST       TR UNIT       71648W108        255,543      19,330       X        28-5284    19330
                                                               13,220       1,000       X      X 28-5284     1000

  PETROKAZAKHSTAN INC          COM           71649P102         39,156       1,390       X        28-5284     1390
                                                              115,497       4,100       X      X 28-5284     4100

  PETROLEO BRASILEIRO SA PETRO SPONSORED
                                ADR          71654V408         16,750         500       X        28-5284                        500

  PETROLEUM & RES CORP         COM           716549100        147,949       6,277       X        28-5284     6277
                                                              230,703       9,788       X      X 28-5284     8165              1623

  PETROQUEST ENERGY INC        COM           716748108         13,295       3,724       X      X 28-1500     3724

  PETSMART INC                 COM           716768106        995,575      36,805       X        28-5284     6935             29870
                                                              631,969      23,363       X      X 28-5284    17905      1200    4258
                                                                5,410         200       X      X 28-1500      200

  PFIZER INC                   COM           717081103    339,097,534   9,674,680       X        28-5284  8665905    145873  862902
                                                          262,396,252   7,486,341       X      X 28-5284  4521201   2221413  743727
                                                            2,761,414      78,785       X        28-1500     5882     72903
                                                            7,095,522     202,440       X        28-4580   201821               619
                                                            6,796,160     193,899       X      X 28-4580   189944      3855     100

  PFSWEB INC                   COM           717098107            870         500       X        28-5284      500

  PHARMACEUTICAL HLDRS TR      DEPOSITRY
                                RCPT         71712A206         45,828         600       X      X 28-5284      600

  PHARMACEUTICAL PROD DEV INC  COM           717124101         14,855         500       X        28-5284      500
                                                               13,904         468       X      X 28-5284      468

  PHARMACOPEIA INC             COM           71713B104         10,060         500       X        28-5284      500

  PHELPS DODGE CORP            COM           717265102      3,931,766      48,148       X        28-5284    44774      2294    1080
                                                              797,002       9,760       X      X 28-5284     9380       380

  PHILADELPHIA CONS HLDG CORP  COM           717528103        229,390       3,955       X      X 28-5284                       3955
0                COLUMN TOTAL                             625,850,928
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 155 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PHOENIX COS INC NEW          COM           71902E109        216,035      16,110       X        28-5284    12462              3648
                                                              124,525       9,286       X      X 28-5284     3201              6085

  PHOSPHATE RESOURCE PARTNERS  DEPOSITARY
                                UNT          719217101            191          67       X        28-5284       67
                                                                2,009         705       X      X 28-5284                504     201

  PHOTOMEDEX INC               COM           719358103        341,899     127,100       X      X 28-5284                     127100

  PHOTRONICS INC               COM           719405102          3,540         200       X        28-5284      200

  PIEDMONT NAT GAS INC         COM           720186105        322,983       7,650       X        28-5284     7220               430
                                                              369,003       8,740       X      X 28-5284     7200      1540
                                                               88,324       2,092       X      X 28-1500     2092

  PIER 1 IMPORTS INC           COM           720279108         33,180       1,400       X        28-5284     1400

  PIMCO CORPORATE INCOME FD    COM           72200U100      1,860,075     118,100       X        28-5284   108200              9900
                                                              378,000      24,000       X      X 28-5284    22500              1500

  PIMCO MUN INCOME FD II       COM           72200W106         50,798       3,407       X      X 28-5284                       3407

  PIMCO STRATEGIC GBL GOV FD I COM           72200X104         25,847       2,032       X        28-5284     2032
                                                               44,711       3,515       X      X 28-5284     3515

  PIMCO MUN INCOME FD III      COM           72201A103        255,432      17,400       X        28-5284    17400

  PIMCO CORPORATE OPP FD       COM           72201B101         17,170       1,000       X        28-5284     1000

  PIMCO HIGH INCOME FD         COM SHS       722014107          2,660         180       X        28-5284      180
                                                               24,638       1,667       X      X 28-5284                       1667

  PINNACLE FINL PARTNERS INC   COM           72346Q104        152,500       5,000       X      X 28-1500     5000

  PINNACLE SYS INC             COM           723481107         57,408       6,400       X      X 28-5284                       6400

  PINNACLE WEST CAP CORP       COM           723484101         35,415         900       X        28-5284      900
                                                              373,195       9,484       X      X 28-5284     7184       300    2000

  PIONEER MUN HIGH INCOME TR   COM SHS       723763108         18,450       1,230       X        28-5284     1230

  PIONEER NAT RES CO           COM           723787107        547,743      16,958       X        28-5284    16958
                                                              279,040       8,639       X      X 28-5284      839      7000     800
0                COLUMN TOTAL                               5,624,771
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 156 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PIPER JAFFRAY COS            COM           724078100        756,692      13,974       X        28-5284    12343        13    1618
                                                              357,877       6,609       X      X 28-5284     3927       263    2419
                                                                2,708          50       X        28-1500       50
                                                                7,960         147       X      X 28-1500      147
                                                                  921          17       X        28-4580       17

  PITNEY BOWES INC             COM           724479100     31,858,261     747,671       X        28-5284   706906      4855   35910
                                                           52,200,616   1,225,079       X      X 28-5284  1078801    122219   24059
                                                            1,031,290      24,203       X        28-4580    24203
                                                              836,051      19,621       X      X 28-4580    16021      2000    1600

  PIXELWORKS INC               COM           72581M107         27,408       1,600       X      X 28-5284     1600

  PIXAR                        COM           725811103         16,115         250       X        28-5284      250
                                                               51,568         800       X      X 28-5284      800

  PLACER DOME INC              COM           725906101        153,104       8,520       X        28-5284     7520      1000
                                                               87,280       4,857       X      X 28-5284               4857

  PLAINS ALL AMERN PIPELINE L  UNIT LTD
                                PARTN        726503105          6,982         200       X        28-5284      200
                                                               17,455         500       X      X 28-5284                500
                                                               13,964         400       X      X 28-1500      400

  PLAINS EXPL& PRODTN CO       COM           726505100         55,920       3,000       X        28-5284     3000

  PLANAR SYS INC               COM           726900103         63,341       4,445       X      X 28-5284      145              4300

  PLANTRONICS INC NEW          COM           727493108          7,322         200       X        28-5284      200
                                                                5,492         150       X      X 28-5284      150

  PLATO LEARNING INC           COM           72764Y100         64,512       6,400       X      X 28-5284                       6400

  PLEXUS CORP                  COM           729132100        435,855      24,500       X        28-5284    24500
                                                               23,127       1,300       X      X 28-5284                       1300

  PLUG POWER INC               COM           72919P103          3,860         500       X        28-5284      500
                                                                3,011         390       X      X 28-5284      390

  PLUM CREEK TIMBER CO INC     COM           729251108        914,377      28,152       X        28-5284    26604              1548
                                                            2,042,212      62,876       X      X 28-5284    35249     24527    3100
                                                              125,048       3,850       X      X 28-1500     3850
                                                               64,960       2,000       X      X 28-4580     2000
0                COLUMN TOTAL                              91,235,289
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 157 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  POGO PRODUCING CO            COM           730448107        249,762       5,445       X        28-5284     5445

  POLO RALPH LAUREN CORP       CL A          731572103         17,140         500       X        28-5284      500

  POLYCOM INC                  COM           73172K104        213,898      10,080       X      X 28-5284     2500              7580

  POLYMEDICA CORP              COM           731738100          3,698         138       X      X 28-5284      138
                                                                5,360         200       X      X 28-1500      200

  POMEROY IT SOLUTIONS INC     COM           731822102          8,700         600       X        28-5284      600
                                                               14,500       1,000       X        28-1500     1000

  POPULAR INC                  COM           733174106        107,750       2,500       X        28-5284     2500
                                                               43,100       1,000       X      X 28-5284               1000

  POST PPTYS INC               COM           737464107         21,600         750       X      X 28-5284      750

  POTASH CORP SASK INC         COM           73755L107         39,339         473       X        28-5284      473
                                                               58,219         700       X      X 28-5284                        700
                                                                8,317         100       X      X 28-1500      100

  POTLATCH CORP                COM           737628107         41,973       1,030       X        28-5284     1030

  POWER-ONE INC                COM           739308104         11,060       1,000       X        28-5284     1000
                                                               11,060       1,000       X      X 28-5284     1000

  PRAECIS PHARMACEUTICALS INC  COM           739421105          4,728         800       X        28-5284      800

  PRAXAIR INC                  COM           74005P104      1,107,958      29,848       X        28-5284    21848              8000
                                                              545,738      14,702       X      X 28-5284     7202      1200    6300
                                                               81,998       2,209       X      X 28-1500     2209
                                                               22,272         600       X        28-4580      600
                                                                7,424         200       X      X 28-4580      200

  PRE PAID LEGAL SVCS INC      COM           740065107         36,720       1,500       X        28-5284     1500
                                                               31,285       1,278       X        28-1500               1278

  PRECISION CASTPARTS CORP     COM           740189105         93,388       2,121       X        28-5284     1121              1000
                                                              147,236       3,344       X      X 28-5284               1844    1500

  PRECISION DRILLING CORP      COM           74022D100         38,661         830       X        28-5284      830
                                                              185,854       3,990       X      X 28-5284     2500              1490
0                COLUMN TOTAL                               3,158,738
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 158 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PREMCOR INC                  COM           74045Q104      1,016,126      32,810       X        28-5284    32810

  PRENTISS PPTYS TR            SH BEN INT    740706106         39,114       1,060       X      X 28-5284                       1060

  PRESIDENTIAL LIFE CORP       COM           740884101         22,380       1,500       X        28-5284                       1500

  PRICE COMMUNICATIONS CORP    COM NEW       741437305         10,355         660       X        28-5284      660
                                                               39,225       2,500       X      X 28-5284                       2500

  PRICE T ROWE GROUP INC       COM           74144T108      1,426,172      26,494       X        28-5284    24294              2200
                                                               55,714       1,035       X      X 28-5284     1035

  PRICELINE COM INC            COM NEW       741503403          4,475         166       X      X 28-5284      166

  PRIDE INTL INC DEL           COM           74153Q102         52,545       3,080       X        28-5284     3080
                                                               51,180       3,000       X      X 28-5284                       3000

  PRIME HOSPITALITY CORP       COM           741917108         45,520       4,000       X      X 28-5284                       4000

  PRIMUS TELECOMMUNICATIONS GR COM           741929103         12,750       1,500       X      X 28-5284                       1500

  PRIMEWEST ENERGY TR          TR UNIT
                                NEW          741930309        236,510      11,645       X        28-5284    11645
                                                               60,930       3,000       X      X 28-5284     3000

  PRINCETON NATL BANCORP INC   COM           742282106        372,450      13,000       X        28-1500    13000

  PRINCIPAL FINANCIAL GROUP IN COM           74251V102        310,800       8,723       X        28-5284     8102               621
                                                               53,160       1,492       X      X 28-5284     1492

  PROASSURANCE CORP            COM           74267C106          7,875         225       X        28-5284      225

  PROCTER & GAMBLE CO          COM           742718109    544,823,282   5,194,730       X        28-5284  4650239     42624  501867
                                                          267,065,908   2,546,395       X      X 28-5284  1680910    384056  481429
                                                           19,496,038     185,889       X        28-1500    10302    175587
                                                            6,159,812      58,732       X        28-4580    58732
                                                            5,762,841      54,947       X      X 28-4580    49100      1150    4697

  PROGENICS PHARMACEUTICALS IN COM           743187106          2,856         150       X        28-5284      150
                                                               57,120       3,000       X      X 28-5284     3000
                                                               19,040       1,000       X      X 28-1500     1000
0                COLUMN TOTAL                             847,204,178
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 159 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PROGRESS ENERGY INC          COM           743263105      1,664,184      35,348       X        28-5284    34297              1051
                                                            1,357,976      28,844       X      X 28-5284    18893      5395    4556
                                                                9,416         200       X      X 28-1500      200

  PROGRESSIVE CORP OHIO        COM           743315103      2,752,830      31,425       X        28-5284    17425             14000
                                                              250,361       2,858       X      X 28-5284      150              2708

  PROLOGIS                     SH BEN INT    743410102        161,415       4,500       X        28-5284     4500
                                                              600,643      16,745       X      X 28-5284                      16745
                                                               22,419         625       X      X 28-4580      625

  PROQUEST COMPANY             COM           74346P102        102,095       3,500       X        28-5284     3500

  PROSPERITY BANCSHARES INC    COM           743606105         94,680       4,000       X      X 28-5284                       4000

  PROTECTIVE LIFE CORP         COM           743674103         11,572         309       X        28-5284      309
                                                              131,375       3,508       X      X 28-5284     3508

  PROTEIN DESIGN LABS INC      COM           74369L103        133,392       5,600       X      X 28-5284      200              5400
                                                               27,512       1,155       X        28-1500      155      1000

  PROVALIS PLC                 SPONS ADR
                                NEW          74372Q206             57          16       X        28-5284       16

  PROVIDENCE & WORCESTER RR CO COM           743737108          6,650         700       X        28-5284      700

  PROVIDENT BANKSHARES CORP    COM           743859100         88,178       2,810       X        28-5284     2810

  PROVIDENT ENERGY TR          TR UNIT       74386K104        155,818      18,910       X        28-5284    18910

  PROVIDENT FINL GROUP INC     COM           743866105         88,878       2,212       X        28-5284     2212
                                                              176,792       4,400       X      X 28-5284     4400

  PROVINCE HEALTHCARE CO       COM           743977100         27,030       1,700       X      X 28-5284                       1700

  PROVIDIAN FINL CORP          COM           74406A102      4,022,591     307,068       X        28-5284   229926             77142
                                                            3,603,745     275,095       X      X 28-5284   266000      3500    5595
                                                               39,300       3,000       X        28-1500               3000

  PROXIM CORP                  CL A          744283102          2,674       1,511       X      X 28-1500     1511

  PRUDENTIAL FINL INC          COM           744320102      1,130,292      25,241       X        28-5284    22230              3011
                                                              303,250       6,772       X      X 28-5284     6498       274
                                                                3,493          78       X        28-4580       78
0                COLUMN TOTAL                              16,968,618
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 160 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  PUBLIC SVC ENTERPRISE GROUP  COM           744573106      7,802,532     166,082       X        28-5284   145295     12567    8220
                                                           11,441,227     243,534       X      X 28-5284   152944     79673   10917
                                                               69,014       1,469       X        28-4580     1469
                                                            1,700,582      36,198       X      X 28-4580    36198

  PUBLIC STORAGE INC           COM           74460D109        243,543       5,005       X        28-5284     5005
                                                              155,225       3,190       X      X 28-5284                       3190

  PUBLIC STORAGE INC           COM A
                                DP1/1000     74460D729         33,675       1,107       X        28-5284     1107
                                                                  517          17       X      X 28-5284       17
                                                                   61           2       X      X 28-1500        2

  PUBLICIS S A NEW             SPONSORED
                                ADR          74463M106         15,245         500       X        28-5284                        500

  PUGET ENERGY INC NEW         COM           745310102         55,925       2,500       X        28-5284     1000              1500
                                                               94,312       4,216       X      X 28-5284     3716       500

  PULTE HOMES INC              COM           745867101          5,560         100       X      X 28-1500      100

  PURADYN FILTER TECHNOLOGIES  COM           746091107          6,360       3,000       X      X 28-5284               3000

  PUTNAM HIGH YIELD MUN TR     SH BEN INT    746781103         14,080       2,000       X      X 28-5284     2000

  PUTNAM INVT GRADE MUN TR     COM           746805100         36,628       3,250       X      X 28-5284     2000      1250

  PUTNAM MANAGED MUN INCOM TR  COM           746823103         11,423       1,505       X        28-5284     1505
                                                               15,180       2,000       X      X 28-5284     1000      1000

  PUTNAM MASTER INCOME TR      SH BEN INT    74683K104        106,720      16,000       X        28-5284              16000
                                                               13,340       2,000       X      X 28-5284     2000

  PUTNAM MUN BD FD INC         SH BEN INT    74683V100         13,159         969       X        28-5284      969
                                                                4,074         300       X      X 28-5284      300

  PUTNAM PREMIER INCOME TR     SH BEN INT    746853100          8,375       1,250       X        28-5284     1250
                                                               22,780       3,400       X      X 28-5284     3400
                                                               49,312       7,360       X      X 28-1500     7360

  PUTNAM MASTER INTER INCOME T SH BEN INT    746909100        104,129      15,135       X        28-5284    15135

  PUTNAM MUN OPPORTUNITIES TR  SH BEN INT    746922103         20,672       1,510       X      X 28-5284     1510

  QLT INC                      COM           746927102         12,770         500       X        28-5284      500
0                COLUMN TOTAL                              22,056,420
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 161 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  QRS CORP                     COM           74726X105         16,890       3,000       X        28-5284     3000

  QLOGIC CORP                  COM           747277101      1,636,800      49,600       X        28-5284    49600
                                                                1,320          40       X      X 28-5284       40
                                                               16,500         500       X      X 28-4580      500

  QSOUND LABS INC              COM NEW       74728C307            273         125       X      X 28-5284                        125

  QUAKER CITY BANCORP INC      COM           74731K106            218           4       X        28-5284        4

  QUAKER CHEM CORP             COM           747316107        101,600       4,000       X        28-5284     4000
                                                               38,100       1,500       X      X 28-5284     1500

  QUALCOMM INC                 COM           747525103     11,384,645     171,740       X        28-5284   151605      1800   18335
                                                            5,827,222      87,905       X      X 28-5284    50950     29074    7881
                                                               73,383       1,107       X      X 28-1500     1107
                                                               79,548       1,200       X        28-4580     1200
                                                              106,064       1,600       X      X 28-4580     1600

  QUANTA SVCS INC              COM           74762E102          3,540         500       X        28-5284      500
                                                               12,036       1,700       X      X 28-5284                       1700

  QUANTUM CORP                 COM DSSG      747906204         12,950       3,500       X        28-5284     3500
                                                               18,870       5,100       X      X 28-5284                       5100
                                                                2,091         565       X      X 28-1500      565

  QUEBECOR WORLD INC           COM
                                NON-VTG      748203106          2,301         125       X      X 28-5284      125

  QUEST DIAGNOSTICS INC        COM           74834L100        895,724      10,814       X        28-5284     9614              1200
                                                            1,387,982      16,757       X      X 28-5284    10353      1654    4750
                                                              174,523       2,107       X      X 28-1500     2107

  QUEST SOFTWARE INC           COM           74834T103          1,635         100       X        28-5284      100
                                                               17,985       1,100       X      X 28-5284     1100

  QUESTAR CORP                 COM           748356102        283,029       7,767       X        28-5284     7767
                                                            1,387,635      38,080       X      X 28-5284              38080

  QUIKSILVER INC               COM           74838C106         10,925         500       X        28-5284      500
                                                               67,735       3,100       X      X 28-5284                       3100
0                COLUMN TOTAL                              23,561,524
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 162 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  QWEST COMMUNICATIONS INTL IN COM           749121109        126,042      29,244       X        28-5284    27490              1754
                                                              170,866      39,644       X      X 28-5284    16081     23006     557
                                                                2,586         600       X      X 28-1500      600
                                                                  823         191       X        28-4580      191

  QUOVADX INC                  COM           74913K106         31,449       8,546       X      X 28-5284      892              7654

  R & G FINANCIAL CORP         CL B          749136107          7,081         205       X      X 28-5284      205

  RAIT INVT TR                 COM           749227104         26,595         900       X      X 28-5284      500       400

  RCN CORP                     COM           749361101          2,066       7,125       X        28-5284     7125
                                                                3,132      10,800       X      X 28-5284     5800      5000

  R H DONNELLEY CORP           COM NEW       74955W307         70,517       1,510       X        28-5284     1510
                                                               39,555         847       X      X 28-5284      279       568
                                                                9,947         213       X      X 28-4580      213

  RLI CORP                     COM           749607107         61,760       1,600       X      X 28-5284                       1600

  RPM INTL INC                 COM           749685103        556,042      33,618       X        28-5284    33618
                                                               28,796       1,741       X      X 28-5284     1741
                                                               13,827         836       X      X 28-1500      836

  RSA SEC INC                  COM           749719100          8,456         450       X      X 28-5284                        450
                                                               30,590       1,628       X        28-1500     1088       540

  RTI INTL METALS INC          COM           74973W107         53,822       3,400       X      X 28-5284                       3400

  RF MICRODEVICES INC          COM           749941100         54,313       6,420       X        28-5284     6420
                                                               27,749       3,280       X      X 28-5284     2080              1200
                                                              180,689      21,358       X        28-1500    21358
                                                                5,753         680       X        28-4580      680

  RADIAN GROUP INC             COM           750236101        200,561       4,708       X      X 28-5284      148              4560

  RADIOLOGIX INC               COM           75040K109          7,705       2,214       X      X 28-5284                       2214

  RADIO ONE INC                CL A          75040P108         85,376       4,600       X        28-5284                       4600

  RADIO ONE INC                CL D NON
                                VTG          75040P405         72,150       3,900       X      X 28-5284                       3900
0                COLUMN TOTAL                               1,878,248
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 163 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  RADIOSHACK CORP              COM           750438103         53,487       1,613       X        28-5284     1613
                                                              171,106       5,160       X      X 28-5284       60      4400     700

  RAE SYS INC                  COM           75061P102          9,744       2,400       X      X 28-5284                       2400

  RAILAMERICA INC              COM           750753105          6,025         500       X        28-5284                        500

  RAINDANCE COMM               COM           75086X106          5,700       2,000       X        28-5284     2000
                                                                  285         100       X      X 28-5284                        100

  RAMBUS INC DEL               COM           750917106         59,262       2,115       X        28-5284     2115

  RALCORP HLDGS INC NEW        COM           751028101        124,946       4,106       X      X 28-5284     1366       140    2600

  RAMCO-GERSHENSON PPTYS TR    COM SH BEN
                                INT          751452202          3,694         131       X        28-5284      131

  RANGE RES CORP               COM           75281A109         12,130       1,000       X        28-5284     1000

  RANK GROUP PLC               SPONSORED
                                ADR          753037100          3,078         250       X        28-5284      250

  RARE HOSPITALITY INTL INC    COM           753820109         76,479       2,756       X        28-5284     2756

  RAYMOND JAMES FINANCIAL INC  COM           754730109         18,638         750       X        28-5284      750

  RAYONIER INC                 COM           754907103         51,359       1,175       X        28-5284      675               500
                                                               53,064       1,214       X      X 28-5284      935       200      79
                                                               13,113         300       X      X 28-1500      300

  RAYOVAC CORP                 COM           755081106         26,312         920       X      X 28-5284      420               500

  RAYTHEON CO                  COM NEW       755111507      7,706,255     245,892       X        28-5284   234305      3850    7737
                                                           17,207,446     549,057       X      X 28-5284   185145    349662   14250
                                                              364,578      11,633       X        28-1500              11633
                                                               20,058         640       X        28-4580      640
                                                              100,257       3,199       X      X 28-4580     3049       150

  REALNETWORKS INC             COM           75605L104         23,100       3,850       X        28-5284     3650               200
                                                               12,240       2,040       X      X 28-5284     2040

  RECKSON ASSOCS RLTY CORP     COM           75621K106        203,452       7,230       X      X 28-5284               6000    1230

  RECKSON ASSOCS RLTY CORP     PFD CV
                                SER A%       75621K205         26,500       1,000       X      X 28-5284     1000
0                COLUMN TOTAL                              26,352,308
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 164 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  RED HAT INC                  COM           756577102        405,104      17,575       X        28-5284    17575
                                                               19,016         825       X      X 28-5284      125       700

  REDBACK NETWORKS INC         COM NEW       757209507             88          14       X        28-5284       14
                                                                   88          14       X      X 28-5284       14

  REDWOOD TR INC               COM           758075402         18,651         300       X        28-5284      300
                                                              124,340       2,000       X      X 28-5284               2000

  REEBOK INTL LTD              COM           758110100        201,581       4,875       X        28-5284     4875
                                                               93,658       2,265       X      X 28-5284      125              2140

  REED ELSEVIER P L C          SPONSORED
                                ADR          758205108          1,456          41       X        28-5284       41

  REGENCY CTRS CORP            COM           758849103        219,164       4,690       X      X 28-5284                       4690

  REGENERATION TECH INC DEL    COM           75886N100          8,229         725       X      X 28-1500      725

  REGIS CORP MINN              COM           758932107         26,664         600       X        28-5284      600

  REGIONS FINL CORP            COM           758940100         38,711       1,060       X        28-5284     1060
                                                               10,591         290       X      X 28-5284      290

  REHABCARE GROUP INC          COM           759148109          9,940         500       X        28-5284      500

  RELIANT RES INC              COM           75952B105         45,319       5,520       X        28-5284     5520
                                                               81,180       9,888       X      X 28-5284     3674      2699    3515

  RENAISSANCE LEARNING INC     COM           75968L105         26,370       1,000       X      X 28-5284     1000

  REPUBLIC BANCSHARES INC      COM           759929102          3,008         100       X        28-1500      100

  RENAL CARE GROUP INC         COM           759930100        248,934       5,440       X      X 28-5284     2100              3340

  RENT A CTR INC NEW           COM           76009N100         53,066       1,610       X      X 28-5284                       1610

  RENT WAY INC                 COM           76009U104         22,000       2,500       X        28-5284     2500
                                                               65,120       7,400       X      X 28-5284      400              7000

  REPSOL YPF S A               SPONSORED
                                ADR          76026T205         24,972       1,200       X        28-5284     1200

  REPUBLIC BANCORP KY          CL A          760281204        234,614      12,050       X        28-5284    12050
                                                               14,252         732       X        28-1500      732
0                COLUMN TOTAL                               1,996,116
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 165 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  REPUBLIC FIRST BANCORP INC   COM           760416107         32,500       2,500       X        28-5284     2500

  REPUBLIC SVCS INC            COM           760759100         50,756       1,875       X        28-5284     1875
                                                                4,061         150       X      X 28-5284      150

  RES-CARE INC                 COM           760943100        773,152      60,497       X        28-5284    60497
                                                                9,585         750       X      X 28-5284      750
                                                                  320          25       X        28-1500       25

  RESMED INC                   COM           761152107        451,900      10,000       X      X 28-5284    10000

  RESOURCE AMERICA INC         CL A          761195205         55,018       2,982       X      X 28-5284     2982

  RESPIRONICS INC              COM           761230101        534,798       9,900       X        28-5284     9900
                                                              927,253      17,165       X      X 28-5284    11300              5865

  RETEK INC                    COM           76128Q109         75,600      10,000       X        28-5284    10000

  REUNION INDS INC             COM           761312107          1,620       4,500       X        28-5284     4500

  REUTERS GROUP PLC            SPONSORED
                                ADR          76132M102        188,998       4,421       X        28-5284     3208              1213
                                                               79,088       1,850       X      X 28-5284      830       500     520

  REYNOLDS & REYNOLDS CO       CL A          761695105      1,088,103      38,300       X        28-5284    38300
                                                              107,958       3,800       X      X 28-5284                       3800

  REYNOLDS R J TOB HLDGS INC   COM           76182K105        340,918       5,635       X        28-5284     5635
                                                              233,833       3,865       X      X 28-5284     3656       209
                                                                7,865         130       X      X 28-1500      130
                                                                5,506          91       X        28-4580       91

  RICHARDSON ELECTRS LTD       SDCV
                                7.250%12     763165AB3      3,628,400      38,600       X        28-5284    38600

  RICHARDSON ELECTRS LTD       SDCV
                                8.250% 6     763165AC1     18,541,875     191,400       X        28-5284   191400
                                                            3,196,875      33,000       X      X 28-5284              33000

  RIGGS NATL CORP WASH DC      COM           766570105         58,548       3,400       X      X 28-5284                       3400

  RIO NARCEA GOLD MINES INC    COM           766909105         12,705       5,500       X        28-5284     5500

  RIO TINTO PLC                SPONSORED
                                ADR          767204100         16,897         168       X        28-5284      168
                                                            3,278,908      32,600       X      X 28-5284     1000             31600
0                COLUMN TOTAL                              33,703,040
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 166 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  RITE AID CORP                COM           767754104        182,713      33,587       X        28-5284    29087              4500
                                                              138,176      25,400       X      X 28-5284    12400             13000
                                                               26,656       4,900       X      X 28-1500     4900

  ROBBINS & MYERS INC          COM           770196103         30,170       1,400       X      X 28-5284                       1400

  ROBERT HALF INTL INC         COM           770323103         16,534         700       X        28-5284      700
                                                              159,081       6,735       X      X 28-5284     3500              3235

  ROCKFORD CORP                COM           77316P101          4,044         600       X        28-5284      600

  ROCKWELL AUTOMATION INC      COM           773903109      1,351,090      38,970       X        28-5284    37890              1080
                                                            1,201,211      34,647       X      X 28-5284    17467     10175    7005

  ROCKWELL COLLINS INC         COM           774341101        856,252      27,088       X        28-5284    24752              2336
                                                            1,010,161      31,957       X      X 28-5284    13777     11175    7005

  ROGERS COMMUNICATIONS INC    CL B          775109200         12,036         644       X      X 28-5284                        644

  ROHM & HAAS CO               COM           775371107      1,190,459      29,881       X        28-5284    29881
                                                            3,976,789      99,819       X      X 28-5284    19864     79955
                                                              127,647       3,204       X      X 28-4580     3204

  ROLLINS INC                  COM           775711104         57,983       2,250       X      X 28-5284               2250

  ROPER INDS INC NEW           COM           776696106      3,557,473      73,730       X        28-5284    73730
                                                               38,600         800       X      X 28-5284                        800

  ROSS STORES INC              COM           778296103        110,268       3,600       X        28-5284     3600
                                                              670,797      21,900       X      X 28-5284    19100              2800

  ROTO ROOTER INC NEW          COM           778787101         12,385         245       X      X 28-5284      245

  ROUSE CO                     COM           779273101         14,043         262       X        28-5284      262
                                                              663,622      12,381       X      X 28-5284     8311              4070
                                                               24,817         463       X      X 28-4580      463

  ROWAN COS INC                COM           779382100         71,073       3,370       X        28-5284     3370
                                                                1,476          70       X      X 28-5284       70

  ROXIO INC                    COM           780008108        120,815      27,028       X        28-1500    27023         5

  ROYAL BANCSHARES PA INC      CL A          780081105         14,535         570       X      X 28-5284      228       342
0                COLUMN TOTAL                              15,640,906
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 167 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ROYAL BK CDA MONTREAL QUE    COM           780087102         57,240       1,200       X        28-5284                       1200
                                                               42,215         885       X      X 28-5284      325       560
                                                               69,404       1,455       X      X 28-1500     1455

  ROYAL BK SCOTLAND GROUP PLC  SP ADR
                                PREF D       780097606          5,440         200       X      X 28-4580      200

  ROYAL BK SCOTLAND GROUP PLC  SPON ADR F    780097804         78,120       2,800       X        28-5284     2800
                                                               53,289       1,910       X      X 28-5284      910      1000

  ROYAL BK SCOTLAND GROUP PLC  SP ADR
                                PFD K        780097820         25,173         900       X        28-5284      900
                                                               97,895       3,500       X      X 28-5284               3500

  ROYAL BK SCOTLAND GROUP PLC  SP ADR
                                PREF J       780097853         26,340       1,000       X      X 28-5284               1000

  ROYAL BK SCOTLAND GROUP PLC  SP ADR I
                                PRF I        780097861         43,690       1,700       X        28-5284     1350       350
                                                              188,895       7,350       X      X 28-5284     2000      5350

  ROYAL BK SCOTLAND GROUP PLC  SPON ADR
                                SER H        780097879         63,250       2,500       X        28-5284     2150       350
                                                              236,555       9,350       X      X 28-5284               9350

  ROYAL DUTCH PETE CO          NY REG
                                EUR .56      780257804     37,154,841     780,892       X        28-5284   724055     22820   34017
                                                           64,345,241   1,352,359       X      X 28-5284  1013712    266588   72059
                                                               76,366       1,605       X        28-1500               1605
                                                              993,803      20,887       X        28-4580    20737               150
                                                              778,552      16,363       X      X 28-4580    12603      3400     360

  ROYAL GOLD INC               COM           780287108         17,710       1,000       X        28-5284     1000
                                                               10,998         621       X      X 28-5284      621
                                                               35,420       2,000       X      X 28-1500     2000

  ROYCE VALUE TR INC           COM           780910105        168,744       9,480       X        28-5284     9480
                                                                7,725         434       X      X 28-5284                434
                                                               30,491       1,713       X      X 28-1500     1713

  RUBY TUESDAY INC             COM           781182100          6,430         200       X        28-5284      200
                                                              300,667       9,352       X      X 28-5284               9352

  RUDDICK CORP                 COM           781258108        161,920       8,000       X        28-5284     8000

  RUSS BERRIE & CO             COM           782233100         18,270         522       X      X 28-5284       22               500

  RUSSELL CORP                 COM           782352108         43,824       2,400       X      X 28-5284                       2400
0                COLUMN TOTAL                             105,138,508
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 168 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  RYANS FAMILY STEAK HOUSE INC COM           783519101          8,590         500       X        28-5284      500

  RYDER SYS INC                COM           783549108        131,914       3,406       X        28-5284     3406
                                                               69,714       1,800       X      X 28-5284                       1800

  RYDEX ETF TRUST              S&P 500
                                EQ TRD       78355W106        172,060       1,229       X        28-5284     1229
                                                               10,640          76       X      X 28-5284       76

  RYLAND GROUP INC             COM           783764103         62,536         704       X      X 28-5284      500       200       4

  S & T BANCORP INC            COM           783859101        113,296       3,769       X        28-5284     2634              1135
                                                            3,360,407     111,790       X      X 28-5284   111790

  SBC COMMUNICATIONS INC       COM           78387G103     32,197,192   1,312,029       X        28-5284  1152867     42298  116864
                                                           29,319,631   1,194,769       X      X 28-5284   754434    375880   64455
                                                              779,219      31,753       X        28-1500    11602     20151
                                                              997,649      40,654       X        28-4580    39209              1445
                                                            1,980,329      80,698       X      X 28-4580    76308      2090    2300

  SBA COMMUNICATIONS CORP      COM           78388J106         47,530      12,250       X        28-5284    12250
                                                                7,760       2,000       X      X 28-5284               2000

  SEI INVESTMENTS CO           COM           784117103      5,905,185     178,945       X        28-5284   130150             48795
                                                            3,072,300      93,100       X      X 28-5284    90400              2700
                                                               43,230       1,310       X        28-1500     1310
                                                               66,000       2,000       X      X 28-1500     2000

  SEMCO ENERGY INC             COM           78412D109          1,132         200       X      X 28-5284      200

  SFBC INTL INC                COM           784121105        501,984      16,800       X      X 28-5284    16000               800

  SK TELECOM LTD               SPONSORED
                                ADR          78440P108          1,598          75       X        28-5284       75

  SL GREEN RLTY CORP           COM           78440X101        425,007       8,910       X      X 28-5284                       8910

  SLM CORP                     COM           78442P106        976,486      23,333       X        28-5284    16333              7000
                                                              475,374      11,359       X      X 28-5284     6259      5100

  SPDR TR                      UNIT SER 1    78462F103    389,193,726   3,441,147       X        28-5284  3307552     32172  101423
                                                          128,272,139   1,134,148       X      X 28-5284   610943    267591  255614
                                                              178,133       1,575       X      X 28-1500     1575
                                                           10,194,721      90,139       X        28-4580    87489              2650
                                                            1,664,832      14,720       X      X 28-4580    12220      2500
0                COLUMN TOTAL                             610,230,314
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 169 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SPSS INC                     COM           78462K102          3,367         183       X      X 28-5284      183

  S1 CORPORATION               COM           78463B101            760         100       X        28-1500      100

  SPX CORP                     COM           784635104        263,238       5,788       X        28-5284     2388      2000    1400
                                                            1,585,615      34,864       X      X 28-5284     1674      2790   30400

  SVB FINL SVCS INC            COM           784869109         65,110       3,529       X      X 28-5284     3529

  S Y BANCORP INC              COM           785060104        333,491      14,888       X        28-5284    13488              1400
                                                              147,123       6,568       X      X 28-5284     6168               400
                                                               22,400       1,000       X        28-1500               1000

  SABRE HLDGS CORP             CL A          785905100         65,002       2,620       X        28-5284     2620
                                                               15,953         643       X      X 28-5284      643

  SAFECO CORP                  COM           786429100     28,269,817     655,608       X        28-5284   623163      2450   29995
                                                            5,349,597     124,063       X      X 28-5284    84983     33425    5655
                                                              906,167      21,015       X        28-4580    19964              1051
                                                              112,888       2,618       X      X 28-4580     2618

  SAFEGUARD SCIENTIFICS INC    COM           786449108        265,720      71,430       X        28-5284    71230               200
                                                               17,484       4,700       X      X 28-5284      200              4500
                                                                4,092       1,100       X      X 28-1500     1100

  SAFENET INC                  COM           78645R107         12,613         336       X      X 28-5284      336

  SAFEWAY INC                  COM NEW       786514208        901,425      43,801       X        28-5284    43786        15
                                                              352,330      17,120       X      X 28-5284    12045      4975     100
                                                               12,965         630       X        28-4580      630
                                                                6,174         300       X      X 28-4580      100       200

  SAGA COMMUNICATIONS          CL A          786598102         35,435       1,900       X        28-5284     1900

  ST JOE CO                    COM           790148100         73,242       1,800       X        28-5284     1800
                                                               34,587         850       X      X 28-5284                850

  ST JUDE MED INC              COM           790849103        379,462       5,263       X        28-5284     4878               385
                                                               49,028         680       X      X 28-5284      100               580
                                                               43,260         600       X      X 28-1500      600

  ST MARY LD & EXPL CO         COM           792228108         15,712         470       X        28-5284      470
0                COLUMN TOTAL                              39,344,057
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 170 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  ST PAUL COS INC              COM           792860108        684,731      17,114       X        28-5284    17114
                                                              144,756       3,618       X      X 28-5284     3118               500
                                                              192,648       4,815       X        28-1500               4815
                                                              160,040       4,000       X        28-4580     4000

  SAKS INC                     COM           79377W108          3,520         200       X        28-5284      200
                                                               17,600       1,000       X      X 28-1500     1000

  SALEM COMMUNICATIONS CORP DE CL A          794093104         11,000         400       X      X 28-5284      400

  SALOMON BROS HIGH INCOME FD  COM           794907105         24,666       1,927       X      X 28-5284     1927

  SALOMON BR GLBL PRTNRS INC F COM           794914101          9,018         600       X        28-5284      600

  SALOMON BROS MUN PARTNERS FD COM           794918102         61,248       4,350       X        28-5284     4350

  SALISBURY BANCORP INC        COM           795226109          7,650         200       X        28-5284      200

  SALIX PHARMACEUTICALS INC    COM           795435106        149,250       5,143       X      X 28-5284                       5143

  SALOMON BROTHERS FD INC      COM           795477108        248,542      20,473       X        28-5284    16375              4098
                                                               71,225       5,867       X      X 28-5284     2867              3000

  SALOMON BROS 2008 WORLDWIDE  COM           79548R103         14,677       1,300       X        28-5284     1300

  SALOMON BROS WORLDWIDE INCOM COM           79548T109         76,612       4,703       X        28-5284     4703

  SALTON INC                   COM           795757103            937         100       X        28-5284      100

  SAN JUAN BASIN RTY TR        UNIT BEN
                                INT          798241105        136,464       6,796       X        28-5284     6796
                                                              108,914       5,424       X      X 28-5284                424    5000

  SANCHEZ COMPUTER ASSOCS INC  COM           799702105         97,302      14,878       X        28-5284    14878
                                                              291,946      44,640       X      X 28-5284                      44640

  SANDERSON FARMS INC          COM           800013104          4,334         118       X      X 28-5284      118

  SANDISK CORP                 COM           80004C101        163,070       5,750       X        28-5284     5750
                                                              209,864       7,400       X      X 28-5284      400              7000

  SANDY SPRING BANCORP INC     COM           800363103      1,088,100      30,000       X        28-5284    30000
0                COLUMN TOTAL                               3,978,114
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 171 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SANMINA SCI CORP             COM           800907107         71,363       6,464       X        28-5284     3744              2720
                                                               80,095       7,255       X      X 28-5284     1100              6155
                                                               14,529       1,316       X      X 28-1500     1316

  SANTA FE ENERGY TR           RCPT DEP
                                UNITS        802013102         18,000         600       X        28-5284      600
                                                                6,000         200       X      X 28-5284      200

  SANYO ELEC LTD               ADR 5 COM     803038306          4,950         200       X      X 28-5284      200

  SAP AKTIENGESELLSCHAFT       SPONSORED
                                ADR          803054204        418,652      10,650       X        28-5284    10650
                                                                  983          25       X      X 28-5284       25

  SARA LEE CORP                COM           803111103     32,033,207   1,465,380       X        28-5284  1368308     30500   66572
                                                           26,108,972   1,194,372       X      X 28-5284   965544    208813   20015
                                                              142,877       6,536       X      X 28-1500     6536
                                                              153,020       7,000       X        28-4580     7000
                                                              867,842      39,700       X      X 28-4580    39700

  SCANA CORP NEW               COM           80589M102        259,681       7,346       X        28-5284     7346
                                                              126,376       3,575       X      X 28-5284     2775       800

  SCANSOURCE INC               COM           806037107        464,921       9,700       X      X 28-5284     9700

  SCHEIN HENRY INC             COM           806407102          8,911         125       X      X 28-5284      125

  SCHERING PLOUGH CORP         COM           806605101     17,383,590   1,071,738       X        28-5284   924763     27237  119738
                                                           12,280,438     757,117       X      X 28-5284   510031    180977   66109
                                                              207,697      12,805       X      X 28-1500    12805
                                                              381,170      23,500       X        28-4580    23500
                                                            1,065,119      65,667       X      X 28-4580    65667

  SCHLUMBERGER LTD             COM           806857108     30,062,112     470,824       X        28-5284   434324      3910   32590
                                                           20,557,529     321,966       X      X 28-5284   198858     87555   35553
                                                               81,345       1,274       X        28-1500     1274
                                                               54,273         850       X      X 28-1500      850
                                                              428,114       6,705       X        28-4580     6705
                                                              108,545       1,700       X      X 28-4580     1700

  SCHNITZER STL INDS           CL A          806882106        263,010       8,250       X      X 28-5284     8250

  SCHOLASTIC CORP              COM           807066105         16,350         600       X        28-5284      600

  SCHULMAN A INC               COM           808194104         39,300       2,000       X      X 28-5284                       2000
0                COLUMN TOTAL                             143,708,971
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 172 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SCHWAB CHARLES CORP NEW      COM           808513105        856,029      73,732       X        28-5284    73357               375
                                                              841,098      72,446       X      X 28-5284    54946       300   17200
                                                               78,054       6,723       X      X 28-1500     6723

  SCHWEITZER-MAUDUIT INTL INC  COM           808541106         74,290       2,300       X        28-5284     2300
                                                              369,835      11,450       X      X 28-5284                      11450

  SCIENTIFIC ATLANTA INC       COM           808655104         80,850       2,500       X        28-5284     2500
                                                              356,128      11,012       X      X 28-5284     9412       400    1200

  SCIENTIFIC GAMES CORP        CL A          80874P109        303,264      16,200       X      X 28-5284     4000             12200

  SCIENTIFIC LEARNING CORP     COM           808760102         42,980       7,000       X        28-5284     7000

  SCOTTISH PWR PLC             SPON ADR
                                FINAL        81013T705         36,264       1,276       X        28-5284     1276
                                                              167,763       5,903       X      X 28-5284     2247      2420    1236

  SCOTTS CO                    CL A          810186106          3,208          50       X        28-5284       50
                                                                1,347          21       X      X 28-5284       21

  SCRIPPS E W CO OHIO          CL A          811054204        348,830       3,450       X        28-5284     3350               100
                                                              918,079       9,080       X      X 28-5284     1380              7700

  SCS TRANSN INC               COM           81111T102         10,355         475       X        28-5284      475
                                                                1,635          75       X      X 28-5284       75

  SCUDDER HIGH INCOME TR       SH BEN INT    811153105         86,070      12,492       X        28-5284    12492

  SCUDDER INTER GOVT TR        SH BEN INT    811163104          6,900       1,000       X      X 28-5284     1000

  SCUDDER MULTI-MARKET INCOME  SH BEN INT    81118Q101         10,247       1,150       X      X 28-5284               1150

  SCUDDER MUN INCOME TR        COM SH BEN
                                INT          81118R604         25,262       2,034       X        28-5284     2034
                                                               65,814       5,299       X      X 28-5284     5299

  SCUDDER NEW ASIA FD INC      COM           811183102          7,420         500       X        28-5284      500

  SCUDDER RREEF REAL ESTATE FD COM           81119Q100         16,608         800       X        28-5284      800

  SCUDDER STRATEGIC MUN INCOME COM SH BEN
                                INT          811234103         19,740       1,500       X        28-5284     1500
                                                                4,606         350       X      X 28-5284      150       200
0                COLUMN TOTAL                               4,732,676
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 173 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SEACOAST BKG CORP FLA        COM           811707306         63,135       3,050       X        28-5284     3050
                                                              245,916      11,880       X      X 28-5284    11880
                                                               34,155       1,650       X      X 28-1500     1650

  SEACOR HOLDINGS INC          COM           811904101         11,092         270       X        28-5284      270

  SEALED AIR CORP NEW          COM           81211K100         62,908       1,265       X        28-5284     1265
                                                              537,084      10,800       X      X 28-5284              10600     200

  SEARS ROEBUCK & CO           COM           812387108      2,202,216      51,262       X        28-5284    47815      2124    1323
                                                            4,963,899     115,547       X      X 28-5284    29028     84402    2117
                                                               21,480         500       X        28-1500                500
                                                              180,432       4,200       X        28-4580     4200
                                                               73,032       1,700       X      X 28-4580     1700

  SELECT SECTOR SPDR TR        SBI
                                MATERIALS    81369Y100        240,474       9,203       X        28-5284     9203
                                                               41,573       1,591       X      X 28-5284     1591
                                                               22,994         880       X        28-4580      880

  SELECT SECTOR SPDR TR        SBI
                                HEALTH-
                                CARE         81369Y209        258,775       8,646       X        28-5284     8646
                                                               13,618         455       X      X 28-5284                455

  SELECT SECTOR SPDR TR        SBI CONS
                                STPLS        81369Y308        935,632      40,893       X      X 28-5284    40893
                                                               53,768       2,350       X      X 28-1500     2350

  SELECT SECTOR SPDR TR        SBI CONS
                                DISCR        81369Y407        482,441      15,195       X        28-5284    15195
                                                              496,126      15,626       X      X 28-5284     8930      6696
                                                              241,300       7,600       X        28-4580     7600

  SELECT SECTOR SPDR TR        SBI INT-
                                ENERGY       81369Y506     11,296,545     385,022       X        28-5284   370935     13912     175
                                                            1,269,072      43,254       X      X 28-5284    27818      6201    9235
                                                              166,358       5,670       X        28-1500               5670
                                                               88,020       3,000       X        28-4580     3000
                                                               41,076       1,400       X      X 28-4580     1400

  SELECT SECTOR SPDR TR        SBI
                                INT-FINL     81369Y605        786,450      26,750       X        28-5284    26750
                                                              415,598      14,136       X      X 28-5284                      14136
                                                               51,303       1,745       X      X 28-1500     1745
                                                              333,249      11,335       X        28-4580    11335
                                                               35,280       1,200       X      X 28-4580     1200
0                COLUMN TOTAL                              25,665,001
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 174 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SELECT SECTOR SPDR TR        SBI
                                INT-INDS     81369Y704        305,854      11,581       X        28-5284    11581
                                                              419,259      15,875       X      X 28-5284      179      6296    9400
                                                              171,665       6,500       X        28-4580     6500
                                                               10,564         400       X      X 28-4580      400

  SELECT SECTOR SPDR TR        SBI
                                INT-TECH     81369Y803      5,237,891     259,816       X        28-5284   201125      7021   51670
                                                            3,265,154     161,962       X      X 28-5284    95123     35539   31300
                                                                8,568         425       X      X 28-1500      425
                                                              389,088      19,300       X        28-4580    19300
                                                              155,192       7,698       X      X 28-4580     7698

  SELECT SECTOR SPDR TR        SBI
                                INT-UTILS    81369Y886      1,279,937      52,629       X        28-5284    26429      1200   25000
                                                              497,466      20,455       X      X 28-5284     8015     12440
                                                               34,656       1,425       X      X 28-1500     1425
                                                               36,480       1,500       X      X 28-4580     1500

  SECURE COMPUTING CORP        COM           813705100         81,600       5,000       X        28-5284     5000

  SEGUE SOFTWARE INC           COM           815807102          3,232         800       X        28-5284      800

  SELAS CORP AMER              COM           816119101         65,424      23,200       X        28-5284    23200

  SELECT MEDICAL CORP          COM           816196109         33,400       2,000       X        28-5284     1000              1000
                                                              115,397       6,910       X      X 28-5284     6910

  SELECTIVE INS GROUP INC      COM           816300107        168,336       4,800       X        28-5284     4800
                                                              746,781      21,294       X      X 28-5284    21294
                                                            1,332,660      38,000       X      X 28-4580    38000

  SELIGMAN SELECT MUN FD INC   COM           816344105         11,200       1,000       X      X 28-5284     1000

  SEMICONDUCTOR HLDRS TR       DEP RCPT      816636203         39,500       1,000       X        28-5284     1000

  SEMTECH CORP                 COM           816850101          9,132         400       X        28-5284      400

  SEMPRA ENERGY                COM           816851109         77,274       2,430       X        28-5284     2430
                                                              323,724      10,180       X      X 28-5284     5175       600    4405
                                                                7,982         251       X      X 28-4580      251

  SEMITOOL INC                 COM           816909105          3,798         300       X      X 28-5284      300

  SENIOR HIGH INCOME PORTFOLIO COM           81721E107         27,115       4,467       X        28-5284     4467
0                COLUMN TOTAL                              14,858,329
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 175 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SENIOR HSG PPTYS TR          SH BEN INT    81721M109         37,830       1,940       X        28-5284     1940
                                                                1,950         100       X      X 28-5284      100

  SENSIENT TECHNOLOGIES CORP   COM           81725T100         25,205       1,350       X        28-5284     1350
                                                               37,340       2,000       X      X 28-5284                       2000

  SEPRACOR INC                 COM           817315104         60,125       1,250       X        28-5284      800               450
                                                               19,240         400       X      X 28-5284                        400

  SERENA SOFTWARE INC          COM           817492101         38,604       1,897       X        28-1500     1897

  SERONO S A                   SPONSORED
                                ADR          81752M101          7,695         500       X      X 28-5284      500

  SEROLOGICALS CORP            COM           817523103        146,880       7,200       X      X 28-5284                       7200

  SERVICE CORP INTL            COM           817565104        414,585      55,500       X        28-5284    54000              1500
                                                                3,167         424       X      X 28-5284      224       200
                                                              108,315      14,500       X      X 28-1500    14500

  SERVICEMASTER CO             COM           81760N109         48,040       4,000       X        28-5284     4000
                                                               87,529       7,288       X      X 28-5284     7288

  7-ELEVEN INC                 COM NEW       817826209         30,340       2,000       X        28-5284     2000

  SHARPER IMAGE CORP           COM           820013100        148,239       4,550       X      X 28-5284       50              4500

  SHAW GROUP INC               COM           820280105        305,471      28,180       X        28-5284    28180
                                                               30,352       2,800       X      X 28-5284                       2800

  SHELBOURNE PPTYS I INC       COM           821373107            903          57       X        28-5284       57

  SHELL TRANS & TRADING PLC    ADR NY SHS
                                NEW          822703609      1,521,090      38,113       X        28-5284    36099       186    1828
                                                            1,952,198      48,915       X      X 28-5284    37400      5100    6415
                                                                5,987         150       X      X 28-1500      150
                                                              265,002       6,640       X        28-4580     6640

  SHERWIN WILLIAMS CO          COM           824348106     11,732,564     305,297       X        28-5284   179747            125550
                                                            7,359,345     191,500       X      X 28-5284   179075      9225    3200
                                                              137,157       3,569       X      X 28-1500     3569
                                                              238,266       6,200       X      X 28-4580     6200

  SHIRE PHARMACEUTICALS GRP PL SPONSORED
                                ADR          82481R106            997          34       X        28-5284       34
                                                              439,800      15,000       X      X 28-5284    15000
0                COLUMN TOTAL                              25,204,216
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 176 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SHOPKO STORES INC            COM           824911101         32,164       2,200       X      X 28-5284                       2200

  SHORE BANCSHARES INC         COM           825107105      2,880,145      88,348       X      X 28-5284    88348

  SHUFFLE MASTER INC           COM           825549108          6,509         140       X        28-5284                        140

  SHURGARD STORAGE CTRS INC    COM           82567D104         56,219       1,409       X      X 28-5284      981               428

  SIEBEL SYS INC               COM           826170102        706,270      61,255       X        28-5284    61255
                                                              432,087      37,475       X      X 28-5284    20800      6400   10275

  SIEMENS A G                  SPONSORED
                                ADR          826197501         37,025         500       X        28-5284                        500
                                                               18,513         250       X      X 28-5284      250

  SIERRA HEALTH SVCS INC       COM           826322109         87,360       2,400       X        28-5284     2400
                                                               51,470       1,414       X      X 28-5284                       1414

  SIERRA PAC RES               COM           826425100              0         500       X        28-5284      500

  SIERRA PAC RES NEW           COM           826428104          1,480         200       X      X 28-4580      200

  SIGMA ALDRICH CORP           COM           826552101      1,698,671      30,673       X        28-5284    30023       150     500
                                                            1,301,153      23,495       X      X 28-5284    17200      1700    4595

  SILICON LABORATORIES INC     COM           826919102         47,592         900       X        28-5284      900

  SILICON IMAGE INC            COM           82705T102        135,454      13,100       X      X 28-5284                      13100

  SILICON GRAPHICS INC         COM           827056102          2,896       1,140       X        28-5284     1140
                                                                  112          44       X      X 28-5284       44

  SILICON STORAGE TECHNOLOGY I COM           827057100        147,516      11,400       X      X 28-5284                      11400

  SILICON VY BANCSHARES        COM           827064106        100,564       3,100       X        28-5284     3100

  SILVER STD RES INC           COM           82823L106         24,090       1,500       X      X 28-5284     1500

  SIMMONS 1ST NATL CORP        CL A $1
                                PAR          828730200         44,064       1,600       X      X 28-5284                       1600

  SIMON PPTY GROUP INC NEW     COM           828806109      6,546,566     112,022       X        28-5284   111547               475
                                                            1,540,478      26,360       X      X 28-5284    12100      2140   12120
                                                               17,532         300       X      X 28-1500      300
                                                               26,532         454       X      X 28-4580      454
0                COLUMN TOTAL                              15,942,462
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 177 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SIMPSON MANUFACTURING CO INC COM           829073105         48,950       1,000       X      X 28-5284     1000

  SINCLAIR BROADCAST GROUP INC CL A          829226109        136,250      10,900       X      X 28-5284                      10900

  SIRENZA MICRODEVICES INC     COM           82966T106            746         168       X        28-5284      168
                                                                3,996         900       X      X 28-5284                        900

  SIRIUS SATELLITE RADIO INC   COM           82966U103         74,851      22,015       X        28-5284    22015
                                                               14,161       4,165       X      X 28-5284     4165
                                                               82,688      24,320       X        28-1500     5570     18750
                                                                3,400       1,000       X                    1000

  SIRVA INC                    COM           82967Y104         80,392       3,333       X      X 28-5284                       3333

  SIX FLAGS INC                COM           83001P109         69,865       8,900       X      X 28-5284                       8900

  SIZELER PPTY INVS INC        COM           830137105          5,820         500       X      X 28-5284                500

  SKY FINL GROUP INC           COM           83080P103        408,635      15,747       X        28-5284    15747
                                                            2,396,457      92,349       X      X 28-5284    41412     50462     475

  SKYLINE CORP                 COM           830830105          1,157          30       X        28-5284       30
                                                                3,163          82       X      X 28-5284       82

  SKYWEST INC                  COM           830879102         52,164       2,700       X      X 28-5284                       2700

  SKYWORKS SOLUTIONS INC       COM           83088M102         82,670       7,084       X        28-5284     6706               378
                                                              102,299       8,766       X      X 28-5284     2814       644    5308
                                                                5,695         488       X        28-1500      488

  SLADES FERRY BANCORP         COM           830896106         15,469         700       X        28-5284      700

  SMITH & NEPHEW PLC           SPDN ADR
                                NEW          83175M205         25,270         500       X        28-5284                        500

  SMITH A O                    COM           831865209         61,490       2,124       X        28-5284     2124
                                                               17,370         600       X      X 28-5284                        600

  SMITH INTL INC               COM           832110100     13,307,669     248,695       X        28-5284   210245      4655   33795
                                                            1,210,985      22,631       X      X 28-5284    17000      4441    1190
                                                              270,654       5,058       X        28-4580     4660               398
                                                               66,834       1,249       X      X 28-4580     1249

  SMITHFIELD FOODS INC         COM           832248108         16,950         625       X        28-5284      625
                                                               32,544       1,200       X      X 28-5284                       1200
0                COLUMN TOTAL                              18,598,594
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 178 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SMUCKER J M CO               COM NEW       832696405      5,577,474     105,674       X        28-5284    97813        96    7765
                                                            2,491,533      47,206       X      X 28-5284    26079     12313    8814
                                                               56,633       1,073       X      X 28-1500     1073
                                                                7,073         134       X        28-4580      134
                                                               23,698         449       X      X 28-4580      288        12     149

  SMURFIT-STONE CONTAINER CORP COM           832727101         85,544       4,866       X        28-5284     4866
                                                            1,870,160     106,380       X      X 28-5284                     106380

  SNAP ON INC                  COM           833034101         19,404         600       X        28-5284      600
                                                               27,974         865       X      X 28-5284      415       450

  SOCKET COMMUNICATIONS INC    COM           833672108         10,592       3,450       X        28-5284     3450

  SOHU COM INC                 COM           83408W103        124,450       5,000       X      X 28-5284     5000
                                                                2,489         100       X      X 28-1500      100

  SOLA INTL INC                COM           834092108         37,200       1,600       X      X 28-5284                       1600

  SOLECTRON CORP               COM           834182107        789,435     142,755       X        28-5284    66355             76400
                                                               24,691       4,465       X      X 28-5284     1950              2515
                                                                1,786         323       X      X 28-1500      323

  SONIC CORP                   COM           835451105         33,521         975       X        28-5284                        975
                                                                3,438         100       X      X 28-5284      100

  SONIC SOLUTIONS              COM           835460106        134,750       7,000       X        28-5284     7000

  SONOCO PRODS CO              COM           835495102      1,805,437      74,359       X        28-5284    72897      1000     462
                                                              577,427      23,782       X      X 28-5284    18816       577    4389

  SONOSITE INC                 COM           83568G104         89,502       4,200       X      X 28-5284                       4200

  SONY CORP                    ADR NEW       835699307        690,785      16,522       X        28-5284    15967               555
                                                            3,481,101      83,260       X      X 28-5284     9260             74000

  SOTHEBYS HLDGS INC           CL A          835898107          2,570         200       X      X 28-5284                        200

  SOURCE CAP INC               COM           836144105        428,977       6,708       X        28-5284     6708

  SOUTH FINL GROUP INC         COM           837841105      3,388,410     114,512       X        28-5284                     114512
                                                              488,235      16,500       X      X 28-5284    16500
0                COLUMN TOTAL                              22,274,289
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 179 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SOUTH JERSEY INDS INC        COM           838518108        406,645       9,940       X        28-5284     8818              1122
                                                            1,034,205      25,280       X      X 28-5284    25280

  SOUTHERN CO                  COM           842587107      9,489,801     311,141       X        28-5284   229968      1450   79723
                                                           10,038,587     329,134       X      X 28-5284   258081     56000   15053
                                                              603,656      19,792       X        28-1500              19792
                                                              300,059       9,838       X        28-4580     8038              1800
                                                              305,000      10,000       X      X 28-4580     6500              3500

  SOUTHERN CMNTY BK & TR CMWTH COM           842627101        368,000      32,000       X      X 28-5284    32000

  SOUTHERN CMNTY BK & TR CMWTH *W EXP
                                09/27/2      842627119         21,000      12,000       X      X 28-5284    12000

  SOUTHERN PAC PETE NL         SPONS ADR
                                NEW          843581406              0         626       X        28-5284      626

  SOUTHERN PERU COPPER CORP    COM           843611104        286,184       7,075       X      X 28-5284     7075

  SOUTHERN UN CO NEW           COM           844030106        205,551      10,847       X        28-5284    10847
                                                               46,522       2,455       X      X 28-5284     2370        85

  SOUTHSIDE BANCSHARES INC     COM           84470P109        107,946       5,788       X      X 28-5284     5788

  SOUTHTRUST CORP              COM           844730101     13,728,499     413,883       X        28-5284   378163             35720
                                                              240,118       7,239       X      X 28-5284     4639              2600

  SOUTHWEST AIRLS CO           COM           844741108        636,437      44,788       X        28-5284    42145              2643
                                                              553,579      38,957       X      X 28-5284    26889      6656    5412
                                                               32,328       2,275       X      X 28-1500     2275
                                                               99,996       7,037       X      X 28-4580     4000      3037

  SOUTHWEST BANCORPORATION TEX COM           84476R109          3,773         100       X      X 28-5284      100

  SOUTHWEST WTR CO             COM           845331107         79,081       5,785       X        28-5284               5785
                                                               73,449       5,373       X      X 28-5284     5373
                                                                8,202         600       X      X 28-1500      600

  SOUTHWESTERN ENERGY CO       COM           845467109        192,960       8,000       X      X 28-5284     8000
                                                               72,360       3,000       X      X 28-4580     3000

  SOVEREIGN BANCORP INC        COM           845905108        780,695      36,447       X        28-5284    36447
                                                              966,278      45,111       X      X 28-5284    15367     21944    7800
                                                               10,710         500       X      X 28-4580      500
0                COLUMN TOTAL                              40,691,621
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 180 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SPARTECH CORP                COM NEW       847220209         74,700       3,000       X        28-5284     3000

  SPECTRUM CTL INC             COM           847615101            804         100       X        28-5284      100

  SPINNAKER EXPL CO            COM           84855W109         17,960         500       X        28-5284      500
                                                                3,592         100       X      X 28-5284      100

  SPORTSLINE COM INC           COM           848934105            665         500       X      X 28-5284                        500

  SPRINT CORP                  COM FON
                                GROUP        852061100      2,565,161     139,184       X        28-5284   130298      6700    2186
                                                            5,412,541     293,681       X      X 28-5284   130844    152907    9930
                                                               12,643         686       X        28-4580      686
                                                               17,029         924       X      X 28-4580      924

  SPRINT CORP                  PCS COM
                                SER 1        852061506      2,383,370     259,062       X        28-5284   194202      2710   62150
                                                            1,199,413     130,371       X      X 28-5284    88363     39008    3000

  STAAR SURGICAL CO            COM PAR
                                $0.01        852312305             36           4       X        28-1500        4

  STANCORP FINL GROUP INC      COM           852891100          3,393          52       X        28-5284       52

  STANDARD MICROSYSTEMS CORP   COM           853626109          2,539          95       X        28-5284       95
                                                               95,159       3,560       X      X 28-5284                       3560

  STANDARD MTR PRODS INC       COM           853666105         39,200       2,500       X      X 28-5284                       2500

  STANDARD REGISTER CO         COM           853887107         54,742       3,415       X      X 28-5284      415              3000

  STANDEX INTL CORP            COM           854231107         21,600         800       X        28-5284      800

  STANLEY WKS                  COM           854616109        165,385       3,875       X        28-5284     3275       600
                                                               48,228       1,130       X      X 28-5284      780       350

  STAPLES INC                  COM           855030102        468,015      18,484       X        28-5284    18034               450
                                                            2,550,762     100,741       X      X 28-5284    82945      3586   14210
                                                              161,111       6,363       X      X 28-1500     6363

  STAR GAS PARTNERS L P        UNIT LTD
                                PARTN        85512C105         30,612       1,200       X        28-5284     1200
                                                              205,738       8,065       X      X 28-1500     8065
0                COLUMN TOTAL                              15,534,398
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 181 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  STARBUCKS CORP               COM           855244109        344,655       9,101       X        28-5284     7301              1800
                                                              151,480       4,000       X      X 28-5284     3000      1000
                                                              117,776       3,110       X      X 28-1500     3110
                                                               16,133         426       X      X 28-4580                        426

  STARTEK INC                  COM           85569C107          3,634         100       X      X 28-1500      100

  STATE AUTO FINL CORP         COM           855707105          2,581         100       X        28-5284      100
                                                               41,296       1,600       X      X 28-5284                       1600

  STARWOOD HOTELS&RESORTS WRLD PAIRED CTF    85590A203        188,123       4,645       X        28-5284     4645
                                                              121,500       3,000       X      X 28-5284     1492        78    1430

  STATE STR CORP               COM           857477103      6,426,534     123,279       X        28-5284   118469      4740      70
                                                           16,384,772     314,306       X      X 28-5284   282680     20296   11330
                                                               53,850       1,033       X        28-4580     1033
                                                              437,892       8,400       X      X 28-4580     2400      6000

  STATION CASINOS INC          COM           857689103        295,939       6,700       X      X 28-5284                       6700

  STEAK N SHAKE CO             COM           857873103         46,200       2,400       X        28-5284     2400

  STEEL DYNAMICS INC           COM           858119100         29,736       1,200       X        28-5284     1200
                                                              681,450      27,500       X      X 28-5284    27500

  STEEL TECHNOLOGIES INC       COM           858147101          1,932         100       X      X 28-5284      100
                                                                2,550         132       X        28-1500      132

  STEELCASE INC                CL A          858155203         71,500       5,500       X        28-5284                       5500

  STEINWAY MUSICAL INSTRS INC  COM ORD       858495104        112,175       3,500       X        28-5284                       3500
                                                              112,175       3,500       X      X 28-5284                       3500

  STEPAN CO                    COM           858586100         27,408       1,200       X      X 28-5284                       1200

  STERLING BANCSHARES INC      COM           858907108         10,043         750       X        28-5284      750
                                                               33,475       2,500       X      X 28-5284                       2500

  STERICYCLE INC               COM           858912108         28,776         600       X        28-5284      600

  STERIS CORP                  COM           859152100         78,174       3,030       X        28-5284     3030
                                                                7,740         300       X      X 28-5284      100               200
0                COLUMN TOTAL                              25,829,499
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 182 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  STERLING FINL CORP           COM           859317109         96,413       3,750       X        28-5284     3750

  STET HELLAS COMMUNICATIONS S ADR           859823106         10,200         500       X        28-5284      500

  STEWART ENTERPRISES INC      CL A          860370105          8,724       1,200       X        28-5284     1200
                                                               59,614       8,200       X      X 28-5284                       8200

  STEWART INFORMATION SVCS COR COM           860372101          4,637         118       X      X 28-5284      118

  STILLWATER MNG CO            COM           86074Q102          7,850         500       X        28-5284      500

  STONE ENERGY CORP            COM           861642106         19,289         390       X        28-5284      390
                                                              103,866       2,100       X      X 28-5284      400              1700

  STORA ENSO CORP              SPON ADR
                                REP R        86210M106        192,381      15,208       X        28-5284    15208

  STORAGE TECHNOLOGY CORP      COM PAR
                                $0.10        862111200      1,183,860      42,539       X        28-5284    42539
                                                               16,698         600       X      X 28-5284      600

  STRATEGIC DIAGNOSTICS INC    COM           862700101         15,800       4,000       X        28-5284     4000
                                                                1,343         340       X      X 28-5284      340

  STRATEX NETWORKS INC         COM           86279T109         54,625      11,500       X      X 28-5284    11500

  STRATTEC SEC CORP            COM           863111100        274,809       4,340       X        28-5284     4340
                                                               29,191         461       X      X 28-5284      461

  STRATUS PPTYS INC            COM NEW       863167201          1,055          80       X      X 28-5284                         80

  STRAYER ED INC               COM           863236105            585           5       X        28-5284        5
                                                               58,480         500       X      X 28-5284      500
                                                                4,912          42       X      X 28-4580       42

  STREETTRACKS SER TR          WILSHIRE
                                REIT         86330E604        813,746       4,908       X        28-5284     3448              1460
                                                              759,861       4,583       X      X 28-5284     4078               505

  STRIDE RITE CORP             COM           863314100         31,830       3,000       X      X 28-5284                       3000

  STRYKER CORP                 COM           863667101     69,930,821     789,911       X        28-5284   723005     15106   51800
                                                           29,529,093     333,549       X      X 28-5284   227999     86694   18856
                                                            1,094,054      12,358       X        28-4580    11934               424
                                                              260,013       2,937       X      X 28-4580     2145       630     162
0                COLUMN TOTAL                             104,563,750
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 183 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  STURGIS BANCORP INC          COM           864087101         27,430       2,078       X        28-1500     2078

  STURM RUGER & CO INC         COM           864159108          5,404         400       X        28-5284      400
                                                               30,938       2,290       X      X 28-5284     2290

  SUBURBAN PROPANE PARTNERS L  UNIT LTD
                                PARTN        864482104         33,840       1,000       X        28-5284     1000
                                                               29,779         880       X        28-1500                880

  SUMMIT AMER TELEVISION INC   COM           86600T109            404         100       X      X 28-5284      100
                                                               20,414       5,053       X      X 28-1500     5053

  SUMMIT PPTYS INC             COM           866239106         38,160       1,600       X      X 28-5284               1600

  SUN BANCORP INC              COM           86663B102     10,777,496     426,325       X        28-1500   426325

  SUN INC                      SDCV
                                6.750% 6     866762AG2      1,450,000      10,000       X      X 28-5284    10000

  SUN LIFE FINL INC            COM           866796105      2,649,712      98,649       X        28-5284    85574             13075
                                                              133,978       4,988       X      X 28-5284     4336       652

  SUN MICROSYSTEMS INC         COM           866810104      1,683,421     403,698       X        28-5284   395223      3000    5475
                                                              940,322     225,497       X      X 28-5284    98048     64003   63446
                                                               19,324       4,634       X        28-1500               4634
                                                                3,670         880       X        28-4580      880
                                                                7,089       1,700       X      X 28-4580     1700

  SUNCOR ENERGY INC            COM           867229106        463,583      16,950       X        28-5284    14950              2000
                                                              101,742       3,720       X      X 28-5284                       3720
                                                               13,675         500       X        28-1500                500
                                                                2,735         100       X      X 28-4580      100

  SUNGARD DATA SYS INC         COM           867363103     39,164,163   1,429,349       X        28-5284  1306840     22633   99876
                                                           15,288,707     557,982       X      X 28-5284   337645    195712   24625
                                                              451,716      16,486       X        28-4580    15956               530
                                                              181,717       6,632       X      X 28-4580     4662      1970

  SUNOCO LOGISTICS PRTNRS L P  COM UNITS     86764L108        277,104       6,900       X      X 28-5284               6900

  SUNOCO INC                   COM           86764P109        479,141       7,681       X        28-5284     7681
                                                            1,647,768      26,415       X      X 28-5284    17237      8368     810

  SUNRISE SENIOR LIVING INC    COM           86768K106         35,850       1,000       X      X 28-5284                       1000
0                COLUMN TOTAL                              75,959,282
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 184 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SUNTRUST BKS INC             COM           867914103      3,586,301      51,446       X        28-5284    49476              1970
                                                            4,963,491      71,202       X      X 28-5284    50714     16835    3653
                                                                3,486          50       X        28-4580       50

  SUPERCONDUCTOR TECHNOLOGIES  COM           867931107            690         300       X        28-5284      300
                                                               13,800       6,000       X      X 28-5284                       6000

  SUPERIOR INDS INTL INC       COM           868168105          3,544         100       X        28-5284      100
                                                              116,952       3,300       X      X 28-5284      200              3100

  SUPERIOR UNIFORM GP INC      COM           868358102          2,624         160       X        28-5284      160

  SUPERVALU INC                COM           868536103         93,361       3,057       X        28-5284                       3057
                                                               46,268       1,515       X      X 28-5284      100              1415

  SURMODICS INC                COM           868873100         97,977       4,921       X      X 28-5284     4000               921

  SUSQUEHANNA BANCSHARES INC P COM           869099101         31,458       1,225       X        28-5284     1225
                                                              376,084      14,645       X      X 28-5284     6245      8400

  SWIFT ENERGY CO              COM           870738101          7,540         400       X      X 28-5284      400

  SWISS HELVETIA FD INC        COM           870875101         39,450       3,000       X        28-5284                       3000
                                                              183,114      13,925       X      X 28-5284              10925    3000

  SYBASE INC                   COM           871130100          4,324         206       X        28-5284      206
                                                               44,079       2,100       X      X 28-5284                       2100

  SYBRON DENTAL SPECIALTIES IN COM           871142105         18,149         666       X        28-5284                        666

  SYCAMORE NETWORKS INC        COM           871206108            122          30       X        28-5284       30

  SYLVAN LEARNING SYS INC      COM           871399101         80,753       2,300       X      X 28-5284                       2300
                                                                5,653         161       X      X 28-4580      161

  SYMANTEC CORP                COM           871503108      2,256,153      48,729       X        28-5284    48729
                                                              593,103      12,810       X      X 28-5284     7800      2900    2110
                                                              211,128       4,560       X        28-1500     4560

  SYMBOL TECHNOLOGIES INC      COM           871508107         56,580       4,100       X        28-5284     4100
                                                              132,963       9,635       X      X 28-5284     6245              3390
                                                               20,948       1,518       X      X 28-1500     1518
0                COLUMN TOTAL                              12,990,095
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 185 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  SYMS CORP                    COM           871551107          1,598         200       X        28-5284      200

  SYNGENTA AG                  SPONSORED
                                ADR          87160A100          3,925         272       X        28-5284      272

  SYNOVUS FINL CORP            COM           87161C105     38,042,268   1,555,921       X        28-5284  1192124      1000  362797
                                                            4,678,801     191,362       X      X 28-5284   180325             11037
                                                            1,985,267      81,197       X        28-1500    56218     24979

  SYNTEL INC                   COM           87162H103        413,850      15,000       X      X 28-5284    15000

  SYPRIS SOLUTIONS INC         COM           871655106        268,209      15,777       X        28-1500    11177      4600

  SYSCO CORP                   COM           871829107     82,257,458   2,106,465       X        28-5284  1954886     14070  137509
                                                           18,683,512     478,451       X      X 28-5284   269566    150728   58157
                                                               70,485       1,805       X      X 28-1500     1805
                                                              987,535      25,289       X        28-4580    24251              1038
                                                              758,781      19,431       X      X 28-4580    13242      5930     259

  TBC CORP                     COM           872180104         26,433         900       X      X 28-5284                        900

  TCF FINL CORP                COM           872275102        485,165       9,500       X        28-5284     9500
                                                               61,284       1,200       X      X 28-5284      500               700

  TC PIPELINES LP              UT COM LTD
                                PRT          87233Q108         54,675       1,500       X        28-5284     1500
                                                              145,800       4,000       X      X 28-5284     4000

  TCW CONV SECS FD INC         COM           872340104          6,786       1,371       X      X 28-5284     1371

  TDK CORP                     AMERN DEP
                                SH           872351408          5,759          76       X        28-5284       76

  TECO ENERGY INC              COM           872375100        349,540      23,892       X        28-5284    19092      3600    1200
                                                            1,190,941      81,404       X      X 28-5284    26518     44386   10500
                                                               24,140       1,650       X        28-1500               1650

  TEL OFFSHORE TR              UNIT BEN
                                INT          872382106            600         100       X      X 28-5284                100

  TEPPCO PARTNERS L P          UT LTD
                                PARTNER      872384102        479,507      11,425       X        28-5284     9825              1600
                                                              281,199       6,700       X      X 28-5284               6700
                                                               15,949         380       X      X 28-1500      380

  THQ INC                      COM NEW       872443403         14,667         725       X        28-1500       53       672

  TIB FINL CORP                COM           872449103        222,673      10,205       X      X 28-5284    10205
0                COLUMN TOTAL                             151,516,807
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 186 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TJX COS INC NEW              COM           872540109     47,319,163   1,926,676       X        28-5284  1834298     11465   80913
                                                            9,556,419     389,105       X      X 28-5284   247975    117160   23970
                                                              757,750      30,853       X        28-4580    29941               912
                                                              146,181       5,952       X      X 28-4580     5562       390

  TLC VISION CORP              COM           872549100         45,880       4,000       X      X 28-5284                       4000

  TRC COS INC                  COM           872625108          2,788         149       X      X 28-5284      149

  TXU CORP                     COM           873168108        305,458      10,658       X        28-5284     9058              1600
                                                              919,728      32,091       X      X 28-5284    19340     12451     300
                                                               63,912       2,230       X      X 28-1500     2230
                                                                1,892          66       X      X 28-4580       66

  TAIWAN SEMICONDUCTOR MFG LTD SPONSORED
                                ADR          874039100         85,253       8,166       X        28-5284     8166
                                                              173,137      16,584       X      X 28-5284    16584
                                                              176,854      16,940       X      X 28-1500    16940

  TAKE-TWO INTERACTIVE SOFTWAR COM           874054109         96,574       2,625       X        28-5284     2625
                                                               66,259       1,801       X      X 28-5284      201              1600

  TALBOTS INC                  COM           874161102          3,578         100       X      X 28-5284      100

  TALISMAN ENERGY INC          COM           87425E103        115,581       1,960       X        28-5284     1960

  TALX CORP                    COM           874918105          4,390         200       X      X 28-1500      200

  TANGER FACTORY OUTLET CTRS I COM           875465106          9,064         200       X        28-5284      200
                                                              552,904      12,200       X      X 28-5284    10500      1100     600

  TARGET CORP                  COM           87612E106    168,104,143   3,732,330       X        28-5284  2733184      3282  995864
                                                            9,756,970     216,629       X      X 28-5284   158844     47825    9960
                                                              547,776      12,162       X        28-1500              12162
                                                              331,945       7,370       X        28-4580     7370
                                                            1,324,176      29,400       X      X 28-4580    29400

  TASER INTL INC               COM           87651B104         23,505         300       X        28-5284      300

  TASTY BAKING CO              COM           876553306         33,244       3,375       X        28-5284     3375
                                                                7,388         750       X      X 28-5284      750

  TAUBMAN CTRS INC             COM           876664103        124,340       4,940       X      X 28-5284                       4940
0                COLUMN TOTAL                             240,656,252
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 187 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TECH DATA CORP               COM           878237106          2,620          64       X        28-5284       64
                                                               32,629         797       X      X 28-5284                        797

  TECHNITROL INC               COM           878555101         43,240       2,300       X      X 28-5284      900              1400

  TECHNOLOGY SOLUTIONS CO      COM           87872T108          2,200       2,000       X      X 28-5284     2000

  TECUMSEH PRODS CO            CL B          878895101         92,993       2,250       X        28-5284     2250

  TECUMSEH PRODS CO            CL A          878895200        244,180       5,800       X        28-5284     5800
                                                               50,520       1,200       X      X 28-5284                       1200

  TEKELEC                      COM           879101103         16,590       1,000       X      X 28-1500     1000

  TEKTRONIX INC                COM           879131100         19,626         600       X        28-5284      600
                                                                2,421          74       X      X 28-5284       74

  TELE CENTRO OESTE CELULAR S  SPON ADR
                                PFD          87923P105        103,410       9,000       X      X 28-5284     9000

  TELE NORTE LESTE PART S A    SPON ADR
                                PFD          879246106             26           2       X      X 28-1500        2

  TELECOM HLDRS TR             DEPOSITRY
                                RCPT         87927P200          2,767         100       X      X 28-5284      100

  TELECOM ITALIA S P A NEW     SPON ADR
                                ORD          87927Y102          1,326          42       X        28-5284       42

  TELECOM CORP NEW ZEALAND LTD SPONSORED
                                ADR          879278208        121,953       3,900       X      X 28-5284     3900

  TELEDYNE TECHNOLOGIES INC    COM           879360105            524          28       X      X 28-5284                         28

  TELEFLEX INC                 COM           879369106      8,374,072     170,101       X        28-5284   103343       100   66658
                                                            4,216,943      85,658       X      X 28-5284    70158      4500   11000
                                                              500,915      10,175       X      X 28-1500    10175

  TELEFONICA S A               SPONSORED
                                ADR          879382208        360,768       7,922       X        28-5284     6922              1000
                                                              494,200      10,852       X      X 28-5284    10852
                                                              125,007       2,745       X      X 28-4580     2745

  TELEFONOS DE MEXICO S A      SPON ADR
                                A SHS        879403707         63,741       1,830       X        28-5284     1830

  TELEFONOS DE MEXICO S A      SPON ADR
                                ORD L        879403780        117,158       3,356       X        28-5284     3356
                                                               34,910       1,000       X      X 28-5284     1000
                                                               15,360         440       X      X 28-1500      440
0                COLUMN TOTAL                              15,040,099
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 188 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TELEPHONE & DATA SYS INC     COM           879433100         42,522         600       X        28-5284      600
                                                              290,921       4,105       X      X 28-5284      100              4005

  TELIK INC                    COM           87959M109        120,780       4,500       X      X 28-5284                       4500

  TELLABS INC                  COM           879664100         18,879       2,180       X        28-5284     1580               600
                                                                9,613       1,110       X      X 28-5284      550               560
                                                                5,785         668       X      X 28-1500      668

  TELULAR CORP                 COM NEW       87970T208         28,980       2,000       X        28-5284     2000

  TEMPLE INLAND INC            COM           879868107         79,808       1,260       X        28-5284     1260
                                                              163,417       2,580       X      X 28-5284     1060              1520

  TEMPLETON DRAGON FD INC      COM           88018T101         18,899       1,224       X        28-5284     1224
                                                              169,840      11,000       X      X 28-5284    11000

  TEMPLETON EMERGING MKTS FD I COM           880191101         81,410       5,713       X      X 28-5284     4300              1413

  TEMPLETON EMERG MKTS INCOME  COM           880192109         65,706       4,700       X        28-5284     4700
                                                              133,425       9,544       X      X 28-5284     8544      1000

  TEMPLETON GLOBAL INCOME FD I COM           880198106         91,336      10,059       X        28-5284    10059
                                                               22,700       2,500       X      X 28-5284     2500

  TEMPLETON RUS AND EAST EUR F COM           88022F105         27,390         600       X        28-5284      600

  TEMPUR PEDIC INTL INC        COM           88023U101         15,640       1,000       X        28-5284     1000

  TENET HEALTHCARE CORP        COM           88033G100         43,078       3,860       X        28-5284     3860
                                                               31,270       2,802       X      X 28-5284     2802

  TENNANT CO                   COM           880345103         15,868         400       X      X 28-1500      400

  TENNECO AUTOMOTIVE INC       COM           880349105          2,068         163       X      X 28-5284      147        16

  TERADYNE INC                 COM           880770102        469,427      19,699       X        28-5284    14299      1200    4200
                                                              183,634       7,706       X      X 28-5284     2200      1306    4200
                                                               42,894       1,800       X        28-4580     1800
                                                              152,512       6,400       X      X 28-4580     6400

  TEREX CORP NEW               COM           880779103         86,880       2,350       X        28-5284     2350
0                COLUMN TOTAL                               2,414,682
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 189 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TESORO PETE CORP             COM           881609101         63,886       3,400       X      X 28-5284      400              3000
                                                                3,758         200       X      X 28-4580      200

  TETRA TECH INC NEW           COM           88162G103         85,840       4,000       X        28-5284     4000

  TEVA PHARMACEUTICAL INDS LTD ADR           881624209     23,268,006     367,177       X        28-5284   345585      7018   14574
                                                            8,856,148     139,753       X      X 28-5284    64905     36437   38411
                                                              352,274       5,559       X        28-4580     5305               254
                                                               87,958       1,388       X      X 28-4580     1388

  TESSERA TECHNOLOGIES INC     COM           88164L100        128,733       7,050       X        28-5284     7050

  TEXAS GENCO HLDGS INC        COM           882443104          7,758         217       X        28-5284      217
                                                               24,703         691       X      X 28-5284      421       270
                                                               13,800         386       X      X 28-4580      386

  TEXAS INDS INC               COM           882491103        253,050       7,000       X      X 28-5284     7000

  TEXAS INSTRS INC             COM           882508104     33,648,408   1,151,554       X        28-5284   842507     61275  247772
                                                           26,318,775     900,711       X      X 28-5284   749769    127867   23075
                                                               78,193       2,676       X      X 28-1500     2676
                                                              178,973       6,125       X        28-4580     6125
                                                            1,517,541      51,935       X      X 28-4580      525       840   50570

  TEXAS PAC LD TR              SUB CTF
                                PROP I       882610108         11,013         175       X      X 28-5284      175

  TEXAS REGL BANCSHARES INC    CL A VTG      882673106         76,590       1,800       X      X 28-5284     1800

  TEXAS UTD BANCSHARES INC     COM           882838105        189,800      10,000       X      X 28-5284    10000

  THAI FD INC                  COM           882904105         28,080       3,000       X        28-5284     3000

  TEXTRON INC                  COM           883203101        388,952       7,318       X        28-5284     7318
                                                            1,809,332      34,042       X      X 28-5284     3549      5432   25061

  TEXTRON INC                  PFD CONV
                                $2.08        883203200         40,000         200       X        28-5284      200

  THERASENSE INC               COM           883381105          5,392         200       X        28-5284      200

  THERMO ELECTRON CORP         COM           883556102         39,592       1,400       X        28-5284                       1400
                                                                3,535         125       X      X 28-5284      125
                                                               12,500         442       X      X 28-4580      442
0                COLUMN TOTAL                              97,492,590
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 190 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  THOMAS & BETTS CORP          COM           884315102      1,131,629      51,862       X        28-5284    51862
                                                              103,492       4,743       X      X 28-5284     1973              2770

  THOMAS INDS INC              COM           884425109        388,301      12,327       X        28-5284    12327
                                                            1,410,633      44,782       X      X 28-5284    44782

  THOR INDS INC                COM           885160101         32,232       1,200       X        28-5284     1200

  THORATEC CORP                COM NEW       885175307          3,738         300       X        28-5284      300
                                                                8,722         700       X      X 28-5284      700

  THORNBURG MTG INC            COM           885218107        124,400       4,000       X        28-5284     4000
                                                              136,840       4,400       X      X 28-5284     2900      1100     400
                                                               18,660         600       X      X 28-1500      600
                                                               11,320         364       X      X 28-4580      364

  3COM CORP                    COM           885535104          7,554       1,070       X        28-5284      470               600
                                                              102,476      14,515       X      X 28-5284     3475             11040
                                                               24,082       3,411       X        28-1500     3411

  THREE FIVE SYS INC           COM           88554L108         17,449       2,664       X      X 28-5284               2664

  3M CO                        COM           88579Y101    130,831,125   1,598,035       X        28-5284  1458226     32517  107292
                                                          117,062,147   1,429,854       X      X 28-5284   806839    513141  109874
                                                            2,113,638      25,817       X        28-1500    16320      9497
                                                            4,843,839      59,165       X        28-4580    59165
                                                            7,064,480      86,289       X      X 28-4580    80333      1200    4756

  TIBCO SOFTWARE INC           COM           88632Q103          1,315         161       X        28-5284      161

  TIDEWATER INC                COM           886423102        145,151       5,160       X        28-5284     5160

  TIERONE CORP                 COM           88650R108         18,768         800       X        28-5284      800

  TIFFANY & CO NEW             COM           886547108        395,060      10,350       X        28-5284     5050              5300
                                                              921,806      24,150       X      X 28-5284    17100       150    6900
                                                               19,314         506       X      X 28-1500      506

  TIME WARNER INC              COM           887317105     10,306,316     611,288       X        28-5284   558375      6700   46213
                                                            4,764,130     282,570       X      X 28-5284   165293     75902   41375
                                                              402,499      23,873       X      X 28-1500    23873
                                                               97,535       5,785       X        28-4580     5785
                                                               25,290       1,500       X      X 28-4580     1500
0                COLUMN TOTAL                             282,533,941
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 191 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TIMKEN CO                    COM           887389104          9,571         412       X        28-5284      412
                                                               41,721       1,796       X      X 28-5284     1700        96

  TITAN PHARMACEUTICALS INC DE COM           888314101          2,379         474       X      X 28-5284      474

  TITANIUM METALS CORP         COM NEW       888339207         19,940         200       X        28-5284      200

  TIVO INC                     COM           888706108         23,736       2,670       X        28-5284     2670
                                                               82,677       9,300       X      X 28-5284                       9300

  TOLL BROTHERS INC            COM           889478103        472,926      10,410       X        28-5284    10410
                                                            2,376,034      52,301       X      X 28-5284     3342             48959

  TOLLGRADE COMMUNICATIONS INC COM           889542106        113,316       7,100       X        28-5284     7100
                                                               61,446       3,850       X      X 28-5284     1050              2800

  TOMKINS PLC                  SPONSORED
                                ADR          890030208            805          41       X        28-5284       41

  TOMPKINSTRUSTCO INC          COM           890110109         10,010         220       X        28-5284                        220

  TOO INC                      COM           890333107            880          42       X        28-5284       42

  TOOTSIE ROLL INDS INC        COM           890516107      2,685,990      73,468       X        28-5284    45167             28301
                                                              124,999       3,419       X      X 28-5284     2194              1225

  TOPPS INC                    COM           890786106          9,550       1,000       X        28-5284     1000

  TORCHMARK CORP               COM           891027104        389,978       7,250       X        28-5284     7250
                                                               62,934       1,170       X      X 28-5284     1170

  TORO CO                      COM           891092108         12,400         200       X        28-5284      200
                                                               97,960       1,580       X      X 28-5284     1080               500

  TOTAL S A                    SPONSORED
                                ADR          89151E109      1,546,244      16,807       X        28-5284    15407              1400
                                                              848,332       9,221       X      X 28-5284     6741              2480
                                                                2,392          26       X        28-1500                 26
                                                               46,920         510       X        28-4580      510
                                                               25,760         280       X      X 28-4580      280

  TOWN & CTRY TR               SH BEN INT    892081100         90,658       3,333       X        28-5284     3333
0                COLUMN TOTAL                               9,159,558
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 192 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TOYOTA MOTOR CORP            SP ADR
                                REP2COM      892331307        289,209       3,882       X        28-5284     3882
                                                              445,138       5,975       X      X 28-5284     5700       275
                                                              856,750      11,500       X      X 28-1500    11500

  TOYS R US INC                COM           892335100          6,972         415       X        28-5284      415
                                                                5,863         349       X      X 28-5284      150               199
                                                               50,400       3,000       X      X 28-1500     3000

  TPG N V                      SPONSORED
                                ADR          892339102          1,293          61       X        28-5284       61

  TRACTOR SUPPLY CO            COM           892356106         15,488         400       X        28-5284      400
                                                              506,845      13,090       X      X 28-5284    11250              1840
                                                              131,648       3,400       X      X 28-1500     3400

  TRANSACTION SYS ARCHITECTS   CL A          893416107         60,164       2,600       X        28-5284     2600
                                                               18,512         800       X      X 28-5284                        800

  TRANSAMERICA INCOME SHS INC  COM           893506105          9,848         400       X      X 28-5284      400

  TRANSATLANTIC HLDGS INC      COM           893521104        161,339       1,850       X        28-5284     1850

  TRANSCANADA CORP             COM           89353D107        245,100      11,400       X        28-5284    11400

  TRANSKARYOTIC THERAPIES INC  COM           893735100          1,720         100       X      X 28-5284      100

  TRANSMETA CORP DEL           COM           89376R109         62,057      15,671       X      X 28-5284                      15671
                                                               75,240      19,000       X      X 28-1500    19000

  TRAVELERS PPTY CAS CORP NEW  CL A          89420G109        494,657      28,843       X        28-5284    27768       737     338
                                                              370,920      21,628       X      X 28-5284    15852      3165    2611
                                                                  223          13       X      X 28-1500       13
                                                                1,544          90       X        28-4580       90
                                                                5,831         340       X      X 28-4580      340

  TRAVELERS PPTY CAS CORP NEW  NT CV JR
                                2032         89420G307        215,600       8,818       X        28-5284     8818
                                                                9,927         406       X      X 28-5284                406

  TRAVELERS PPTY CAS CORP NEW  CL B          89420G406     37,297,294   2,159,658       X        28-5284  2072889      9215   77554
                                                            9,211,231     533,366       X      X 28-5284   374969    115156   43241
                                                              173,166      10,027       X      X 28-1500    10027
                                                              545,697      31,598       X        28-4580    30361              1237
                                                              112,307       6,503       X      X 28-4580     5469       658     376
0                COLUMN TOTAL                              51,381,983
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 193 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TREDEGAR CORP                COM           894650100         19,751       1,350       X        28-5284     1350
                                                               17,556       1,200       X      X 28-4580               1200

  TRI CONTL CORP               COM           895436103        202,891      11,796       X        28-5284     8700              3096
                                                              184,728      10,740       X      X 28-5284     1800      5845    3095

  TRIAD HOSPITALS INC          COM           89579K109         48,110       1,561       X        28-5284     1530                31
                                                               48,634       1,578       X      X 28-5284       78              1500

  TRIDENT MICROSYSTEMS INC     COM           895919108         23,925       1,500       X        28-5284     1500

  TRIAD GTY INC                COM           895925105         13,662         259       X      X 28-5284                259

  TRIBUNE CO NEW               COM           896047107      2,383,694      47,258       X        28-5284    43958              3300
                                                              970,516      19,241       X      X 28-5284    14591      1000    3650

  TRICO BANCSHARES             COM           896095106         82,236       2,200       X      X 28-5284                       2200

  TRINITY INDS INC             COM           896522109        139,000       5,000       X        28-5284     5000
                                                               11,593         417       X      X 28-5284      417

  TRINTECH GROUP PLC           SPONS ADR
                                NEW          896682200          6,763       1,250       X        28-5284     1250

  TRIQUINT SEMICONDUCTOR INC   COM           89674K103            730         100       X      X 28-5284      100

  TRITON PCS HLDGS INC         CL A          89677M106         27,450       5,000       X        28-5284     5000

  TRIUMPH GROUP INC NEW        COM           896818101         19,830         600       X        28-5284      600

  TRIZEC PROPERTIES INC        COM           89687P107         13,720         800       X        28-5284      800

  TRIPATH IMAGING INC          COM           896942109          9,160       1,000       X        28-5284                       1000

  TROVER SOLUTIONS INC         COM           897249108        456,895      65,835       X        28-1500    65835

  TRUMP HOTELS & CASINO RESORT COM           898168109          2,400       1,000       X        28-5284     1000

  TRUST CO NJ JERSEY CITY NEW  COM           898304100         28,725         692       X        28-5284      692

  TRUSTCO BK CORP N Y          COM           898349105          9,422         700       X        28-5284      700
                                                               49,398       3,670       X      X 28-5284     3670
0                COLUMN TOTAL                               4,770,789
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 194 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  TRUSTMARK CORP               COM           898402102         58,040       2,000       X        28-5284     2000
                                                               85,290       2,939       X      X 28-1500     2939

  TUESDAY MORNING CORP         COM NEW       899035505         10,338         300       X        28-5284      300

  TUPPERWARE CORP              COM           899896104        121,286       6,810       X        28-5284     6810
                                                              104,384       5,861       X      X 28-5284     3662      2199

  TURKCELL ILETISIM HIZMETLERI SPON ADR
                                NEW          900111204        250,250       7,000       X      X 28-5284     7000

  TURKISH INVT FD INC          COM           900145103        310,000      25,000       X        28-5284    25000

  TUTOGEN MEDICAL INC          COM           901107102         43,562      10,372       X        28-5284    10372

  II VI INC                    COM           902104108         66,096       2,700       X        28-5284     2700

  TYCO INTL LTD NEW            COM           902124106      6,825,204     238,227       X        28-5284   170518      1800   65909
                                                            4,948,428     172,720       X      X 28-5284    84234     61268   27218
                                                              784,294      27,375       X      X 28-1500    27375
                                                              157,231       5,488       X        28-4580     5488
                                                            1,540,310      53,763       X      X 28-4580     3113             50650

  TYSON FOODS INC              CL A          902494103         16,714         926       X        28-5284      926
                                                               17,148         950       X      X 28-5284      750       200

  UCBH HOLDINGS INC            COM           90262T308         24,024         600       X      X 28-5284      200               400

  UGI CORP NEW                 COM           902681105        226,523       6,881       X        28-5284     6881
                                                              494,755      15,029       X      X 28-5284     8238      6791

  UIL HLDG CORP                COM           902748102          9,634         200       X        28-5284      200
                                                               21,677         450       X      X 28-5284      450

  UST INC                      COM           902911106        572,438      15,857       X        28-5284    15857
                                                            2,652,736      73,483       X      X 28-5284    57233      2500   13750
                                                               46,930       1,300       X        28-4580     1300

  USA TRUCK INC                COM           902925106         35,414       3,666       X      X 28-1500     3666

  U S RESTAURANT PPTYS INC     COM           902971100          2,811         150       X      X 28-5284                150
0                COLUMN TOTAL                              19,425,517
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 195 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  US BANCORP DEL               COM NEW       902973304     95,501,579   3,453,945       X        28-5284  2980041      7253  466651
                                                           22,247,162     804,599       X      X 28-5284   505882     44310  254407
                                                            4,723,228     170,822       X        28-1500    49193    121629
                                                               88,922       3,216       X        28-4580     3216
                                                               27,650       1,000       X      X 28-4580     1000

  U S G CORP                   COM NEW       903293405         75,329       4,307       X        28-5284     4307
                                                               47,870       2,737       X      X 28-5284     2737

  USEC INC                     COM           90333E108          8,450       1,000       X        28-5284     1000
                                                                8,450       1,000       X      X 28-5284     1000

  U S CONCRETE INC             COM           90333L102          5,373         875       X      X 28-5284      875

  U S PHYSICAL THERAPY INC     COM           90337L108         48,410       3,508       X      X 28-5284      263              3245
                                                                2,760         200       X      X 28-1500      200

  U S XPRESS ENTERPRISES INC   CL A          90338N103         17,244       1,200       X      X 28-5284                       1200

  US ONCOLOGY INC              COM           90338W103        125,715       8,500       X      X 28-5284      100              8400

  ULTRA PETROLEUM CORP         COM           903914109         33,911       1,130       X        28-5284     1130
                                                               23,408         780       X      X 28-1500      780

  UNIFIRST CORP MASS           COM           904708104        137,900       5,000       X        28-5284     5000

  UNILEVER PLC                 SPON ADR
                                NEW          904767704         44,330       1,100       X        28-5284      700       400
                                                              183,325       4,549       X      X 28-5284      471      3564     514
                                                               28,774         714       X      X 28-4580      714

  UNILEVER N V                 N Y SHS
                                NEW          904784709     19,493,197     280,720       X        28-5284   271553      3860    5307
                                                           31,842,406     458,560       X      X 28-5284   354084     89921   14555
                                                               82,425       1,187       X        28-4580     1087               100
                                                               29,790         429       X      X 28-4580      429

  UNION BANKSHARES CORP        COM           905399101        896,272      27,800       X        28-1500    27800

  UNION BANKSHARES INC         COM           905400107         74,550       3,000       X      X 28-5284     3000

  UNION PAC CORP               COM           907818108     57,234,400     956,777       X        28-5284   913380      9680   33717
                                                           16,933,726     283,078       X      X 28-5284   165766     96289   21023
                                                              794,589      13,283       X        28-4580    12876               407
                                                              331,762       5,546       X      X 28-4580     4463      1000      83
0                COLUMN TOTAL                             251,092,907
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 196 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  UNION PLANTERS CORP          COM           908068109      5,495,624     184,108       X        28-5284   167503             16605
                                                              658,193      22,050       X      X 28-5284    21550       500
                                                            4,110,345     137,700       X        28-1500   137700
                                                              230,173       7,711       X      X 28-1500     7711

  UNISYS CORP                  COM           909214108        121,723       8,524       X        28-5284     8524
                                                               90,007       6,303       X      X 28-5284     6303

  UNIT CORP                    COM           909218109         18,920         690       X        28-5284      690
                                                              235,812       8,600       X      X 28-5284     4000              4600

  UNITED BANKSHARES INC WEST V COM           909907107      1,695,770      55,599       X        28-5284    55599
                                                               95,160       3,120       X      X 28-5284     3120

  UNITED BANCORP INC OHIO      COM           909911109         53,657       3,396       X        28-5284     3396

  UNITED DEFENSE INDS INC      COM           91018B104         42,185       1,327       X      X 28-5284      117              1210
                                                               15,895         500       X      X 28-1500      500

  UNITED DOMINION REALTY TR IN COM           910197102        128,786       6,564       X        28-5284     6564
                                                              409,862      20,890       X      X 28-5284     3130     14200    3560

  UNITED NAT FOODS INC         COM           911163103        140,273       2,900       X        28-5284     2900

  UNITED ONLINE INC            COM           911268100        242,073      14,392       X        28-1500    14392

  UNITED PARCEL SERVICE INC    CL B          911312106     94,100,810   1,347,377       X        28-5284  1264637      1175   81565
                                                           44,785,249     641,255       X      X 28-5284   526812     19575   94868
                                                              431,192       6,174       X        28-1500     3935      2239
                                                               82,411       1,180       X        28-4580     1180
                                                               75,427       1,080       X      X 28-4580      780       300

  UNITED RENTALS INC           COM           911363109        147,402       8,295       X      X 28-5284                       8295

  UNITED STATES STL CORP NEW   COM           912909108        151,540       4,066       X        28-5284     4066
                                                              609,625      16,357       X      X 28-5284    16309                48
                                                               13,045         350       X      X 28-1500      350

  UNITED STATIONERS INC        COM           913004107          1,895          45       X      X 28-5284       45
0                COLUMN TOTAL                             154,183,054
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 197 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  UNITED TECHNOLOGIES CORP     COM           913017109     98,996,974   1,147,126       X        28-5284   981904     12660  152562
                                                           65,267,741     756,289       X      X 28-5284   552503    126591   77195
                                                              103,042       1,194       X        28-1500               1194
                                                            2,035,990      23,592       X        28-4580    23143               449
                                                            1,240,994      14,380       X      X 28-4580    12919      1390      71

  UNITED THERAPEUTICS CORP DEL COM           91307C102         11,915         500       X      X 28-5284                        500

  UNITEDHEALTH GROUP INC       COM           91324P102     19,937,478     309,396       X        28-5284   208577      5016   95803
                                                            2,873,960      44,599       X      X 28-5284    27337      7050   10212
                                                               52,970         822       X      X 28-1500      822
                                                            1,024,596      15,900       X        28-4580    15900
                                                                3,222          50       X      X 28-4580                 50

  UNITEDGLOBALCOM              CL A          913247508         54,378       6,405       X        28-5284     6405

  UNITIL CORP                  COM           913259107        617,352      22,271       X        28-5284    22271

  UNITRIN INC                  COM           913275103        545,817      12,723       X        28-5284    11923               800

  UNIVERSAL AMERN FINL CORP    COM           913377107         30,000       2,500       X      X 28-5284      300              2200

  UNIVERSAL COMPRESSION HLDGS  COM           913431102         55,930       1,700       X      X 28-5284                       1700

  UNIVERSAL CORP VA            COM           913456109         19,921         392       X        28-5284      392
                                                               54,377       1,070       X      X 28-5284      470       600

  UNIVERSAL ELECTRS INC        COM           913483103         13,200       1,000       X        28-5284                       1000

  UNIVERSAL FST PRODS INC      COM           913543104         33,781       1,100       X      X 28-5284                       1100

  UNIVERSAL HEALTH RLTY INCM T SH BEN INT    91359E105         33,700       1,000       X        28-5284     1000
                                                              144,910       4,300       X      X 28-5284     3200              1100

  UNIVERSAL HLTH SVCS INC      CL B          913903100         42,108         914       X        28-5284      914
                                                              244,447       5,306       X      X 28-5284                       5306
                                                                4,607         100       X      X 28-1500      100

  UNIVISION COMMUNICATIONS INC CL A          914906102        371,363      11,250       X        28-5284    11250
                                                              444,150      13,455       X      X 28-5284     2400             11055

  UNIVEST CORP PA              COM           915271100        183,225       3,750       X      X 28-5284               3750
0                COLUMN TOTAL                             194,442,148
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 198 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  UNOCAL CORP                  COM           915289102        784,930      21,055       X        28-5284    21055
                                                              773,485      20,748       X      X 28-5284    12130      5324    3294
                                                                9,693         260       X        28-4580      260

  UNOVA INC                    COM           91529B106         54,025       2,500       X      X 28-5284     1000              1500

  UNUMPROVIDENT CORP           COM           91529Y106        508,188      34,736       X        28-5284    23203      4233    7300
                                                               83,391       5,700       X      X 28-5284     5700

  UPM KYMMENE CORP             SPONSORED
                                ADR          915436109          1,441          78       X        28-5284       78

  URBAN OUTFITTERS INC         COM           917047102        355,644       7,400       X      X 28-5284     7400

  URECOATS INDUSTRIES INC      COM NEW       91724E400            294         300       X        28-5284      300

  UROLOGIX INC                 COM           917273104         16,000       2,000       X      X 28-1500     2000

  URSTADT BIDDLE PPTYS INS     COM           917286106          2,970         200       X      X 28-5284      200

  URSTADT BIDDLE PPTYS INS     CL A          917286205         19,800       1,200       X        28-5284     1200
                                                               69,300       4,200       X      X 28-5284     1700              2500

  UTSTARCOM INC                COM           918076100         54,625       1,900       X        28-5284     1900
                                                              207,000       7,200       X      X 28-5284      420       250    6530

  VA SOFTWARE CORP             COM           91819B105          8,550       3,000       X        28-5284     3000

  VCA ANTECH INC               COM           918194101         53,445       1,500       X        28-5284     1500

  V F CORP                     COM           918204108        946,002      20,257       X        28-5284    19257      1000
                                                           40,035,292  22,270,563       X      X 28-5284    39700  22230863

  VAIL RESORTS INC             COM           91879Q109            158          10       X        28-5284       10

  VALASSIS COMMUNICATIONS INC  COM           918866104         47,789       1,572       X        28-5284     1572

  VALHI INC NEW                COM           918905100         21,063       1,669       X        28-5284     1669
                                                                   76           6       X      X 28-5284                  6

  VALERO L P                   COM UT LTD
                                PRT          91913W104         54,700       1,000       X        28-5284     1000
                                                              190,083       3,475       X      X 28-5284     2475      1000
0                COLUMN TOTAL                           1,044,297,944
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 199 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  VALERO ENERGY CORP NEW       COM           91913Y100      1,895,456      31,612       X        28-5284    31612
                                                              651,405      10,864       X      X 28-5284    10864

  VALLEY NATL BANCORP          COM           919794107        769,902      27,526       X        28-5284    27526
                                                              151,653       5,422       X      X 28-5284     5422

  VALSPAR CORP                 COM           920355104         12,308         250       X      X 28-5284      250

  VALUECLICK INC               COM           92046N102         10,800       1,000       X      X 28-5284     1000

  VAN KAMPEN MUN INCOME TR     COM           920909108          9,860       1,000       X      X 28-5284     1000

  VAN KAMPEN MUN TR            SH BEN INT    920919107          3,076         200       X        28-5284      200
                                                                4,614         300       X      X 28-5284      300

  VAN KAMPEN OHIO QUALITY MUN  COM           920923109         43,200       2,500       X        28-5284     2500

  VAN KAMPEN PA QUALITY MUN TR COM           920924107        570,608      33,985       X        28-5284    33985
                                                              520,440      30,997       X      X 28-5284     5300     25697

  VAN KAMPEN TR INSD MUNS      COM           920928108         75,150       4,500       X        28-5284     4500

  VAN KAMPEN TR INVT GRADE MUN COM           920929106         22,323       1,367       X        28-5284                       1367
                                                                8,165         500       X      X 28-5284      500

  VAN KAMPEN TR INVT GRADE N J COM           920933108         28,614       1,603       X        28-5284     1603
                                                               21,956       1,230       X      X 28-5284     1230

  VAN KAMPEN TR INVT GRADE PA  COM           920934106        708,131      42,327       X        28-5284    42327
                                                               52,281       3,125       X      X 28-5284      500      2625

  VAN KAMPEN MUN OPPORTUNITY T COM           920935103         15,624         900       X        28-5284      900
                                                               19,096       1,100       X      X 28-5284     1100

  VAN KAMPEN ADVANTAGE PA MUN  SH BEN INT    920937109         20,508       1,200       X        28-5284     1200

  VAN KAMPEN STRATEGIC SECTOR  COM           920943107         14,663       1,005       X        28-5284     1005

  VAN KAMPEN MUN OPPORTUNITY I COM           920944105         80,460       5,400       X        28-5284     5400

  VAN KAMPEN BD FD             COM           920955101         44,020       2,428       X        28-5284     2428
                                                               14,504         800       X      X 28-5284      800
0                COLUMN TOTAL                               5,768,817
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 200 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  VAN KAMPEN INCOME TR         SH BEN INT    920957107         58,600      10,000       X        28-5284    10000

  VAN KAMPEN SENIOR INCOME TR  COM           920961109         23,188       2,650       X        28-5284     2650

  VAN KAMPEN SELECT SECTOR MUN COM           92112M103         54,320       4,000       X        28-5284     4000

  VAN KAMPEN MASS VALUE MUN IN COM SH BEN
                                INT          92112R102         17,110       1,000       X      X 28-5284               1000

  VAN KAMPEN PA VALUE MUN INCO COM           92112T108         96,635       5,735       X        28-5284     5735

  VAN KAMPEN VALUE MUN INCOME  COM           921132106         19,994       1,300       X      X 28-5284               1300
                                                               56,906       3,700       X      X 28-1500     3700

  VANS INC                     COM           921930103         14,800       1,000       X        28-5284     1000

  VANGUARD SECTOR INDEX FDS    HTH CARE
                                VIPER        92204A504         19,584         400       X      X 28-4580      400

  VANGUARD SECTOR INDEX FDS    UTILS
                                VIPERS       92204A876         25,525         500       X      X 28-4580      500

  VARCO INTL INC DEL           COM           922122106         52,499       2,915       X        28-5284     1490              1425

  VARIAN MED SYS INC           COM           92220P105     49,656,560     575,328       X        28-5284   552685      1170   21473
                                                           10,125,803     117,319       X      X 28-5284    82479     28915    5925
                                                               46,176         535       X      X 28-1500      535
                                                              705,671       8,176       X        28-4580     7935               241
                                                              261,951       3,035       X      X 28-4580     3035

  VARIAN INC                   COM           922206107          3,214          80       X        28-5284       80
                                                               80,340       2,000       X      X 28-5284                200    1800

  VARIAN SEMICONDUCTOR EQUIPMN COM           922207105          3,776          90       X        28-5284       90
                                                                8,392         200       X      X 28-5284                200

  VASOGEN INC                  COM           92232F103         85,540      14,000       X        28-5284    14000

  VASO ACTIVE PHARMACEUTICAL I CL A          92232R107         27,324       3,600       X        28-5284     3600

  VASOMEDICAL INC              COM           922321104            760         500       X      X 28-5284      500

  VCAMPUS CORP                 COM NEW       92240C308        161,349      56,813       X        28-5284    56813
0                COLUMN TOTAL                              61,606,017
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 201 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  VECTREN CORP                 COM           92240G101        477,340      19,349       X        28-5284    16416       400    2533
                                                              277,488      11,248       X      X 28-5284     7441      2476    1331
                                                              158,529       6,426       X      X 28-1500     6426

  VECTOR GROUP LTD             COM           92240M108          4,250         250       X        28-5284      250
                                                              337,977      19,881       X      X 28-5284                      19881

  VEECO INSTRS INC DEL         COM           922417100         14,030         500       X        28-5284      500
                                                              168,360       6,000       X      X 28-5284     6000

  VELCRO INDS N V              COM           922571104            455          35       X        28-5284       35

  VENTAS INC                   COM           92276F100        784,746      28,557       X        28-5284    24206              4351
                                                                2,034          74       X      X 28-5284       74
                                                              535,558      19,489       X        28-1500              19489

  VENTANA MED SYS INC          COM           92276H106        143,360       3,500       X      X 28-5284     3500

  VANGUARD INDEX TR            EXT MKT
                                VIPERS       922908652         59,672         800       X      X 28-5284      800

  VANGUARD INDEX TR            GROWTH
                                VIPERS       922908736         24,585         500       X      X 28-4580      500

  VANGUARD INDEX TR            STK MRK
                                VIPERS       922908769      6,152,683      56,302       X        28-5284    52332      3622     348
                                                            3,057,654      27,980       X      X 28-5284    13901     13612     467

  VERITY INC                   COM           92343C106        108,335       7,925       X      X 28-5284                       7925

  VERISIGN INC                 COM           92343E102          6,636         400       X        28-5284      400
                                                               22,811       1,375       X      X 28-5284       75              1300

  VERIZON COMMUNICATIONS       COM           92343V104     94,300,824   2,580,756       X        28-5284  2414332     85981   80443
                                                          128,241,113   3,509,609       X      X 28-5284  1899112   1175895  434602
                                                              976,130      26,714       X        28-1500              26714
                                                            2,028,153      55,505       X        28-4580    54861               644
                                                            2,159,368      59,096       X      X 28-4580    52665      4272    2159

  VERITAS SOFTWARE CO          COM           923436109     33,376,123   1,240,287       X        28-5284  1160523      7310   72454
                                                            8,845,371     328,702       X      X 28-5284   133211    120452   75039
                                                                2,691         100       X        28-1500                100
                                                              849,387      31,564       X        28-4580    30417              1147
                                                              204,032       7,582       X      X 28-4580     7214               368

  VERMONT TEDDY BEAR INC       COM           92427X109         11,400       2,000       X        28-5284     2000
0                COLUMN TOTAL                             283,331,095
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 202 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  VERSO TECHNOLOGIES INC       COM           925317109             36          22       X        28-5284       22

  VERTEX PHARMACEUTICALS INC   COM           92532F100            885          94       X        28-5284       94

  VERTICALNET INC              COM NEW       92532L206            620         318       X        28-5284      318

  VESTAUR SECS INC             COM           925464109         13,260       1,000       X        28-5284     1000
                                                                3,978         300       X      X 28-5284                300

  VIAD CORP                    COM           92552R109        130,373       5,394       X        28-5284     4194              1200
                                                                1,209          50       X      X 28-5284       50
                                                                4,834         200       X      X 28-4580      200

  VIASAT INC                   COM           92552V100        106,884       4,296       X        28-1500     4296

  VIACOM INC                   CL A          925524100      2,238,478      56,613       X        28-5284    52412      2000    2201
                                                              635,526      16,073       X      X 28-5284    12030      2400    1643
                                                               79,080       2,000       X      X 28-1500     2000

  VIACOM INC                   CL B          925524308     59,525,995   1,518,133       X        28-5284  1362459     14419  141255
                                                           25,535,865     651,259       X      X 28-5284   340674    149755  160830
                                                              108,416       2,765       X        28-1500     2765
                                                              333,716       8,511       X      X 28-1500     8511
                                                            1,203,904      30,704       X        28-4580    30460               244
                                                              675,353      17,224       X      X 28-4580    13692      3227     305

  VIASYS HEALTHCARE INC        COM NEW       92553Q209          4,614         204       X        28-5284                        204

  VICAL INC                    COM           925602104            614         100       X      X 28-5284      100
                                                               19,034       3,100       X      X 28-1500     3100

  VICOR CORP                   COM           925815102         17,178       1,400       X        28-5284     1400

  VICURON PHARMACEUTICALS INC  COM           926471103         15,925         700       X      X 28-5284                        700

  VIGNETTE CORP                COM           926734104          1,186         573       X        28-5284      573

  VIISAGE TECHNOLOGY INC       COM           92675K106         39,750       5,000       X        28-5284     5000

  VINA CONCHA Y TORO S A       SPONSORED
                                ADR          927191106         11,075         250       X      X 28-5284      250

  VINTAGE PETE INC             COM           927460105         14,367         980       X        28-5284      980
                                                               85,028       5,800       X      X 28-5284     1000              4800
0                COLUMN TOTAL                              90,807,183
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 203 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  VION PHARMACEUTICALS INC     COM           927624106          3,960       1,000       X        28-5284     1000

  VIRAGEN INC                  COM           927638106            315       1,500       X        28-5284     1500

  VIROPHARMA INC               COM           928241108            690         300       X        28-5284      300

  VISHAY INTERTECHNOLOGY INC   COM           928298108        429,361      20,120       X        28-5284    20120
                                                              673,746      31,572       X      X 28-5284     4970      4102   22500
                                                               11,417         535       X      X 28-1500      535

  VISTEON CORP                 COM           92839U107         53,927       5,635       X        28-5284     5191       117     327
                                                               31,236       3,264       X      X 28-5284     1287      1398     579
                                                                1,646         172       X        28-4580      172

  VISUAL DATA CORP             COM PAR
                                $.0001       928428309          7,450       2,980       X        28-5284     2980

  VISX INC DEL                 COM           92844S105          9,760         500       X        28-5284      500

  VISUAL NETWORKS INC          COM           928444108          4,649       1,396       X      X 28-5284     1396

  VITESSE SEMICONDUCTOR CORP   COM           928497106        144,414      20,340       X        28-5284    20340
                                                               14,910       2,100       X      X 28-5284     2100
                                                                4,615         650       X      X 28-1500      650

  VIVENDI UNIVERSAL            SPON ADR
                                NEW          92851S204         26,965       1,016       X        28-5284     1016
                                                                5,573         210       X      X 28-1500      210

  VODAFONE GROUP PLC NEW       SPONSORED
                                ADR          92857W100      6,298,917     263,553       X        28-5284   246292     11005    6256
                                                            5,621,543     235,211       X      X 28-5284   143513     59560   32138
                                                               62,618       2,620       X        28-1500               2620
                                                               97,034       4,060       X        28-4580     4060
                                                              117,779       4,928       X      X 28-4580     4738       190

  VOLVO AKTIEBOLAGET           ADR B         928856400          6,610         200       X        28-5284      200

  VORNADO RLTY TR              SH BEN INT    929042109        148,176       2,450       X        28-5284     2450
                                                            1,054,287      17,432       X      X 28-5284     2878       600   13954
                                                               12,096         200       X      X 28-1500      200

  VORNADO RLTY TR              PFD CONV
                                SER A        929042208        627,375       7,500       X        28-5284     7500
0                COLUMN TOTAL                              15,471,069
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 204 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  VULCAN INTL CORP             COM           929136109      2,139,819      47,978       X        28-5284    47978
                                                               31,220         700       X      X 28-5284      700
                                                              847,400      19,000       X      X 28-1500    19000

  VULCAN MATLS CO              COM           929160109      3,898,762      82,183       X        28-5284    18130             64053
                                                              615,629      12,977       X      X 28-5284    12377       600

  WFS FINL INC                 COM           92923B106         86,640       2,000       X      X 28-5284               2000

  WCI CMNTYS INC               COM           92923C104          5,006         200       X        28-5284      200

  WD-40 CO                     COM           929236107         49,000       1,400       X        28-5284     1400
                                                               36,400       1,040       X      X 28-5284     1040
                                                               17,500         500       X      X 28-1500      500

  WGL HLDGS INC                COM           92924F106         99,932       3,320       X        28-5284     3320
                                                              121,363       4,032       X      X 28-5284     3032              1000
                                                                6,020         200       X      X 28-1500      200

  WHX CORP                     COM NEW       929248409          1,826         617       X      X 28-1500      617

  W HLDG CO INC                COM           929251106         18,690       1,000       X      X 28-1500     1000

  WMS INDS INC                 COM           929297109         15,500         500       X      X 28-5284      500

  W P CAREY & CO LLC           COM           92930Y107        982,663      31,750       X        28-5284    21750     10000
                                                              817,451      26,412       X      X 28-5284    12362     14050

  WPP GROUP PLC                SPON ADR
                                NEW          929309300          7,637         150       X      X 28-5284                150

  WPS RESOURCES CORP           COM           92931B106        400,851       8,386       X        28-5284     8386
                                                              624,985      13,075       X      X 28-5284     2375       700   10000
                                                               95,600       2,000       X      X 28-4580     2000

  WSFS FINL CORP               COM           929328102         12,994         259       X        28-4580      259

  WVS FINL CORP                COM           929358109         38,060       2,000       X        28-5284     2000

  WABTEC CORP                  COM           929740108      2,259,176     158,650       X        28-5284    84381             74269
                                                            2,650,833     186,154       X      X 28-5284     1200            184954
                                                            5,260,284     369,402       X      X 28-4580   369402
0                COLUMN TOTAL                              21,141,241
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 205 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  WACHOVIA CORP 2ND NEW        COM           929903102     38,622,297     821,751       X        28-5284   688405     18029  115317
                                                           46,776,562     995,246       X      X 28-5284   461278    414375  119593
                                                           10,302,917     219,211       X        28-1500   218042      1169
                                                            1,276,332      27,156       X        28-4580    27156
                                                            1,552,410      33,030       X      X 28-4580    32640       390

  WADDELL & REED FINL INC      CL A          930059100         44,136       1,800       X        28-5284     1800
                                                                  736          30       X      X 28-5284       30

  WAL MART STORES INC          COM           931142103    178,866,039   2,996,583       X        28-5284  2721391     54450  220742
                                                          165,455,606   2,771,915       X      X 28-5284  2231266    381900  158749
                                                            1,368,990      22,935       X        28-1500              22935
                                                            3,241,286      54,302       X        28-4580    53460               842
                                                            1,514,037      25,365       X      X 28-4580    21145      2920    1300

  WALGREEN CO                  COM           931422109     59,136,354   1,794,730       X        28-5284  1197472      2670  594588
                                                           35,949,570   1,091,034       X      X 28-5284  1012802     49859   28373
                                                            1,472,305      44,683       X        28-1500     5766     38917
                                                              118,620       3,600       X        28-4580     3600
                                                              751,260      22,800       X      X 28-4580    22800

  WARNACO GROUP INC            COM NEW       934390402          9,041         450       X        28-5284      450

  WASHINGTON GROUP INTL INC    COM NEW       938862208         58,640       1,600       X      X 28-5284                       1600

  WASHINGTON MUT INC           COM           939322103     75,317,035   1,763,452       X        28-5284  1526903     19526  217023
                                                           19,622,682     459,440       X      X 28-5284   299788    110462   49190
                                                            1,952,701      45,720       X        28-1500    32814     12906
                                                               42,496         995       X        28-4580      995
                                                              268,646       6,290       X      X 28-4580     6000       290

  WASHINGTON POST CO           CL B          939640108        330,769         374       X        28-5284      374
                                                            1,105,513       1,250       X      X 28-5284      650               600
                                                               16,804          19       X      X 28-4580       19

  WASHINGTON REAL ESTATE INVT  SH BEN INT    939653101         30,016         925       X        28-5284      100               825
                                                               76,582       2,360       X      X 28-5284      360      2000
                                                               81,125       2,500       X      X 28-4580     2500

  WASHINGTON SVGBK FSB WALDRF  COM           939696100         26,425       2,500       X      X 28-5284     2500

  WASHINGTON TR BANCORP        COM           940610108        108,108       4,095       X      X 28-5284     4095
0                COLUMN TOTAL                             645,496,040
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 206 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  WASHTENAW GROUP INC          COM           941022105         18,360       3,000       X        28-5284                       3000

  WASTE MGMT INC DEL           COM           94106L109      1,035,778      34,320       X        28-5284    34320
                                                              616,095      20,414       X      X 28-5284    10506      5208    4700
                                                               25,744         853       X      X 28-1500      853

  WATER PIK TECHNOLOGIES INC   COM           94113U100          5,636         400       X        28-5284      400

  WATERS CORP                  COM           941848103     36,731,292     899,395       X        28-5284   715781       534  183080
                                                            5,981,018     146,450       X      X 28-5284   140250              6200
                                                            1,678,116      41,090       X        28-1500    41090
                                                              519,689      12,725       X      X 28-1500    12725

  WATSCO INC                   COM           942622200         87,000       3,000       X      X 28-5284                       3000

  WATSON PHARMACEUTICALS INC   COM           942683103      1,559,225      36,439       X        28-5284    36439
                                                               28,327         662       X      X 28-5284       62       600

  WATSON WYATT & CO HLDGS      CL A          942712100          5,048         200       X        28-5284      200

  WATTS WATER TECHNOLOGIES INC CL A          942749102         66,194       2,830       X        28-5284     2830
                                                               23,390       1,000       X      X 28-5284     1000

  WAUSAU-MOSINEE PAPER CORP    COM           943315101         10,990         780       X        28-5284      780

  WAVE SYSTEMS CORP            CL A          943526103          8,175       7,500       X        28-5284     7500

  WAYPOINT FINL CORP           COM           946756103        390,365      14,555       X        28-5284    14555
                                                               10,782         402       X      X 28-5284      402

  WEBMD CORP                   COM           94769M105         57,732       6,494       X        28-5284     6494
                                                               62,230       7,000       X      X 28-5284     7000

  WEBSTER FINL CORP CONN       COM           947890109         13,692         270       X        28-5284      200                70
                                                              145,284       2,865       X      X 28-5284       65              2800

  WEINGARTEN RLTY INVS         SH BEN INT    948741103        155,700       4,500       X        28-5284     4500
                                                            1,128,825      32,625       X      X 28-5284    28425      2700    1500
                                                              123,868       3,580       X      X 28-1500     3580

  WEIS MKTS INC                COM           948849104         21,938         650       X        28-5284      400       250
                                                               16,875         500       X      X 28-5284                        500
0                COLUMN TOTAL                              50,527,368
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 207 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  WELLPOINT HEALTH NETWORK NEW COM           94973H108         94,388         830       X        28-5284      830
                                                            3,968,714      34,899       X      X 28-5284      100       400   34399

  WELLS FARGO & CO NEW         COM           949746101    126,302,186   2,228,731       X        28-5284  2094465     17405  116861
                                                          224,371,321   3,959,261       X      X 28-5284  3549732    262336  147193
                                                              251,558       4,439       X        28-1500               4439
                                                            1,477,444      26,071       X        28-4580    26071
                                                              886,999      15,652       X      X 28-4580    13292      2360

  WENDYS INTL INC              COM           950590109        166,626       4,095       X        28-5284     1795              2300
                                                               72,225       1,775       X      X 28-5284      750              1025

  WERNER ENTERPRISES INC       COM           950755108         47,375       2,500       X        28-5284     2500
                                                              186,316       9,832       X      X 28-5284                       9832

  WESBANCO INC                 COM           950810101      2,911,567      95,933       X        28-5284    95933
                                                            1,930,867      63,620       X      X 28-5284    22620             41000

  WESCO INTL INC               COM           95082P105          5,960         400       X        28-5284      400

  WESTAIM CORP                 COM           956909105          5,020       2,000       X      X 28-1500     2000

  WESTAR ENERGY INC            COM           95709T100         57,032       2,721       X        28-5284     2221               500
                                                               75,184       3,587       X      X 28-5284     3587

  WESTERN DIGITAL CORP         COM           958102105         23,875       2,126       X        28-5284     2126
                                                               28,805       2,565       X      X 28-5284      313              2252

  WESTERN GAS RES INC          COM           958259103        127,837       2,514       X        28-5284     2514
                                                              155,448       3,057       X      X 28-5284                       3057

  WESTERN WIRELESS CORP        CL A          95988E204          5,848         250       X        28-5284      250
                                                               54,662       2,337       X        28-1500     2337

  WESTPAC BKG CORP             SPONSORED
                                ADR          961214301         21,354         319       X        28-5284      319

  WESTPORT RES CORP NEW        COM           961418100         33,650       1,020       X        28-5284     1020
                                                              432,367      13,106       X      X 28-5284                      13106

  WESTWOOD ONE INC             COM           961815107        118,713       4,031       X        28-5284     4031
                                                               13,547         460       X      X 28-5284                        460
0                COLUMN TOTAL                             363,826,888
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 208 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  WEYERHAEUSER CO              COM           962166104      3,243,036      49,512       X        28-5284    49162       350
                                                            3,080,924      47,037       X      X 28-5284    37110      6597    3330

  WHEATON RIV MINERALS LTD     COM           962902102         78,694      23,010       X        28-5284    23010

  WHIRLPOOL CORP               COM           963320106        180,095       2,615       X        28-5284     2615
                                                              111,914       1,625       X      X 28-5284     1625

  WHITING PETE CORP NEW        COM           966387102        136,822       5,800       X      X 28-5284     3200              2600

  WHITNEY HLDG CORP            COM           966612103         12,522         300       X        28-5284      300
                                                               54,262       1,300       X      X 28-5284                       1300

  WHOLE FOODS MKT INC          COM           966837106        134,910       1,800       X        28-5284     1800
                                                              186,626       2,490       X      X 28-5284     1590               900
                                                                7,495         100       X      X 28-1500      100
                                                               44,970         600       X        28-4580      600
                                                               67,455         900       X      X 28-4580      900

  WILEY JOHN & SONS INC        CL A          968223206         17,958         600       X        28-5284      600
                                                              224,475       7,500       X      X 28-5284     7000               500

  WILLBROS GROUP INC           COM           969199108         78,052       5,200       X      X 28-5284                       5200
                                                               21,134       1,408       X      X 28-1500     1408

  WILLIAMS COAL SEAM GAS RTY T TR UNIT       969450105          3,355         240       X      X 28-5284                240

  WILLIAMS COS INC DEL         COM           969457100        249,442      26,065       X        28-5284    25065              1000
                                                              218,148      22,795       X      X 28-5284     1505             21290
                                                               93,786       9,800       X      X 28-1500     9800

  WILLIAMS SONOMA INC          COM           969904101        184,680       5,400       X        28-5284     5400
                                                              144,837       4,235       X      X 28-5284                       4235

  WILMINGTON TRUST CORP        COM           971807102      3,057,576      81,819       X        28-5284    78719       300    2800
                                                            1,339,042      35,832       X      X 28-5284    21132     11100    3600
                                                            2,185,136      58,473       X        28-4580    58473
                                                            4,351,101     116,433       X      X 28-4580   108333      5700    2400

  WILSHIRE ST BK CALIF         COM           97200A101         96,000       4,000       X      X 28-5284     4000

  WIND RIVER SYSTEMS INC       COM           973149107          7,749         700       X        28-5284      700
0                COLUMN TOTAL                              19,612,196
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 209 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  WINDROSE MED PPTYS TR        COM           973491103        202,262      16,259       X      X 28-1500    16259

  WINN DIXIE STORES INC        COM           974280109          5,046         664       X        28-5284      664
                                                               38,608       5,080       X      X 28-5284       30              5050

  WINTON FINL CORP             COM           976446104          2,872         200       X        28-5284      200

  WINTRUST FINANCIAL CORP      COM           97650W108         87,534       1,800       X      X 28-5284                       1800

  WIRELESS FACILITIES INC      COM           97653A103        140,058      12,721       X        28-1500    12721

  WISCONSIN ENERGY CORP        COM           976657106        360,080      11,200       X        28-5284    11200
                                                              288,482       8,973       X      X 28-5284     5878      2795     300
                                                               14,468         450       X      X 28-1500      450

  WISER OIL CO DEL             COM           977284108         24,150       3,000       X        28-5284     3000

  WOLVERINE TUBE INC           COM           978093102         16,780       2,000       X        28-5284                       2000

  WOLVERINE WORLD WIDE INC     COM           978097103         12,065         500       X        28-5284      500
                                                               55,499       2,300       X      X 28-5284                       2300

  WOODWARD GOVERNOR CO         COM           980745103         63,740       1,000       X      X 28-5284                       1000

  WORLD ACCEP CORP DEL         COM           981419104          5,805         296       X      X 28-5284      296

  WORLD WRESTLING ENTMT INC    CL A          98156Q108          1,156          80       X      X 28-5284       80

  WORTHINGTON INDS INC         COM           981811102        442,827      23,100       X        28-5284    23100
                                                              311,704      16,260       X      X 28-5284      600      3600   12060

  WRIGHT MED GROUP INC         COM           98235T107         24,560         800       X      X 28-5284                        800

  WRIGLEY WM JR CO             COM           982526105      4,755,435      80,437       X        28-5284    59812      2575   18050
                                                            2,724,131      46,078       X      X 28-5284    31355      7220    7503
                                                              106,830       1,807       X        28-4580     1807
                                                              390,192       6,600       X      X 28-4580     6600

  WYETH                        COM           983024100    104,715,760   2,788,702       X        28-5284  2466797     83704  238201
                                                           99,120,510   2,639,694       X      X 28-5284  1590436    711548  337710
                                                            1,286,388      34,258       X        28-1500    25890      8368
                                                            2,354,197      62,695       X        28-4580    62595               100
                                                            6,779,089     180,535       X      X 28-4580   126375     13500   40660
0                COLUMN TOTAL                             224,330,228
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 210 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  WYNDHAM INTL INC             CL A          983101106      1,608,232   1,608,232       X        28-5284                    1608232
                                                            6,706,954   6,706,954       X      X 28-5284                    6706954
                                                               24,316      24,316       X        28-4580    24316

  XM SATELLITE RADIO HLDGS INC CL A          983759101        287,539      10,295       X        28-5284    10055               240
                                                                1,536          55       X      X 28-5284                         55
                                                              198,219       7,097       X        28-1500     4097      3000
                                                               27,930       1,000       X        28-4580     1000

  XTO ENERGY INC               COM           98385X106         95,836       3,797       X        28-5284     3797
                                                              867,625      34,375       X      X 28-5284    34375

  XCEL ENERGY INC              COM           98389B100        336,858      18,914       X        28-5284    14954      1900    2060
                                                              728,678      40,914       X      X 28-5284    13936     24578    2400
                                                               92,683       5,204       X      X 28-4580     5204

  XILINX INC                   COM           983919101      1,165,387      30,863       X        28-5284     9663             21200
                                                              479,930      12,710       X      X 28-5284     2610             10100
                                                                7,552         200       X      X 28-1500      200

  XEROX CORP                   COM           984121103        184,398      12,656       X        28-5284    12256               400
                                                              458,664      31,480       X      X 28-5284    19425      2700    9355
                                                               58,309       4,002       X      X 28-4580     4002

  XYBERNAUT CORP               COM           984149104         47,600      40,000       X        28-5284    40000

  YPF SOCIEDAD ANONIMA         SPON ADR
                                CL D         984245100          1,990          50       X      X 28-1500       50

  YADKIN VY BK&TR CO ELKIN N C COM           984308106        281,729      16,700       X        28-5284    16700

  YAHOO INC                    COM           984332106      1,990,033      41,057       X        28-5284    39352              1705
                                                              936,586      19,323       X      X 28-5284    12359      1500    5464
                                                                1,939          40       X      X 28-4580       40

  YANKEE CANDLE INC            COM           984757104        579,180      21,000       X      X 28-5284    21000
                                                                5,516         200       X      X 28-1500      200

  XICOR INC                    COM           984903104        608,800      40,000       X      X 28-5284              40000

  YELLOW ROADWAY CORP          COM           985577105         83,677       2,483       X        28-5284     2483
                                                              174,398       5,175       X      X 28-5284     5175

  YORK WTR CO                  COM           987184108         10,180         500       X        28-5284      500
0                COLUMN TOTAL                              18,052,274
0
0
0






1                                                                                                                  FILE NO. 28-1235
  PAGE 211 OF 211               FORM 13F  NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.             AS OF 03/31/04
                                                                                     ITEM 6:
                                                                        ITEM 5:     INVESTMENT                    ITEM 8:
                                 ITEM 2:                   ITEM 4:     SHARES OR    DISCRETION    ITEM 7:     VOTING AUTHORITY
       ITEM 1:                  TITLE OF     ITEM 3:     FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS         (SHARES)
  NAME OF ISSUER                 CLASS    CUSIP NUMBER      VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
                                                                                              
  YUM BRANDS INC               COM           988498101      3,666,719      96,518       X        28-5284    93514              3004
                                                            2,224,922      58,566       X      X 28-5284    28554     12746   17266
                                                               50,147       1,320       X        28-4580     1320
                                                               11,549         304       X      X 28-4580      304

  Z TEL TECHNOLOGIES INC       COM           988792107          4,340       2,000       X      X 28-5284     2000

  ZEBRA TECHNOLOGIES CORP      CL A          989207105         79,776       1,150       X      X 28-5284      450               700
                                                               28,095         405       X      X 28-1500      405

  ZENITH NATL INS CORP         COM           989390109        274,400       7,000       X      X 28-5284     7000

  ZIMMER HLDGS INC             COM           98956P102     53,121,084     719,993       X        28-5284   639304      5898   74791
                                                           26,034,896     352,872       X      X 28-5284   166333     71706  114833
                                                              179,728       2,436       X        28-1500               2436
                                                              505,393       6,850       X        28-4580     6850
                                                            1,291,371      17,503       X      X 28-4580    11833      5670

  ZIONS BANCORPORATION         COM           989701107         14,275         250       X        28-5284      250
                                                               62,810       1,100       X      X 28-5284     1100

  ZORAN CORP                   COM           98975F101          1,162          67       X        28-5284       67
                                                               98,895       5,700       X      X 28-5284     3500              2200
                                                              167,879       9,676       X        28-1500     9176       500

  ZOOM TECHNOLOGIES INC DEL    COM           98976E103          2,040         400       X      X 28-5284      400

  ZWEIG FD                     COM           989834106         24,631       4,946       X        28-5284     4946

  ZWEIG TOTAL RETURN FD INC    COM           989837109          4,689         900       X        28-5284      900

  ZOLL MED CORP                COM           989922109         67,592       1,700       X        28-5284     1700
                                                               65,206       1,640       X      X 28-5284                       1640
0                COLUMN TOTAL                              87,981,599
0                  GRANDTOTAL                          25,428,010,617
0
0






1 PAGE 1 OF 1                   FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 03/31/04
0          ENTITY TOTALS                                 FAIR MARKET                              ENTITY                   UNITS
0
                                                                                                            
                                                       24,235,745,702                            28-5284                583,204,308
                                                          319,582,098                            28-1500                 10,175,349
                                                          549,360,327                            28-4580                 13,040,829
                                                          323,322,490                                                     5,663,695
0       GRAND TOTALS                                   25,428,010,617                                                   612,084,181
0   NUMBER OF ISSUES                                            3,130