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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 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   November 5, 2004
------------------   [City, State]    [Date]
[Signature]

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: 2,765

Form 13F Information Table Value Total: $23,628,427
                                        (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 190                                                     AS OF 09/30/04

      FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
DAIMLERCH RYSLER AG       ORD             D1668R123      214,141      5,170        X           28-5284     4528                 642
                                                         284,017      6,857        X       X   28-5284     4881       1356      620
                                                          62,130      1,500        X           28-4580     1500
                                                          64,201      1,550        X       X   28-4580     1550
DEUTSCHE  BANK AG NAMEN   ORD             D18190898        1,870         26        X           28-5284       26
ACE LTD                   ORD             G0070K103    1,002,461     25,024        X           28-5284    24214        300      510
                                                         363,905      9,084        X       X   28-5284     4819       3965      300
                                                         276,414      6,900        X       X   28-1500     6900
APEX SILV ER MINES LTD    ORD             G04074103       21,700      1,000        X       X   28-1500     1000
ASSURED G UARANTY LTD     COM             G0585R106       16,660      1,000        X           28-5284     1000
ACCENTURE  LTD BERMUDA    CL A            G1150G111       58,130      2,149        X           28-5284     2149
                                                          62,215      2,300        X       X   28-5284                2300
BUNGE LIM ITED            COM             G16962105      531,734     13,300        X       X   28-5284    13000                 300
CHINADOTC OM CORP         CL A            G2108N109          996        200        X           28-5284      200
CHINA YUC HAI INTL LTD    COM             G21082105        2,786        200        X           28-5284      200
                                                           2,786        200        X       X   28-1500      200
COOPER IN DS LTD          CL A            G24182100      181,425      3,075        X           28-5284     3075
                                                         129,800      2,200        X       X   28-5284     2200
                                                          59,000      1,000        X       X   28-4580     1000
ENDURANCE  SPECIALTY
   HLDGS  LT              SHS             G30397106        6,430        200        X       X   28-5284      200
XCELERA I NC              COM             G31611109          104        150        X           28-5284      150
EVEREST R E GROUP LTD     COM             G3223R108       11,150        150        X           28-5284      150
                                                          74,330      1,000        X       X   28-5284     1000
FRESH DEL  MONTE PRODUCE
   INC                    ORD             G36738105        8,220        330        X       X   28-5284      130        200
FRONTLINE  LTD            ORD             G3682E127       14,157        300        X           28-5284      300
GLOBALSAN TAFE CORP       SHS             G3930E101      711,080     23,200        X           28-5284    20733        310     2157
                                                         143,871      4,694        X       X   28-5284     2824        480     1390
                                                          28,964        945        X           28-4580      945
0            COLUMN TOTAL                              4,334,677
0
0
0




1                                                               FILE NO. 28-1235
PAGE 2 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
GLOBAL SOURCES LTD        ORD             G39300101       26,235      3,300        X           28-5284     3300
HELEN OF TROY CORP LTD    COM             G4388N106        8,411        309        X           28-5284      309
                                                          41,701      1,532        X       X   28-5284     1132        400
INGERSOLL-RAND COMPANY
   LTD                    CL A            G4776G101   67,548,246    993,795        X           28-5284   932479      15887    45429
                                                      20,184,643    296,964        X       X   28-5284   191334      80255    25375
                                                       1,521,984     22,392        X           28-4580    21851                 541
                                                         683,778     10,060        X       X   28-4580     8964        460      636
IPC HLDGS LTD             ORD             G4933P101       76,020      2,000        X           28-5284     2000
KNIGHTSBRIDGE TANKERS
   LTD                    ORD             G5299G106       71,300      2,300        X       X   28-5284     2300
MONTPELIER RE HOLDINGS
   LTD                    SHS             G62185106        7,336        200        X       X   28-5284                 200
NABORS INDUSTRIES LTD     SHS             G6359F103      337,037      7,118        X           28-5284     7118
                                                          85,230      1,800        X       X   28-5284     1800
                                                          14,442        305        X       X   28-1500      305
                                                           5,256        111        X           28-4580      111
NOBLE CORPORATION         SHS             G65422100      152,830      3,400        X           28-5284     3400
                                                          34,162        760        X       X   28-5284      760
                                                           7,866        175        X       X   28-1500      175
                                                           4,315         96        X           28-4580       96
PXRE GROUP LTD            COM             G73018106      290,986     12,430        X       X   28-5284    12430
RENAISSANCERE HOLDINGS
   LTD                    COM             G7496G103       10,316        200        X           28-5284      200
                                                           2,579         50        X       X   28-5284       50
SHIP FINANCE
   INTERNATIONAL L        SHS             G81075106        2,111        105        X           28-5284      105
SINA CORP                 ORD             G81477104      101,960      4,000        X       X   28-5284     4000
                                                          38,235      1,500        X       X   28-1500     1500
STEWART W P & CO LTD      COM             G84922106      239,840     11,998        X           28-5284     2998                9000
HILFIGER TOMMY CORP       ORD             G8915Z102        1,559        158        X           28-5284      158
TRANSOCEAN INC            ORD             G90078109    1,042,450     29,135        X           28-5284     6097               23038
                                                         728,230     20,353        X       X   28-5284    18317        992     1044
                                                           4,150        116        X       X   28-1500      116
0           COLUMN TOTAL                              93,273,208
0
0
0




1                                                               FILE NO. 28-1235
PAGE 3 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
GOLAR LNG LTD BERMUDA     SHS             G9456A100      140,670      9,000        X       X   28-5284     9000
WEATHERFORD
   INTERNATIONAL LT       COM             G95089101       28,061        550        X           28-5284      550
                                                         262,345      5,142        X       X   28-5284     4500        642
WHITE MTNS INS GROUP LTD  COM             G9618E107      949,430      1,805        X       X   28-1500     1805
WILLIS GROUP HOLDINGS
   LTD                    SHS             G96655108       71,060      1,900        X           28-5284     1900
                                                         347,820      9,300        X       X   28-5284     6000       3300
XOMA LTD                  ORD             G9825R107       15,080      6,500        X           28-5284     2500                4000
                                                             232        100        X       X   28-1500      100
XL CAP LTD                CL A            G98255105      229,369      3,100        X           28-5284     2700                 400
                                                         950,772     12,850        X       X   28-5284     5050       2200     5600
ALCON INC                 COM SHS         H01301102       30,075        375        X           28-5284      375
                                                         941,548     11,740        X       X   28-5284     7640       4100
UBS AG                    NAMEN AKT       H8920M855      675,520      9,605        X           28-5284     9605
                                                         422,824      6,012        X       X   28-1500     6012
CHECK POINT SOFTWARE
   TECH LT                ORD             M22465104    1,958,576    115,414        X           28-5284   104744       7100     3570
                                                       1,286,088     75,786        X       X   28-5284    31085      43271     1430
                                                          18,820      1,109        X           28-4580     1109
                                                          44,563      2,626        X       X   28-4580     2426        200
CLICKSOFTWARE
   TECHNOLOGIES L         ORD             M25082104          940        500        X           28-5284      500
LANOPTICS LTD             ORD             M6706C103        7,860      1,000        X       X   28-5284     1000
M SYSTEMS FLASH DISK
   PIONEERS LTD           ORD             M7061C100      348,777     21,138        X                      21138
TARO PHARMACEUTICAL INDS
   LTD                    ORD             M8737E108        1,239         53        X           28-5284       53
ASML HLDG NV              N Y SHS         N07059111        3,784        294        X           28-5284      294
CNH GLOBAL N V            SHS NEW         N20935206        7,832        400        X           28-5284      400
ORTHOFIX INTL N V         COM             N6748L102          689         20        X           28-5284       20
KERZNER INTERNATIONAL
   LTD                    SHS             P6065Y107       13,191        300        X           28-5284      300
ROYAL CARIBBEAN CRUISES
   LTD                    COM             V7780T103       52,320      1,200        X           28-5284      200                1000
                                                          26,160        600        X       X   28-5284      400        200
0           COLUMN TOTAL                               8,835,645
0
0
0




1                                                               FILE NO. 28-1235
PAGE 4 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
FLEXTRONICS INTL LTD      ORD             Y2573F102   30,453,138  2,298,350        X           28-5284  2147972      25780   124598
                                                       8,343,181    629,674        X       X   28-5284   380305     214134    35235
                                                         211,483     15,961        X           28-1500       36      15925
                                                         625,837     47,233        X           28-4580    45898                1335
                                                         183,698     13,864        X       X   28-4580    10186       3490      188
GENERAL MARITIME CORP     SHS             Y2692M103      785,417     22,550        X       X   28-5284    22550
                                                          10,449        300        X       X   28-4580      300
OMI CORP NEW              COM             Y6476W104       41,652      2,600        X           28-5284      600                2000
                                                          57,672      3,600        X       X   28-1500     3600
TEEKAY SHIPPING MARSHALL
   ISL                    COM             Y8564W103        3,447         80        X           28-5284       80
                                                          63,428      1,472        X       X   28-5284     1472
AAR CORP                  COM             000361105        2,615        210        X       X   28-5284      210
ABB LTD                   SPONSORED ADR   000375204        3,672        600        X           28-5284      600
ABC BANCORP               COM             000400101      181,530      9,000        X           28-1500     9000
ABN AMRO BK N V LONDON
   BRH                    DEBT 10.000% 1  00079FCQ3      707,000     10,000        X           28-5284    10000
A C MOORE ARTS & CRAFTS
   INC                    COM             00086T103       14,838        600        X       X   28-5284                 600
A D C TELECOMMUNICATIONS  COM             000886101       13,575      7,500        X           28-5284     6900                 600
                                                           8,326      4,600        X       X   28-5284                         4600
ACM INCOME FUND INC       COM             000912105      549,019     67,447        X           28-5284    67447
                                                         278,152     34,171        X       X   28-5284    30971       1200     2000
                                                         109,198     13,415        X       X   28-1500    13415
ACM MANAGED INCOME FD
   INC                    COM             000919100        2,067        509        X       X   28-5284      509
ABN AMRO HLDG NV          SPONSORED ADR   000937102        4,461        196        X           28-5284      196
                                                          23,761      1,044        X       X   28-1500     1044
ACM MUN SECS INCOME FD
   INC                    COM             000942102        4,988        400        X           28-5284      400
                                                          26,187      2,100        X       X   28-5284     2100
ACM MANAGED DLR INCOME
   FD                     COM             000949107        1,259        160        X           28-5284      160
ABM INDS INC              COM             000957100        6,448        320        X           28-5284      320
0           COLUMN TOTAL                              42,716,498
0
0
0




1                                                               FILE NO. 28-1235
PAGE 5 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
AFLAC INC                 COM             001055102    1,827,029     46,596        X           28-5284    44446                2150
                                                       1,464,494     37,350        X       X   28-5284    10150      27200
                                                          55,992      1,428        X           28-1500      328       1100
AGCO CORP                 COM             001084102      226,200     10,000        X       X   28-5284    10000
AGL RES INC               COM             001204106       18,462        600        X           28-5284                          600
                                                           8,462        275        X       X   28-5284      275
                                                          36,924      1,200        X       X   28-4580     1200
AES CORP                  COM             00130H105      240,679     24,092        X           28-5284    23244                 848
                                                          65,055      6,512        X       X   28-5284     6342        170
                                                           3,996        400        X           28-4580      400
AK STL HLDG CORP          COM             001547108       24,480      3,000        X           28-5284     3000
                                                         159,708     19,572        X       X   28-5284                        19572
                                                           2,032        249        X       X   28-1500      249
AMB PROPERTY CORP         COM             00163T109       16,622        449        X       X   28-4580       37                 412
AMLI RESIDENTIAL PPTYS
   TR                     SH BEN INT      001735109       18,330        600        X           28-5284      600
                                                         103,656      3,393        X       X   28-1500     3393
AMR CORP                  COM             001765106        3,665        500        X           28-5284      500
                                                          14,660      2,000        X       X   28-5284                         2000
ATI TECHNOLOGIES INC      COM             001941103       38,325      2,500        X       X   28-5284     2500
AT&T CORP                 COM NEW         001957505    1,056,701     73,792        X           28-5284    68243       2323     3226
                                                       1,047,150     73,125        X       X   28-5284    52274      18205     2646
                                                         323,059     22,560        X       X   28-1500    22560
                                                          30,459      2,127        X           28-4580     2127
                                                          39,294      2,744        X       X   28-4580     2744

ASA LTD                   COM             002050102       22,417        524        X           28-5284      524
                                                       1,711,200     40,000        X       X   28-5284    40000

A S DAMPSKIBSSELSKABET
   TORM                   SPONSORED ADR   00208W109       84,300      3,000        X       X   28-5284     3000
0           COLUMN TOTAL                               8,643,351
0
0
0




1                                                               FILE NO. 28-1235
PAGE 6 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
AT&T WIRELESS SVCS INC    COM             00209A106      815,102     55,149        X           28-5284    50001        637     4511
                                                         805,214     54,480        X       X   28-5284    35132      18661      687
                                                          18,963      1,283        X       X   28-1500     1283
                                                          74,550      5,044        X           28-4580     5044
                                                          24,254      1,641        X       X   28-4580     1641
AU OPTRONICS CORP         SPONSORED ADR   002255107       63,652      5,084        X           28-5284     5084
                                                         606,281     48,425        X                      48425
AVI BIOPHARMA INC         COM             002346104        1,025        500        X           28-5284      500
AARON RENTS INC           COM             002535201        9,792        450        X           28-5284      450
                                                         293,760     13,500        X       X   28-5284    13500
ABBOTT LABS               COM             002824100  130,875,287  3,089,596        X           28-5284  2818632      39189   231775
                                                     114,008,890  2,691,428        X       X   28-5284  2033333     536956   121139
                                                         506,626     11,960        X           28-1500      125      11835
                                                       2,555,494     60,328        X           28-4580    59090                1238
                                                       2,760,982     65,179        X       X   28-4580    59827       5352
ABER DIAMOND CORP         COM             002893105        3,461        100        X           28-5284                          100
ABERCROMBIE & FITCH CO    CL A            002896207       25,137        798        X           28-5284      798
                                                           6,300        200        X       X   28-5284      200
ABBEY NATL PLC            GDR             002920809       13,320        500        X       X   28-5284      500
ABERDEEN ASIA PACIFIC
   INCOM                  COM             003009107       46,200      7,500        X           28-5284     6500                1000
                                                           3,080        500        X       X   28-5284      500
ABERDEEN GLOBAL INCOME
   FD IN                  COM             003013109       13,150      1,000        X           28-5284                         1000
ABIOMED INC               COM             003654100      152,220     17,200        X       X   28-5284      200      17000
ACCELRYS INC              COM             00430U103        3,260        500        X           28-5284      500
ACCREDITED HOME LENDRS
   HLDG                   COM             00437P107        3,852        100        X       X   28-5284      100
ACCREDO HEALTH INC        COM             00437V104       11,785        500        X           28-5284                 500
                                                          11,785        500        X       X   28-5284                          500
ACTIVISION INC NEW        COM NEW         004930202      321,437     23,175        X           28-5284    23175
ACTIVE POWER INC          COM             00504W100       13,992      5,088        X       X   28-5284     5088
0           COLUMN TOTAL                             254,048,851
0
0
0




1                                                               FILE NO. 28-1235
PAGE 7 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
ACUITY BRANDS INC         COM             00508Y102        7,844        330        X       X   28-5284      330
ACXIOM CORP               COM             005125109       46,293      1,950        X           28-5284     1950
ADAMS EXPRESS CO          COM             006212104       35,441      2,795        X           28-5284     2795
                                                          24,929      1,966        X       X   28-5284     1966
ADAPTEC INC               COM             00651F108      108,946     14,335        X           28-1500    14335
ADECCO SA                 SPONSORED ADR   006754105        5,076        410        X           28-5284      410
ADESA INC                 COM             00686U104       34,174      2,080        X           28-5284     2080
                                                         270,372     16,456        X       X   28-5284     4466      11990
ADOBE SYS INC             COM             00724F101       80,389      1,625        X           28-5284     1625
                                                         883,040     17,850        X       X   28-5284    17650        200
ADTRAN INC                COM             00738A106       41,278      1,820        X           28-5284     1820
                                                             386         17        X           28-1500       17
ADVANCED MAGNETICS INC    COM             00753P103      139,600     10,000        X           28-5284    10000
ADVANCED MARKETING SVCS
   INC                    COM             00753T105        1,079        100        X       X   28-5284      100
ADVANCED NEUROMODULATION
   SYS                    COM             00757T101       22,763        750        X           28-5284                          750
                                                          15,175        500        X       X   28-5284                 500
ADVO INC                  COM             007585102        6,188        200        X       X   28-1500      200
ADVANCED MEDICAL OPTICS
   INC                    COM             00763M108      132,124      3,339        X           28-5284     3328         11
                                                         246,917      6,240        X       X   28-5284     1586       3543     1111
                                                          10,526        266        X           28-1500      266
                                                           4,392        111        X       X   28-1500      111
                                                           9,774        247        X       X   28-4580      247
AEROPOSTALE               COM             007865108       33,798      1,290        X           28-5284     1290
                                                         740,543     28,265        X       X   28-5284    28265
ADVANCED MICRO DEVICES
   INC                    COM             007903107       58,500      4,500        X           28-5284     4500
                                                         180,700     13,900        X       X   28-5284     2950      10750      200
0           COLUMN TOTAL                               3,140,247
0
0
0




1                                                               FILE NO. 28-1235
PAGE 8 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
AEGON N V                 ORD AMER REG    007924103    3,248,003    300,741        X           28-5284   245009               55732
                                                       2,387,254    221,042        X       X   28-5284   206243       3964    10835
                                                          11,480      1,063        X           28-1500      161        902
                                                           1,685        156        X       X   28-4580                 156
ADVANTA CORP              CL B            007942204    7,760,926    320,832        X           28-5284   320832
AES TR III                PFD CV 6.75%    00808N202       66,435      1,500        X           28-5284     1500
                                                          35,432        800        X       X   28-5284                 800
AETHER SYS INC            COM             00808V105        1,348        406        X       X   28-5284      406
AETNA INC NEW             COM             00817Y108      435,295      4,356        X           28-5284     2056                2300
                                                       1,521,934     15,230        X       X   28-5284    15030        200
                                                           9,993        100        X           28-1500      100
                                                          68,852        689        X       X   28-1500      689
AFFILIATED COMPUTER
   SERVICES               CL A            008190100      123,587      2,220        X           28-5284     2220
                                                          49,546        890        X       X   28-5284      890
AFFILIATED MANAGERS
   GROUP                  COM             008252108        3,694         69        X           28-5284       69
                                                           6,104        114        X       X   28-5284      114
AFFYMETRIX INC            COM             00826T108        6,142        200        X           28-5284      200
AGERE SYS INC             CL A            00845V100        1,022        973        X           28-5284      845                 128
                                                             670        638        X       X   28-5284      467        162        9
                                                               1          1        X           28-1500                   1
                                                              80         76        X           28-4580       76
                                                              28         27        X       X   28-4580       27
AGERE SYS INC             CL B            00845V209       10,716     10,506        X           28-5284     9630                 876
                                                          40,510     39,716        X       X   28-5284    34536       4312      868
                                                             269        264        X       X   28-1500      264
                                                           1,320      1,294        X           28-4580     1294
                                                             742        727        X       X   28-4580      727
AGILENT TECHNOLOGIES INC  COM             00846U101    5,547,653    257,193        X           28-5284   244427        552    12214
                                                       2,387,022    110,664        X       X   28-5284    65080      39550     6034
                                                           8,153        378        X       X   28-1500      378
                                                          13,826        641        X           28-4580      641
                                                         823,090     38,159        X       X   28-4580     3550        360    34249
0           COLUMN TOTAL                              24,572,812
0
0
0




1                                                               FILE NO. 28-1235
PAGE 9 OF 190                                                     AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
AGNICO EAGLE MINES LTD    COM             008474108       51,408      3,600        X           28-5284      500        500     2600
AIM SELECT REAL ESTATE
   INCM                   SHS             00888R107       64,720      4,000        X           28-5284     4000
AIR FRANCE                SPONSORED ADR   009119108       13,444        845        X       X   28-5284      845
AIR FRANCE                *W EXP 11/05/2  009119116          746        769        X       X   28-5284      769
AIR PRODS & CHEMS INC     COM             009158106   14,410,374    264,994        X           28-5284   255649       1220     8125
                                                      12,994,971    238,966        X       X   28-5284   126530     102802     9634
                                                         261,024      4,800        X           28-1500     4800
                                                           2,175         40        X       X   28-1500       40
                                                         201,206      3,700        X           28-4580     3700
                                                         203,381      3,740        X       X   28-4580     3740
AIRGAS INC                COM             009363102      288,840     12,000        X           28-5284                        12000
AIRTRAN HLDGS INC         COM             00949P108       19,522      1,960        X           28-5284     1960
                                                           5,876        590        X       X   28-4580                          590
AKAMAI TECHNOLOGIES INC   COM             00971T101       15,736      1,120        X           28-5284     1120
AKZO NOBEL NV             SPONSORED ADR   010199305        3,548        100        X           28-5284      100
                                                           7,096        200        X       X   28-5284      200
ALABAMA NATL BANCORP
   DELA                   COM             010317105       29,935        500        X           28-5284                          500
ALASKA AIR GROUP INC      COM             011659109        2,478        100        X           28-5284                          100
ALBEMARLE CORP            COM             012653101      154,466      4,402        X           28-5284     2586                1816
ALBERTO CULVER CO         COM             013068101      136,179      3,132        X           28-5284     1670       1462
                                                          28,697        660        X       X   28-5284      600                  60
ALBERTSONS INC            COM             013104104      825,968     34,516        X           28-5284    34116                 400
                                                         753,077     31,470        X       X   28-5284    21306       7764     2400
                                                          71,790      3,000        X       X   28-1500     3000
ALCAN INC                 COM             013716105      381,922      7,990        X           28-5284      990                7000
                                                         201,764      4,221        X       X   28-5284      771      3450
0           COLUMN TOTAL                              31,130,343
0
0
0




1                                                               FILE NO. 28-1235
PAGE 10 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
ALCOA INC                 COM             013817101   31,842,883    947,987        X           28-5284   903151       5840    38996
                                                      16,244,326    483,606        X       X   28-5284   309169     135872    38565
                                                          13,604        405        X       X   28-1500      405
                                                         562,935     16,759        X           28-4580    15996                 763
                                                         268,787      8,002        X       X   28-4580     7602        400
ALCATEL                   SPONSORED ADR   013904305        5,161        440        X           28-5284      440
                                                           3,108        265        X       X   28-5284      265
ALEXANDER & BALDWIN INC   COM             014482103      145,942      4,300        X           28-5284     4000                 300
                                                         305,460      9,000        X       X   28-5284     9000
ALEXION PHARMACEUTICALS
   INC                    COM             015351109        3,600        200        X       X   28-5284      200
ALFA CORP                 COM             015385107        4,188        300        X           28-4580      300
ALIGN TECHNOLOGY INC      COM             016255101      443,746     29,041        X           28-5284    29041
ALKERMES INC              COM             01642T108          462         40        X           28-5284       40
ALLEGHANY CORP DEL        COM             017175100   40,695,394    149,122        X       X   28-5284      598              148524
ALLEGHENY ENERGY INC      COM             017361106      156,121      9,782        X           28-5284     9657                 125
                                                         137,591      8,621        X       X   28-5284     5240       2756      625
                                                           1,596        100        X       X   28-4580      100
ALLEGHENY TECHNOLOGIES
   INC                    COM             01741R102       18,250      1,000        X           28-5284     1000
ALLEN ORGAN CO            CL B            017753104      132,250      2,300        X       X   28-5284                2300
ALLERGAN INC              COM             018490102   50,831,505    700,641        X           28-5284   591748       2011   106882
                                                      18,094,260    249,404        X       X   28-5284   209000      34171     6233
                                                       1,426,841     19,667        X           28-1500    19667
                                                         163,673      2,256        X       X   28-1500     2256
                                                         258,641      3,565        X           28-4580     3565
                                                         303,985      4,190        X       X   28-4580     4090        100
ALLETE INC                COM NEW         018522300       18,168        559        X           28-5284      559
                                                         178,198      5,483        X       X   28-5284     1487       3996
ALLIANCE CAP MGMT HLDG
   L P                    UNIT LTD PARTN  01855A101      355,000     10,000        X           28-5284    10000
                                                         209,450      5,900        X       X   28-5284     5200        700
0           COLUMN TOTAL                             162,825,125
0
0
0




1                                                               FILE NO. 28-1235
PAGE 11 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ALLIANCE DATA SYSTEMS
   CORP                   COM             018581108       74,630      1,840        X           28-5284     1840
ALLIANCE RES PARTNER L P  UT LTD PART     01877R108      144,742      2,600        X           28-5284     2600
ALLIANCE WORLD DLR GV FD
   II                     COM             01879R106       68,093      5,609        X           28-5284     5609
                                                           8,571        706        X       X   28-5284      706
ALLIANCE WORLD DLR GV FD
   INC                    COM             018796102       49,548      4,078        X       X   28-5284     4078
ALLIANT ENERGY CORP       COM             018802108       40,928      1,645        X           28-5284     1645
                                                          20,451        822        X       X   28-5284      222        600
ALLIANT TECHSYSTEMS INC   COM             018804104       68,244      1,128        X           28-5284     1128
                                                          67,639      1,118        X       X   28-5284     1118
ALLIED CAP CORP NEW       COM             01903Q108       97,560      4,000        X           28-5284     3600        400
                                                         155,194      6,363        X       X   28-5284     2313       3550      500
                                                          12,195        500        X       X   28-1500      500
ALLIED DOMECQ PLC         SPON ADR NEW    019121201        3,428        100        X       X   28-5284      100
ALLIED IRISH BKS P L C    SPON ADR ORD    019228402    2,399,732     72,129        X           28-5284    47295       6084    18750
                                                         302,757      9,100        X       X   28-5284     1000       7500      600
ALLIED WASTE INDS INC     COM PAR$.01NEW  019589308          956        108        X           28-5284      108
ALLMERICA FINL CORP       COM             019754100      247,027      9,190        X           28-5284     6399       1091     1700
                                                          20,052        746        X       X   28-5284      746
ALLSTATE CORP             COM             020002101   20,575,713    428,750        X           28-5284   391126      10830    26794
                                                      26,723,040    556,846        X       X   28-5284   252557     231184    73105
                                                           4,079         85        X           28-1500       85
                                                          61,811      1,288        X       X   28-1500     1288
                                                         531,201     11,069        X           28-4580    11069
                                                         183,418      3,822        X       X   28-4580     3452        370
ALLTEL CORP               COM             020039103   43,249,367    787,641        X           28-5284   743835      13525    30281
                                                      22,461,814    409,066        X       X   28-5284   233143     134406    41517
                                                          59,577      1,085        X       X   28-1500     1085
                                                         552,120     10,055        X           28-4580     9681                 374
                                                         214,973      3,915        X       X   28-4580     3735        180
ALLTEL CORP               PFD C CV $2.06  020039509       16,000         50        X       X   28-5284       50
0           COLUMN TOTAL                             118,414,860
0
0
0




1                                                               FILE NO. 28-1235
PAGE 12 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
ALLTEL CORP               CORP UNT 7.75%  020039822       36,232        700        X       X   28-5284                 700
ALMOST FAMILY INC         COM             020409108          775         93        X           28-1500       93
ALPHARMA INC              CL A            020813101        3,658        200        X           28-5284      200
                                                           3,548        194        X       X   28-5284      194
ALTANA
   AKTIENGESELLSCHAFT     SPONSORED ADR   02143N103        3,561         60        X       X   28-5284       60
ALTEON INC                COM             02144G107       13,300     14,000        X       X   28-1500    14000
ALTERA CORP               COM             021441100       37,770      1,930        X           28-5284     1930
                                                           2,583        132        X       X   28-1500      132
                                                         404,884     20,689        X                      20689
ALTRIA GROUP INC          COM             02209S103   53,274,964  1,132,546        X           28-5284  1053987      32592    45967
                                                     210,099,362  4,466,398        X       X   28-5284  3727568     396430   342400
                                                         239,951      5,101        X           28-1500      175       4926
                                                       4,074,793     86,624        X           28-4580    71424               15200
                                                       1,182,539     25,139        X       X   28-4580    21839        900     2400
ALUMINUM CORP CHINA LTD   SPON ADR H SHS  022276109      298,620      4,500        X       X   28-5284     4500
AMAZON COM INC            COM             023135106      451,952     11,061        X           28-5284    11061
                                                         302,364      7,400        X       X   28-5284     7000                 400
AMBAC FINL GROUP INC      COM             023139108      264,315      3,306        X           28-5284     3306
                                                          36,777        460        X       X   28-5284      460
AMDOCS LTD                Note 2.000% 6/0 02342TAB5      141,895      6,500        X                       6500
AMERADA HESS CORP         COM             023551104    1,034,625     11,625        X           28-5284    11625
                                                         441,796      4,964        X       X   28-5284     4822        142
                                                           4,005         45        X           28-4580       45
AMEREN CORP               COM             023608102      577,106     12,505        X           28-5284     9705        250     2550
                                                         554,446     12,014        X       X   28-5284     9584       2430
                                                          67,610      1,465        X       X   28-1500     1465
AMERICA FIRST APT INV
   INC                    COM             02363X104        5,067        452        X           28-5284      452
AMERICA MOVIL S A DE C V  SPON ADR L SHS  02364W105      174,152      4,462        X           28-5284     4462
                                                          15,612        400        X       X   28-5284      400
AMERICA MOVIL S A DE C V  SPON ADR A SHS  02364W204       40,380      1,048        X           28-5284     1048
0           COLUMN TOTAL                             273,646,747
0
0
0




1                                                               FILE NO. 28-1235
PAGE 13 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
AMERICA WEST HLDG CORP    CL B            023657208        5,400      1,000        X       X   28-5284     1000
AMERICAN AXLE & MFG
   HLDGS IN               COM             024061103        6,525        223        X           28-5284      223
AMERICAN CAPITAL
   STRATEGIES             COM             024937104      263,256      8,400        X           28-5284     8400
                                                         195,875      6,250        X       X   28-5284     3200       3050
                                                         227,309      7,253        X           28-1500     2221       5032
AMERICAN EAGLE
   OUTFITTERS NE          COM             02553E106       88,809      2,410        X           28-5284     2410
                                                           6,449        175        X       X   28-5284      175
                                                         273,722      7,428        X           28-1500     7428
AMERICAN ECOLOGY CORP     COM NEW         025533407      100,735     10,385        X       X   28-1500    10385
AMERICAN ELEC PWR INC     COM             025537101    1,598,192     50,006        X           28-5284    49206        600      200
                                                       1,862,373     58,272        X       X   28-5284    19183      22029    17060
                                                          38,352      1,200        X       X   28-1500     1200
                                                          45,767      1,432        X           28-4580     1432
                                                         119,530      3,740        X       X   28-4580     3198                 542
AMERICAN EXPRESS CO       COM             025816109   35,033,762    680,796        X           28-5284   587517      55049    38230
                                                      22,031,570    428,130        X       X   28-5284   198697     159391    70042
                                                          45,182        878        X           28-1500      245        633
                                                          95,407      1,854        X           28-4580     1854
                                                       1,000,897     19,450        X       X   28-4580    19450
AMERICAN FINL GROUP INC
   OHIO                   COM             025932104       58,405      1,954        X           28-5284      488       1466
AMERICAN GREETINGS CORP   CL A            026375105        5,024        200        X       X   28-5284                 200
AMERICAN HOME MTG INVT
   CORP                   COM             02660R107        2,795        100        X       X   28-5284      100
AMERICAN INCOME FD INC    COM             02672T109       27,104      3,200        X       X   28-1500     3200
AMERICAN INSD MTG-INVS
   L P 8                  DEPOSITARY UNI  02686E106        2,262      1,639        X           28-5284     1639
AMERICAN INTL GROUP INC   COM             026874107  205,806,750  3,027,015        X           28-5284  2604618      31580   390817
                                                     137,800,772  2,026,780        X       X   28-5284  1442753     296222   287805
                                                       5,091,091     74,880        X           28-1500    58232      16648
                                                       1,434,113     21,093        X           28-4580    21093
                                                       2,951,990     43,418        X       X   28-4580    41543       1875
0           COLUMN TOTAL                             416,219,418
0
0
0




1                                                               FILE NO. 28-1235
PAGE 14 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
AMERICAN ISRAELI PAPER
   MLS L                  ORD IS 10       027069509       85,950      1,719        X           28-5284     1719
                                                           7,500        150        X       X   28-5284      150
AMERICAN LD LEASE INC     COM             027118108        1,183         61        X       X   28-5284       61
AMERICAN LOCKER GROUP     COM             027284108       82,160      7,900        X           28-5284     7900
AMERICAN NATL INS CO      COM             028591105       19,358        200        X       X   28-5284      200
AMERICAN PAC CORP         COM             028740108        1,344        180        X           28-5284      180
AMERICAN PHARMACEUTICALS
   PTN                    COM             02886P109        8,271        300        X       X   28-5284      300
AMERICAN PWR CONVERSION
   CORP                   COM             029066107      180,543     10,382        X           28-5284    10382
                                                         140,859      8,100        X       X   28-5284     1600                6500
AMERICAN SOFTWARE INC     CL A            029683109        9,616      1,600        X       X   28-5284     1600
AMERICAN STD COS INC DEL  COM             029712106      271,514      6,978        X           28-5284     6978
                                                         782,091     20,100        X       X   28-5284    20100
                                                         400,773     10,300        X                      10300
AMERICAN STRATEGIC
   INCOME II              COM             03009T101        7,712        615        X       X   28-1500      615
AMERN STRATEGIC INCOME
   PTFL                   COM             030099105          818         62        X           28-5284       62
AMERICAN SUPERCONDUCTOR
   CORP                   COM             030111108       38,502      3,100        X           28-5284     3100
AMERICAN TECHNOLOGY CORP  COM NEW         030145205       28,750      5,000        X           28-5284     5000
AMERICAN WOODMARK CORP    COM             030506109        2,740         74        X       X   28-5284       74
AMERICREDIT CORP          COM             03060R101       15,660        750        X           28-5284      750
                                                          14,616        700        X       X   28-5284      700
AMERISTAR CASINOS INC     COM             03070Q101        1,513         50        X       X   28-4580        5                  45
AMERIVEST PPTYS INC DEL   COM             03071L101      117,808     17,636        X       X   28-1500    17636
AMERUS GROUP CO           COM             03072M108      196,226      4,786        X           28-5284      515                4271
                                                          18,655        455        X       X   28-5284      455
AMERISOURCEBERGEN CORP    COM             03073E105       39,531        736        X           28-5284      436                 300
                                                          67,245      1,252        X       X   28-5284     1252
0           COLUMN TOTAL                               2,540,938
0
0
0




1                                                               FILE NO. 28-1235
PAGE 15 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
AMERIGROUP CORP           COM             03073T102      337,500      6,000        X       X   28-5284     6000
AMERISERV FINL INC        COM             03074A102       85,350     17,070        X           28-5284    17070
                                                          15,000      3,000        X       X   28-5284     3000
AMERITRADE HLDG CORP NEW  COM             03074K100        1,165         97        X           28-5284       97
AMERIGAS PARTNERS L P     UNIT L P INT    030975106       75,597      2,560        X           28-5284     2560
                                                          93,020      3,150        X       X   28-5284     3150
AMETEK INC NEW            COM             031100100      125,828      4,150        X           28-5284     4150
                                                          72,768      2,400        X       X   28-5284     2400
AMGEN INC                 COM             031162100   66,510,364  1,170,751        X           28-5284  1086522      10672    73557
                                                      42,484,847    747,841        X       X   28-5284   473498     106880   167463
                                                          95,157      1,675        X           28-1500     1675
                                                         247,124      4,350        X       X   28-1500     4350
                                                       1,229,255     21,638        X           28-4580    21055                 583
                                                       1,497,455     26,359        X       X   28-4580    16365       9994
AMKOR TECHNOLOGY INC      COM             031652100       14,600      4,000        X           28-5284     4000
AMPAL AMERN ISRAEL CORP   CL A            032015109        3,450      1,000        X           28-5284     1000
AMPAL AMERN ISRAEL CORP   PFD CV 6.50%    032015307       35,660      3,566        X           28-5284     3566
AMPCO-PITTSBURGH CORP     COM             032037103        2,652        200        X       X   28-5284      200
AMPHENOL CORP NEW         CL A            032095101       58,242      1,700        X           28-5284     1700
AMSOUTH BANCORPORATION    COM             032165102    3,504,328    143,620        X           28-5284   137571                6049
                                                         148,279      6,077        X       X   28-5284     2077       4000
                                                           4,880        200        X           28-1500                 200
AMSURG CORP               COM             03232P405       23,828      1,125        X           28-5284     1125
                                                           4,766        225        X       X   28-1500      225
AMYLIN PHARMACEUTICALS
   INC                    COM             032346108       14,364        700        X           28-5284      700
                                                           2,052        100        X       X   28-5284      100
                                                         123,120      6,000        X       X   28-1500     6000
0           COLUMN TOTAL                             116,810,651
0
0
0




1                                                               FILE NO. 28-1235
PAGE 16 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ANADARKO PETE CORP        COM             032511107    8,009,320    120,695        X           28-5284   115000        450     5245
                                                       4,274,380     64,412        X       X   28-5284    33029      27165     4218
                                                         126,084      1,900        X           28-1500     1400        500
                                                          56,738        855        X           28-4580      855
                                                          15,263        230        X       X   28-4580       30        200
ANALOG DEVICES INC        COM             032654105   27,504,482    709,244        X           28-5284   675052      10503    23689
                                                       5,914,066    152,503        X       X   28-5284    96000      52088     4415
                                                           3,878        100        X       X   28-1500      100
                                                         691,021     17,819        X           28-4580    17207                 612
                                                         116,379      3,001        X       X   28-4580     2511        490
ANDERSONS INC             COM             034164103      203,413      9,756        X       X   28-1500     9756
ANDREW CORP               COM             034425108        2,448        200        X       X   28-5284      200
                                                          12,240      1,000        X           28-4580     1000
ANDRX CORP DEL            ANDRX GROUP     034553107        3,354        150        X           28-5284      150
ANGLO AMERN PLC           ADR             03485P102       47,627      1,964        X           28-5284     1572        392
                                                         781,553     32,229        X       X   28-5284    32229
ANGLOGOLD ASHANTI LTD     SPONSORED ADR   035128206       11,670        300        X           28-5284      300
                                                          59,673      1,534        X       X   28-5284     1534
ANHEUSER BUSCH COS INC    COM             035229103   72,189,288  1,445,231        X           28-5284  1361284      21478    62469
                                                      34,985,480    700,410        X       X   28-5284   388801     233827    77782
                                                         260,639      5,218        X           28-1500     4800        418
                                                       1,460,888     29,247        X           28-4580    29056                 191
                                                       1,267,232     25,370        X       X   28-4580    24143       1010      217
ANIXTER INTL INC          COM             035290105       10,176        290        X           28-5284      290
ANNALY MTG MGMT INC       COM             035710409       49,677      2,900        X           28-5284     2900
                                                         119,910      7,000        X       X   28-5284                7000
ANSYS INC                 COM             03662Q105        2,785         56        X           28-5284       56
                                                           3,779         76        X       X   28-5284       76
ANTHEM INC                COM             03674B104      657,865      7,540        X           28-5284     7136         40      364
                                                         282,254      3,235        X       X   28-5284      635                2600
                                                          69,102        792        X           28-1500                 792
0           COLUMN TOTAL                             159,192,664
0
0
0




1                                                               FILE NO. 28-1235
PAGE 17 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
ANTEON INTL CORP          COM             03674E108        3,005         82        X           28-5284       82
ANTHRACITE CAP INC        COM             037023108       38,920      3,500        X           28-5284     3500
                                                           5,560        500        X       X   28-5284                 500
ANTIGENICS INC DEL        COM             037032109        3,015        500        X           28-5284      500
ANWORTH MORTGAGE ASSET
   CP                     COM             037347101       30,726      2,700        X           28-5284     1700                1000
                                                         170,700     15,000        X           28-4580    15000
AON CORP                  COM             037389103      825,557     28,725        X           28-5284    27155        170     1400
                                                       1,171,500     40,762        X       X   28-5284    36250                4512
APACHE CORP               COM             037411105    1,617,851     32,286        X           28-5284    29464                2822
                                                       3,933,635     78,500        X       X   28-5284    73040       3160     2300
                                                         135,698      2,708        X       X   28-1500     2708
                                                          16,787        335        X           28-4580      335
APARTMENT INVT & MGMT CO  CL A            03748R101       17,286        497        X           28-5284      497
                                                           8,452        243        X       X   28-5284      243
APOLLO GROUP INC          CL A            037604105       92,006      1,254        X           28-5284     1254
                                                         458,563      6,250        X       X   28-5284     6000        250
APPLE COMPUTER INC        COM             037833100      540,795     13,956        X           28-5284    12956                1000
                                                         628,525     16,220        X       X   28-5284     4120      12100
                                                          10,695        276        X       X   28-1500      276
                                                          77,578      2,002        X           28-4580     2002
                                                       3,375,784     87,117        X                      87117
APPLEBEES INTL INC        COM             037899101       99,907      3,952        X           28-5284     1890                2062
                                                         516,976     20,450        X       X   28-5284    20150        300
APRIA HEALTHCARE GROUP
   INC                    COM             037933108       37,333      1,370        X           28-5284     1370
APPLERA CORP              COM AP BIO GRP  038020103      621,616     32,942        X           28-5284    32942
                                                         192,946     10,225        X       X   28-5284     5125       5100
APPLERA CORP              COM CE GEN GRP  038020202       34,170      2,923        X           28-5284     2923
                                                          10,696        915        X       X   28-5284      515        400
APPLIED DIGITAL
   SOLUTIONS              COM NEW         038188306          329        150        X       X   28-5284      150
APPLIED MICRO CIRCUITS
   CORP                   COM             03822W109        2,795        893        X           28-5284      893
0           COLUMN TOTAL                              14,679,406
0
0
0




1                                                               FILE NO. 28-1235
PAGE 18 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
APPLIED MATLS INC         COM             038222105   23,063,491  1,398,635        X           28-5284  1091934       5270   301431
                                                       6,963,694    422,298        X       X   28-5284   230710     173541    18047
                                                         413,140     25,054        X           28-1500     9954      15100
                                                           7,750        470        X           28-4580      470
                                                          11,543        700        X       X   28-4580      700
AQUA AMERICA INC          COM             03836W103    1,522,450     68,858        X           28-5284    68858
                                                       2,330,018    105,383        X       X   28-5284    50095      55288
                                                         437,999     19,810        X       X   28-1500    19810
AQUILA INC                COM             03840P102       12,165      3,899        X       X   28-5284     3899
ARADIGM CORP              COM             038505103        1,280      1,000        X           28-5284     1000
ARAMARK CORP              CL B            038521100      332,046     13,755        X           28-5284    12755                1000
                                                          24,140      1,000        X       X   28-5284                1000
ARCH CHEMICALS INC        COM             03937R102       11,856        416        X           28-5284      416
                                                         204,459      7,174        X       X   28-5284     6692        275      207
ARCH COAL INC             COM             039380100       19,910        561        X           28-5284      561
ARCHER DANIELS MIDLAND
   CO                     COM             039483102      673,240     39,649        X           28-5284    38807                 842
                                                         801,694     47,214        X       X   28-5284    36158       9621     1435
ARCHSTONE SMITH TR        COM             039583109      263,941      8,342        X           28-5284     7342                1000
                                                       3,563,645    112,631        X       X   28-5284     2200      10431   100000
ARDEN RLTY INC            COM             039793104       65,160      2,000        X       X   28-5284     2000
ARGONAUT GROUP INC        COM             040157109        2,520        135        X           28-5284      135
                                                           9,335        500        X       X   28-5284                          500
ARGOSY GAMING CO          COM             040228108       23,598        602        X           28-5284      602
ARIBA INC                 COM NEW         04033V203       18,699      2,002        X           28-5284     2002
                                                           1,354        145        X       X   28-5284      145
                                                         114,079     12,214        X           28-1500    12214
ARKANSAS BEST CORP DEL    COM             040790107        9,155        250        X           28-5284      250
                                                           3,662        100        X       X   28-5284      100
0           COLUMN TOTAL                              40,906,023
0
0
0




1                                                               FILE NO. 28-1235
PAGE 19 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
ARMOR HOLDINGS INC        COM             042260109       12,483        300        X           28-5284                          300
                                                         166,440      4,000        X       X   28-5284     4000
AROTECH CORP              COM             042682104        4,650      3,000        X           28-5284     3000
ARQULE INC                COM             04269E107        2,310        500        X       X   28-5284      500
ARRIS GROUP INC           COM             04269Q100       18,270      3,500        X       X   28-5284     3500
ARROW ELECTRS INC         COM             042735100        5,329        236        X           28-5284      236
ARTESIAN RESOURCES CORP   CL A            043113208       54,360      2,000        X           28-5284      500                1500
                                                          14,949        550        X       X   28-5284      550
                                                          41,830      1,539        X           28-1500      539       1000
ARTESYN TECHNOLOGIES INC  COM             043127109    1,538,088    154,117        X           28-5284   154117
                                                              60          6        X           28-1500        6
ARVINMERITOR INC          COM             043353101       52,913      2,822        X           28-5284     2822
                                                          27,131      1,447        X       X   28-5284                1447
ASCENTIAL SOFTWARE CORP   COM NEW         04362P207       14,238      1,057        X           28-5284     1057
ASHLAND INC               COM             044204105      462,380      8,245        X           28-5284     3745                4500
                                                         143,677      2,562        X       X   28-5284      435        543     1584
                                                          66,287      1,182        X       X   28-1500     1182
ASIA TIGERS FD INC        COM             04516T105       10,000      1,000        X       X   28-5284     1000
ASK JEEVES INC            COM             045174109      425,230     13,000        X       X   28-5284    13000
ASSOCIATED BANC CORP      COM             045487105       59,778      1,864        X           28-5284     1000                 864
                                                          32,070      1,000        X       X   28-5284                         1000
ASTORIA FINL CORP         COM             046265104      141,960      4,000        X       X   28-5284                4000
ASTRAZENECA PLC           SPONSORED ADR   046353108       79,792      1,940        X           28-5284     1940
                                                          45,243      1,100        X       X   28-5284     1100
                                                           4,113        100        X       X   28-1500      100
ATHEROS COMMUNICATIONS
   INC                    COM             04743P108       15,300      1,500        X           28-4580     1500
ATLANTIC RLTY TR          SH BEN INT      048798102        1,121         65        X           28-5284       65
0           COLUMN TOTAL                               3,440,002
0
0
0




1                                                               FILE NO. 28-1235
PAGE 20 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
ATLANTIS PLASTICS INC     COM             049156102       41,305      2,750        X           28-5284     2750
ATLAS PIPELINE PARTNERS
   LP                     UNIT L P INT    049392103        3,828        100        X       X   28-5284                 100
ATMEL CORP                COM             049513104      343,900     95,000        X       X   28-5284               95000
ATMOS ENERGY CORP         COM             049560105      782,779     31,075        X           28-5284    26075                5000
                                                          15,114        600        X       X   28-5284                 600
ATRION CORP               COM             049904105        3,373         71        X           28-1500       71
AUSTRALIA&NEW ZEALAND
   BKG GR                 SPONSORED ADR   052528304       13,820        200        X           28-5284      200
AUTHENTIDATE HLDG CORP    COM             052666104        1,212        200        X       X   28-1500      200
AUTODESK INC              COM             052769106       11,234        231        X           28-5284      231
                                                         603,012     12,400        X       X   28-5284    12400
AUTOLIV INC               COM             052800109      234,199      5,797        X           28-5284     5797
                                                          99,950      2,474        X       X   28-5284     2189        285
AUTOMATIC DATA
   PROCESSING IN          COM             053015103   95,506,098  2,311,377        X           28-5284  1901299      27563   382515
                                                      52,283,601  1,265,334        X       X   28-5284   943555     180579   141200
                                                       4,374,838    105,877        X           28-1500    91115      14762
                                                         242,755      5,875        X           28-4580     5875
                                                       1,885,597     45,634        X       X   28-4580    19084               26550
AUTONOMY CORP PLC         ADR NEW         05329Q204          205         12        X           28-4580       12
AUTONATION INC            COM             05329W102       17,080      1,000        X           28-5284     1000
                                                         119,560      7,000        X       X   28-5284                         7000
AUTOZONE INC              COM             053332102       16,223        210        X           28-5284      210
AVALON HLDGS CORP         CL A            05343P109          143         50        X       X   28-5284       50
AVANEX CORP               COM             05348W109       52,224     25,600        X           28-5284    25600
AVALONBAY CMNTYS INC      COM             053484101        6,323        105        X       X   28-5284                          105
0           COLUMN TOTAL                             156,658,373
0
0
0




1                                                               FILE NO. 28-1235
PAGE 21 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
AVAYA INC                 COM             053499109       51,940      3,726        X           28-5284     3326                 400
                                                          46,574      3,341        X       X   28-5284     1978       1247      116
                                                           6,468        464        X           28-4580      464
                                                           1,966        141        X       X   28-4580      141
AVENTIS                   SPONSORED ADR   053561106       84,504      1,001        X           28-5284     1001
AVERY DENNISON CORP       COM             053611109   16,073,540    244,353        X           28-5284   232868        725    10760
                                                       2,685,666     40,828        X       X   28-5284    25418      15260      150
                                                          10,525        160        X           28-4580      160
                                                          65,780      1,000        X       X   28-4580     1000
AVIALL INC NEW            COM             05366B102       34,680      1,700        X       X   28-5284     1700
AVID TECHNOLOGY INC       COM             05367P100       37,027        790        X           28-5284      790
                                                         111,082      2,370        X       X   28-5284                2370
AVISTA CORP               COM             05379B107        7,240        400        X       X   28-5284      400
AVOCENT CORP              COM             053893103       37,093      1,425        X           28-5284     1425
                                                          58,568      2,250        X       X   28-5284                         2250
AVON PRODS INC            COM             054303102    6,788,134    155,406        X           28-5284    82086        600    72720
                                                       1,208,538     27,668        X       X   28-5284    26468        400      800
                                                          47,873      1,096        X           28-1500     1096
AWARE INC MASS            COM             05453N100        1,185        500        X           28-5284      500
AXA                       SPONSORED ADR   054536107       46,340      2,285        X           28-5284     1985                 300
                                                          14,358        708        X       X   28-5284      118        590
                                                          44,616      2,200        X       X   28-1500     2200
AXCELIS TECHNOLOGIES INC  COM             054540109       59,061      7,133        X           28-5284     6898        235
                                                          96,901     11,703        X       X   28-5284     3456       8247
AZTAR CORP                COM             054802103        1,670         63        X       X   28-4580        6                  57
BB&T CORP                 COM             054937107   13,102,026    330,109        X           28-5284   319697               10412
                                                       2,639,187     66,495        X       X   28-5284    59308       7187
                                                         131,017      3,301        X           28-1500     1000       2301
                                                         138,915      3,500        X           28-4580     3500
                                                          19,845        500        X       X   28-4580      500
0           COLUMN TOTAL                              43,652,319
0
0
0




1                                                               FILE NO. 28-1235
PAGE 22 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                              
AXEDA SYSTEMS INC         COM             054959101          419        931        X       X   28-5284      931
BASF AG                   SPONSORED ADR   055262505        2,004         34        X           28-5284       34
BCE INC                   COM             05534B109        2,165        100        X           28-5284      100
                                                          99,590      4,600        X       X   28-5284     4600
BG PLC                    ADR FIN INST N  055434203       26,687        784        X           28-5284      784
                                                          35,129      1,032        X       X   28-1500     1032
BISYS GROUP INC           COM             055472104        8,445        578        X           28-5284      578
                                                          12,272        840        X       X   28-1500      840
BKF CAP GROUP INC         COM             05548G102        4,014        137        X           28-5284      137
BJS WHOLESALE CLUB INC    COM             05548J106    1,123,401     41,090        X           28-5284    41090
                                                         223,915      8,190        X       X   28-5284     1690       6000      500
                                                           2,734        100        X       X   28-4580                 100
BJ SVCS CO                COM             055482103       31,027        592        X           28-5284      592
                                                           3,459         66        X       X   28-1500       66
BP PLC                    SPONSORED ADR   055622104  116,135,293  2,018,691        X           28-5284  1856638      62623    99430
                                                     189,288,313  3,290,254        X       X   28-5284  1142152     753429  1394673
                                                         836,831     14,546        X           28-1500               14546
                                                       3,059,791     53,186        X           28-4580    52714                 472
                                                       8,620,295    149,840        X       X   28-4580    96928       3852    49060
BP PRUDHOE BAY RTY TR     UNIT BEN INT    055630107      233,050      5,900        X           28-5284     3900                2000
                                                          35,550        900        X       X   28-5284      900
BRE PROPERTIES INC        CL A            05564E106      100,132      2,611        X           28-5284     2611
                                                         176,410      4,600        X       X   28-5284     4400        200
BT GROUP PLC              ADR             05577E101        1,746         53        X           28-5284       53
                                                           3,295        100        X       X   28-5284      100
BMC SOFTWARE INC          COM             055921100       25,770      1,630        X           28-5284     1630
                                                         123,318      7,800        X       X   28-5284     7800
BNCCORP INC               COM             055936108    1,637,370    113,000        X           28-1500   113000
0           COLUMN TOTAL                             321,852,425
0
0
0




1                                                               FILE NO. 28-1235
PAGE 23 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
BAKER HUGHES INC          COM             057224107   10,027,226    229,351        X           28-5284   213201       1795    14355
                                                       2,720,215     62,219        X       X   28-5284    40608      18351     3260
                                                         115,246      2,636        X           28-4580     2636
                                                          79,483      1,818        X       X   28-4580     1518        300
BALL CORP                 COM             058498106   12,585,538    336,242        X           28-5284   296291      10720    29231
                                                       5,559,964    148,543        X       X   28-5284    83673      56150     8720
                                                         248,910      6,650        X           28-4580     6650
                                                          94,324      2,520        X       X   28-4580     2200        320
BALLARD PWR SYS INC       COM             05858H104        5,380        725        X           28-5284      200        525
                                                          12,243      1,650        X       X   28-5284     1650
                                                          14,840      2,000        X       X   28-4580                         2000
BANCO BILBAO VIZCAYA
   ARGENTA                SPONSORED ADR   05946K101        4,775        346        X           28-5284      346
BANCO SANTANDER CENT
   HISPANO                ADR             05964H105      139,052     14,218        X           28-5284    11718                2500
BANCORP BK                COM             05969F104      407,000     20,000        X           28-5284    20000
                                                          81,400      4,000        X       X   28-5284                4000
BANCORP RHODE ISLAND INC  COM             059690107      106,800      3,000        X       X   28-5284                3000
BANCORPSOUTH INC          COM             059692103      179,874      7,824        X           28-5284     6000                1824
                                                         104,375      4,540        X       X   28-5284     4540
                                                       3,062,268    133,200        X           28-1500   133200
BANCROFT CONV FD INC      COM             059695106    1,659,005     90,409        X           28-5284    90409
BANK OF AMERICA
   CORPORATION            COM             060505104  246,802,004  5,695,869        X           28-5284  5443332      99359   153178
                                                     341,203,038  7,874,522        X       X   28-5284  6724942    1043150   106430
                                                       2,583,335     59,620        X           28-1500    50770       8850
                                                       5,466,556    126,161        X           28-4580   124353                1808
                                                       1,564,083     36,097        X       X   28-4580    30039       5316      742
BANK HAWAII CORP          COM             062540109      254,111      5,378        X           28-5284     5378
                                                         164,525      3,482        X       X   28-5284     3482
BANK MONTREAL QUE         COM             063671101       15,281        350        X       X   28-5284      350
0           COLUMN TOTAL                             635,260,851
0
0
0




1                                                               FILE NO. 28-1235
PAGE 24 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
BANK NEW YORK INC         COM             064057102    1,929,858     66,159        X           28-5284    64079                2080
                                                       1,186,081     40,661        X       X   28-5284    22888      16892      881
                                                          17,765        609        X       X   28-1500      609
                                                         595,068     20,400        X           28-4580    20400
                                                           6,126        210        X       X   28-4580                 210
BANK OAKRIDGE NORTH
   CAROLINA               COM             064180102      130,000     10,000        X       X   28-5284    10000
BANK OF WILMINGTON        COM             065824104      110,000     10,000        X       X   28-5284    10000
BANKATLANTIC BANCORP      CL A            065908501       18,320      1,000        X           28-5284     1000
BANKNORTH GROUP INC NEW   COM             06646R107      383,075     10,945        X           28-5284    10725        220
                                                       1,061,585     30,331        X       X   28-5284    29291                1040
BANTA CORP                COM             066821109        6,956        175        X           28-5284      175
BAR HBR BANKSHARES        COM             066849100        5,400        200        X           28-5284      200
                                                          54,000      2,000        X       X   28-5284     2000
BARCLAYS PLC              ADR             06738E204        9,711        251        X           28-5284      251
BARD C R INC              COM             067383109       66,257      1,170        X           28-5284     1170
                                                         770,168     13,600        X       X   28-5284    13600
BARNES & NOBLE INC        COM             067774109      123,580      3,340        X           28-5284     3340
                                                         168,350      4,550        X       X   28-5284     1000       3550
                                                          21,238        574        X       X   28-4580      574
BARNES GROUP INC          COM             067806109        3,022        110        X           28-5284      110
                                                          27,470      1,000        X       X   28-5284     1000
BARRICK GOLD CORP         COM             067901108      108,798      5,171        X           28-5284     4406        765
                                                         977,876     46,477        X       X   28-5284    43177       3300
BARR PHARMACEUTICALS INC  COM             068306109    2,792,796     67,410        X           28-5284    65290        120     2000
                                                       1,241,823     29,974        X       X   28-5284    13350      14512     2112
                                                          11,932        288        X       X   28-1500      288
                                                          10,855        262        X           28-4580      262
                                                          12,429        300        X       X   28-4580                 300
BAUSCH & LOMB INC         COM             071707103      345,540      5,200        X           28-5284     5200
                                                         362,153      5,450        X       X   28-5284      350       5100
0           COLUMN TOTAL                              12,558,232
0
0
0




1                                                               FILE NO. 28-1235
PAGE 25 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
BAXTER INTL INC           COM             071813109    7,734,223    240,492        X           28-5284   222272       3150    15070
                                                       7,248,028    225,374        X       X   28-5284   131050      56658    37666
                                                          34,572      1,075        X       X   28-1500     1075
                                                          52,260      1,625        X           28-4580     1625
                                                          93,393      2,904        X       X   28-4580     2404        500
BAXTER INTL INC           CORP UNITS 7%   071813406      731,000     13,600        X           28-5284    13600
                                                          16,125        300        X       X   28-5284      300
BAY VIEW CAP CORP DEL     COM NEW         07262L309        5,613        341        X           28-5284      341
BAYER A G                 SPONSORED ADR   072730302       13,715        500        X           28-5284                 500
                                                           8,229        300        X       X   28-5284                 300
                                                           2,743        100        X       X   28-1500      100
BBVA BANCO FRANCES S A    SPONSORED ADR   07329M100        2,208        330        X           28-5284      330
BEA SYS INC               COM             073325102       32,857      4,755        X           28-5284     4755
                                                          18,104      2,620        X       X   28-5284     2620
                                                         169,295     24,500        X                      24500
BEACON POWER CORP         COM             073677106          273        516        X       X   28-5284      516
BEAR STEARNS COS INC      COM             073902108      182,915      1,902        X           28-5284     1802                 100
                                                         931,214      9,683        X       X   28-5284     5683       4000
                                                         364,458      3,800        X                       3800
BEARINGPOINT INC          COM             074002106       26,820      3,000        X           28-5284     3000
BEAZER HOMES USA INC      COM             07556Q105       32,067        300        X           28-5284      300
                                                          32,067        300        X       X   28-5284      300
BECKMAN COULTER INC       COM             075811109      236,546      4,215        X           28-5284     3565                 650
                                                       1,070,770     19,080        X       X   28-5284     9590       9490
                                                           9,035        161        X           28-4580      161
                                                         104,495      1,862        X       X   28-4580     1862
BECTON DICKINSON & CO     COM             075887109    2,885,791     55,818        X           28-5284    23818      32000
                                                         989,848     19,146        X       X   28-5284    14846       4300
                                                          20,680        400        X       X   28-1500      400
0           COLUMN TOTAL                              23,049,344
0
0
0




1                                                               FILE NO. 28-1235
PAGE 26 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
BED BATH & BEYOND INC     COM             075896100   40,935,002  1,103,072        X           28-5284  1023842      17630    61600
                                                      14,065,210    379,014        X       X   28-5284   275792      82587    20635
                                                          70,657      1,904        X       X   28-1500     1904
                                                       1,633,174     44,009        X           28-4580    42670                1339
                                                         741,272     19,975        X       X   28-4580    12083       7283      609
BELLSOUTH CORP            COM             079860102   32,205,136  1,187,505        X           28-5284  1034504      11864   141137
                                                      25,017,034    922,457        X       X   28-5284   654745     207384    60328
                                                         278,685     10,276        X           28-1500               10276
                                                       1,620,067     59,737        X           28-4580    55801                3936
                                                       1,331,755     49,106        X       X   28-4580    48330        400      376
BELO CORP                 COM SER A       080555105       63,112      2,800        X           28-5284     2800
BEMA GOLD CORP            COM             08135F107       29,029      9,100        X           28-5284                         9100
BEMIS INC                 COM             081437105      459,834     17,300        X           28-5284    17300
                                                         116,952      4,400        X       X   28-5284     4400
BENCHMARK ELECTRS INC     COM             08160H101       15,645        525        X           28-5284      525
BENTLEY PHARMACEUTICALS
   INC                    COM             082657107       10,590      1,000        X           28-5284      500                 500
BERKLEY W R CORP          COM             084423102    5,490,792    130,237        X           28-5284   130237
                                                         409,163      9,705        X       X   28-5284     9705
                                                         172,982      4,103        X       X   28-4580     4103
BERKSHIRE BANCORP INC
   DEL                    COM NEW         084597202        1,481         90        X           28-5284       90
BERKSHIRE HATHAWAY INC
   DEL                    CL A            084670108            0        281        X           28-5284      226          2       53
                                                               0      1,323        X       X   28-5284     1230          5       88
                                                               0         22        X           28-1500       22
                                                               0         54        X       X   28-1500       54
                                                               0         10        X       X   28-4580       10
BERKSHIRE HATHAWAY INC
   DEL                    CL B            084670207   46,989,657     16,367        X           28-5284    14011         34     2322
                                                      16,462,314      5,734        X       X   28-5284     3962        519     1253
                                                       4,510,341      1,571        X           28-1500     1199        372
                                                         611,523        213        X           28-4580      213
                                                         447,876        156        X       X   28-4580       39                 117
BERRY PETE CO             CL A            085789105      550,950     15,000        X       X   28-5284    15000
0           COLUMN TOTAL                             194,240,233
0
0
0




1                                                               FILE NO. 28-1235
PAGE 27 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
BEST BUY INC              COM             086516101    6,767,308    124,766        X           28-5284   117029        330     7407
                                                       1,327,795     24,480        X       X   28-5284    15210       7710     1560
                                                           6,563        121        X           28-1500      121
                                                         100,290      1,849        X       X   28-1500     1849
                                                          55,054      1,015        X           28-4580     1015
                                                           4,882         90        X       X   28-4580       90
BHP BILLITON LTD          SPONSORED ADR   088606108        4,856        234        X           28-5284      234
                                                          49,261      2,374        X       X   28-5284      774       1600
BIG LOTS INC              COM             089302103      134,665     11,011        X           28-5284     8011                3000
                                                         307,658     25,156        X       X   28-5284    25156
BIO IMAGING TECHNOLOGIES
   INC                    COM             09056N103        3,904        800        X       X   28-5284      800
BIOMET INC                COM             090613100      932,162     19,884        X           28-5284    17640                2244
                                                         649,288     13,850        X       X   28-5284    13850
                                                          99,620      2,125        X       X   28-1500     2125
BIOGEN IDEC INC           COM             09062X103      354,113      5,789        X           28-5284     5789
                                                         273,858      4,477        X       X   28-5284     3212       1265
                                                           8,258        135        X       X   28-1500      135
BIOPURE CORP              CL A            09065H105       22,550     55,000        X       X   28-1500    55000
BIOSPHERE MEDICAL INC     COM             09066V103          984        300        X           28-5284      300
BIOTECH HOLDERS TR        DEPOSTRY RCPTS  09067D201      158,950      1,100        X           28-5284     1100
                                                         245,650      1,700        X       X   28-5284     1200        500
BIOVAIL CORP              COM             09067J109       11,072        640        X           28-5284      640
BIOLASE TECHNOLOGY INC    COM             090911108       35,088      4,300        X           28-5284     4300
BIOSITE INC               COM             090945106        3,672         75        X       X   28-5284       75
BLACK & DECKER CORP       COM             091797100      492,906      6,365        X           28-5284     6165        200
                                                         838,288     10,825        X       X   28-5284     4000       5625     1200
                                                           7,744        100        X       X   28-1500      100
                                                          11,616        150        X       X   28-4580      150
BLACK BOX CORP DEL        COM             091826107        3,695        100        X       X   28-5284      100
0           COLUMN TOTAL                              12,911,750
0
0
0




1                                                               FILE NO. 28-1235
PAGE 28 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
BLACK HILLS CORP          COM             092113109       31,308      1,127        X           28-5284     1127
                                                          50,004      1,800        X       X   28-5284     1800
BLACKROCK ADVANTAGE
   TERM TR                COM             09247A101      111,598     10,295        X           28-5284    10295
                                                          96,086      8,864        X       X   28-5284     4432                4432
BLACKROCK FLA INVT
   QUALITY M              COM             09247B109       48,335      3,455        X           28-5284     3455
                                                          71,349      5,100        X       X   28-5284     5100
BLACKROCK INVT QUALITY
   MUN T                  COM             09247D105      322,813     22,156        X           28-5284    22156
                                                         182,242     12,508        X       X   28-5284    10508       2000
BLACKROCK NY INVT
   QUALITY MU             COM             09247E103      290,830     20,908        X           28-5284    20908
                                                         160,132     11,512        X       X   28-5284    11512
BLACKROCK INCOME TR INC   COM             09247F100       41,679      5,587        X           28-5284     5587
                                                         100,151     13,425        X       X   28-5284     4325       9100
                                                          71,430      9,575        X       X   28-1500     9575
BLACKROCK FL INSD MUN
   2008 T                 COM             09247H106      331,006     21,043        X           28-5284    21043
                                                          47,190      3,000        X       X   28-5284     1000       2000
BLACKROCK INVT QUALITY
   TERM                   COM             09247J102    6,680,644    680,310        X           28-5284   657310               23000
BLACKROCK INSD MUN 2008
   TRM                    COM             09247K109      103,458      6,255        X           28-5284     6255
                                                         239,069     14,454        X       X   28-5284    14454
                                                          37,281      2,254        X       X   28-4580      113                2141
BLACKROCK NY INSD MUN
   2008 T                 COM             09247L107       21,138      1,300        X           28-5284     1300
                                                          34,390      2,115        X       X   28-5284     2115
BLACKROCK MUN TARGET
   TERM TR                COM             09247M105    1,299,321    122,002        X           28-5284   122002
                                                         495,033     46,482        X       X   28-5284    46482
BLACKROCK CALIF INVT
   QUALITY                COM             09247U107       51,948      3,700        X           28-5284     3700
BLACKROCK INC             CL A            09247X101      132,282      1,800        X           28-5284     1800
                                                         108,030      1,470        X       X   28-5284     1470
                                                         477,685      6,500        X       X   28-1500     6500
                                                           7,349        100        X       X   28-4580      100
                                                     362,673,150  4,935,000        X                    4935000
BLACKROCK INSD MUN TERM
   TR I                   COM             092474105    1,291,605    115,219        X           28-5284   115219
                                                         510,100     45,504        X       X   28-5284    45504
0           COLUMN TOTAL                             376,118,636
0
0
0




1                                                               FILE NO. 28-1235
PAGE 29 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
BLACKROCK INCOME OPP
   TRUST I                COM             092475102       22,540      2,000        X           28-5284     2000
BLACKROCK MUNI 2018
   TERM TR                COM             09248C106       42,000      2,800        X           28-5284     2800
BLACKROCK MUN INCOME TR   SH BEN INT      09248F109      227,240     16,360        X           28-5284    16360
                                                         212,045     15,266        X       X   28-5284     6966       3300     5000
                                                          68,297      4,917        X       X   28-1500     4917
BLACKROCK N J MUN
   INCOME TR              SH BEN INT      09248J101       18,590      1,300        X           28-5284     1300
                                                          81,510      5,700        X       X   28-5284     5700
BLACKROCK N Y MUN
   INCOME TR              SH BEN INT      09248L106       33,792      2,400        X           28-5284     2400
                                                           1,408        100        X       X   28-5284      100
BLACKROCK HIGH YIELD TR   SH BEN INT      09248N102       68,298      7,448        X           28-5284     7448
BLACKROCK PA STRATEGIC
   MUN T                  COM             09248R103      177,000     12,000        X           28-5284    12000
                                                          29,500      2,000        X       X   28-5284     1000       1000
BLACKROCK STRATEGIC
   MUN TR                 COM             09248T109       52,092      3,600        X       X   28-5284     3600
BLACKROCK NJ MUNICIPAL
   BOND                   COM             09249A109       30,588      2,142        X       X   28-5284     2142
BLACKROCK CORE BD TR      SHS BEN INT     09249E101       27,560      2,000        X           28-5284     2000
BLACKROCK MUNI INCOME
   TR II                  COM             09249N101       30,976      2,200        X       X   28-5284     2200
                                                          26,118      1,855        X       X   28-1500     1855
BLACKROCK PFD
   OPPORTUNITY TR         COM SHS         09249V103      296,400     12,000        X           28-5284    12000
                                                          20,180        817        X       X   28-5284      817
BLACKROCK LTD DURATION
   INC T                  COM SHS         09249W101       75,537      3,850        X           28-5284     3850
                                                          19,620      1,000        X       X   28-5284     1000
                                                          24,525      1,250        X       X   28-1500     1250
BLACKROCK STRAT DIVD
   ACHIEVE                COM             09249Y107       39,900      2,800        X       X   28-1500     2800
BLACKROCK DIVID
   ACHIEVRS TM            COM             09250N107      209,720     14,000        X           28-5284    14000
                                                          14,980      1,000        X       X   28-5284                         1000
BLAIR CORP                COM             092828102   11,112,473    394,339        X           28-5284   394339
                                                         749,588     26,600        X       X   28-5284    26600
0           COLUMN TOTAL                              13,712,477
0
0
0




1                                                               FILE NO. 28-1235
PAGE 30 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
BLOCK H & R INC           COM             093671105    1,368,193     27,685        X           28-5284    26385                1300
                                                         583,057     11,798        X       X   28-5284     2598       8100     1100
                                                          76,107      1,540        X       X   28-1500     1540
BLYTH INC                 COM             09643P108       34,484      1,116        X           28-5284     1116
BOEING CO                 COM             097023105    9,429,735    182,676        X           28-5284   159348       2100    21228
                                                      11,474,920    222,296        X       X   28-5284   141279      36718    44299
                                                         152,795      2,960        X       X   28-1500     2960
                                                         174,218      3,375        X           28-4580     3375
                                                         227,128      4,400        X       X   28-4580     3800        600
BOISE CASCADE CORP        COM             097383103       12,014        361        X           28-5284      361
BORDERS GROUP INC         COM             099709107          992         40        X           28-5284       40
                                                           7,440        300        X       X   28-1500      300
BORG WARNER INC           COM             099724106        8,658        200        X       X   28-5284      200
BOSTON BEER INC           CL A            100557107          832         33        X           28-5284       33
                                                          12,600        500        X       X   28-5284                 500
BOSTON PRIVATE FINL
   HLDGS IN               COM             101119105       89,856      3,600        X       X   28-5284     3600
BOSTON PROPERTIES INC     COM             101121101    4,113,095     74,257        X           28-5284    68723       4577      957
                                                       6,170,612    111,403        X       X   28-5284    34463      46550    30390
                                                          71,508      1,291        X           28-4580     1291
BOSTON SCIENTIFIC CORP    COM             101137107      347,161      8,738        X           28-5284     8738
                                                       1,605,887     40,420        X       X   28-5284    34120       6300
                                                          49,663      1,250        X       X   28-1500     1250
BOWATER INC               COM             102183100       80,161      2,099        X       X   28-5284                2099
BOWL AMER INC             CL A            102565108          658         46        X       X   28-5284                  46
BOYD GAMING CORP          COM             103304101       56,300      2,000        X           28-5284     2000
                                                           1,971         70        X       X   28-4580        7                  63
BRADLEY PHARMACEUTICALS
   INC                    COM             104576103        4,070        200        X           28-5284      200
BRANDYWINE RLTY TR        SH BEN INT NEW  105368203       31,328      1,100        X           28-5284     1100
                                                         108,224      3,800        X       X   28-5284     3800
0           COLUMN TOTAL                              36,293,667
0
0
0




1                                                               FILE NO. 28-1235
PAGE 31 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
BRAZIL FD INC             COM             105759104      105,840      4,000        X       X   28-5284     4000
BRIGGS & STRATTON CORP    COM             109043109      103,936      1,280        X           28-5284      800                 480
                                                       1,737,680     21,400        X       X   28-5284    19250       2150
BRIGHTPOINT INC           COM NEW         109473405        1,531         89        X           28-1500       89
BRINKER INTL INC          COM             109641100      119,460      3,835        X           28-5284     3835
                                                          62,300      2,000        X       X   28-5284     2000
BRINKS CO                 COM             109696104       82,968      2,750        X           28-5284     2750
BRISTOL MYERS SQUIBB CO   COM             110122108  116,432,635  4,918,996        X           28-5284  4672179      36791   210026
                                                      70,825,232  2,992,194        X       X   28-5284  2165599     647164   179431
                                                         874,962     36,965        X           28-1500      250      36715
                                                       2,419,926    102,236        X           28-4580   102136                 100
                                                       2,944,903    124,415        X       X   28-4580   111544      11111     1760
BRITESMILE INC            COM NEW         110415205        8,169        755        X           28-5284      755
BRITISH AWYS PLC          ADR 2ND INSTAL  110419306        9,408        250        X           28-5284      250
BRITISH AMERN TOB PLC     SPONSORED ADR   110448107       18,331        628        X           28-5284      628
BROADBAND HOLDRS TR       DEPOSITRY RCPT  11130P104      265,125     17,500        X           28-5284    17500
                                                           4,545        300        X       X   28-5284      300
BROADCOM CORP             CL A            111320107      520,748     19,082        X           28-5284    19082
                                                          16,101        590        X       X   28-5284      590
BROCADE COMMUNICATIONS
   SYS I                  COM             111621108        5,650      1,000        X           28-5284     1000
                                                           5,650      1,000        X       X   28-5284     1000
BROOKLINE BANCORP INC
   DEL                    COM             11373M107       15,670      1,000        X           28-5284     1000
                                                           3,416        218        X       X   28-5284      218
BROWN & BROWN INC         COM             115236101       82,032      1,795        X           28-5284     1795
                                                         566,680     12,400        X       X   28-5284    12400
BROWN FORMAN CORP         CL A            115637100    9,240,230    197,483        X           28-5284   146123               51360
                                                       2,068,679     44,212        X       X   28-5284      148               44064
0           COLUMN TOTAL                             208,541,807
0
0
0




1                                                               FILE NO. 28-1235
PAGE 32 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
BROWN FORMAN CORP         CL B            115637209   13,665,896    298,382        X           28-5284   128485              169897
                                                      11,100,638    242,372        X       X   28-5284   162498       2666    77208
                                                          59,540      1,300        X           28-1500                1300
BRUNSWICK CORP            COM             117043109       56,422      1,233        X           28-5284     1233
BRYN MAWR BK CORP         COM             117665109      328,629     16,366        X           28-5284    16366
                                                         162,648      8,100        X       X   28-5284     2000       6100
BSQUARE CORP              COM             11776U102        1,669      2,608        X           28-5284     2608
                                                           3,200      5,000        X       X   28-5284     5000
BUCKEYE PARTNERS L P      UNIT LTD PARTN  118230101      462,325     10,505        X           28-5284     8505                2000
                                                         539,123     12,250        X       X   28-5284     5950       6300
BURLINGTON NORTHN SANTA
   FE C                   COM             12189T104    2,354,609     61,462        X           28-5284    57443       1550     2469
                                                       7,280,701    190,047        X       X   28-5284   138285      32497    19265
                                                          57,465      1,500        X       X   28-1500     1500
                                                          46,930      1,225        X           28-4580     1225
                                                         260,508      6,800        X       X   28-4580     6800
BURLINGTON RES INC        COM             122014103    7,405,730    181,513        X           28-5284   172219       5115     4179
                                                       8,313,816    203,770        X       X   28-5284   147572      43568    12630
                                                         196,656      4,820        X       X   28-1500     4820
                                                          16,728        410        X           28-4580      410
                                                         388,090      9,512        X       X   28-4580     9020        492
C & F FINL CORP           COM             12466Q104    5,586,000    147,000        X           28-1500   147000
C&D TECHNOLOGIES INC      COM             124661109        9,510        500        X       X   28-5284                 500
CBL & ASSOC PPTYS INC     COM             124830100      188,945      3,100        X           28-5284     3100
                                                         483,455      7,932        X       X   28-1500     7932
CBRL GROUP INC            COM             12489V106       28,864        800        X           28-5284                          800
                                                          90,200      2,500        X       X   28-5284      500                2000
                                                             686         19        X           28-1500       19
C COR INC                 COM             125010108        2,535        300        X           28-5284      300
                                                          14,365      1,700        X       X   28-5284     1500                 200
C D W CORP                COM             12512N105      116,060      2,000        X           28-5284     2000
0           COLUMN TOTAL                              59,221,943
0
0
0




1                                                               FILE NO. 28-1235
PAGE 33 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
CEC ENTMT INC             COM             125137109        8,269        225        X           28-5284      225
CH ENERGY GROUP INC       COM             12541M102       82,440      1,800        X           28-5284     1800
                                                           9,160        200        X       X   28-5284                 200
C H ROBINSON WORLDWIDE
   INC                    COM             12541W100       88,141      1,900        X           28-5284     1900
CIGNA CORP                COM             125509109    6,652,729     95,544        X           28-5284    81565      12300     1679
                                                       9,855,778    141,545        X       X   28-5284    42098      98547      900
                                                          83,556      1,200        X           28-4580     1200
                                                         165,650      2,379        X       X   28-4580     2379
CIT GROUP INC             COM             125581108      119,985      3,209        X           28-5284     3209
CLECO CORP NEW            COM             12561W105       24,257      1,407        X           28-5284     1407
                                                          59,616      3,458        X       X   28-5284     1032       1050     1376
CMGI INC                  COM             125750109        1,392      1,150        X           28-5284     1000                 150
                                                           2,571      2,125        X       X   28-5284     2125
                                                             212        175        X       X   28-1500      175
CMS ENERGY CORP           COM             125896100        1,999        210        X           28-5284      210
CNF INC                   COM             12612W104      663,956     16,198        X           28-5284    16198
                                                         204,950      5,000        X       X   28-5284     5000
CNB FINL CORP PA          COM             126128107       57,000      3,750        X       X   28-5284     3750
CNET NETWORKS INC         COM             12613R104    1,307,791    142,928        X           28-5284   131228               11700
                                                          16,470      1,800        X       X   28-5284     1800
CP HOLDRS                 DEP RCPTS CP    12616K106      159,225      2,500        X           28-5284     2500
CSX CORP                  COM             126408103    2,103,120     63,347        X           28-5284    58835       2600     1912
                                                       1,296,991     39,066        X       X   28-5284    11606      23560     3900
                                                         164,473      4,954        X           28-4580     4954
CTS CORP                  COM             126501105        6,653        528        X       X   28-5284      528
CUNO INC                  COM             126583103       86,625      1,500        X       X   28-5284     1500
                                                           1,906         33        X           28-1500       33
CVB FINL CORP             COM             126600105       22,220      1,000        X           28-5284     1000
0           COLUMN TOTAL                              23,247,135
0
0
0




1                                                               FILE NO. 28-1235
PAGE 34 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
CVS CORP                  COM             126650100   20,047,097    475,839        X           28-5284   404594       1500    69745
                                                       3,052,066     72,444        X       X   28-5284    31539      31905     9000
                                                       2,564,369     60,868        X           28-1500    60868
                                                         379,423      9,006        X       X   28-1500     9006
                                                          20,222        480        X           28-4580      480
CABELAS INC               COM             126804301       29,813      1,250        X           28-5284     1250
CABLE & WIRELESS PUB LTD
   CO                     SPONSORED ADR   126830207       63,120     12,000        X       X   28-5284                        12000
CABLEVISION SYS CORP      CL A NY CABLVS  12686C109      407,202     20,079        X           28-5284    20079
                                                         153,114      7,550        X       X   28-5284     1050                6500
                                                           6,084        300        X       X   28-1500      300
CABOT CORP                COM             127055101       96,425      2,500        X           28-5284     2500
                                                          79,531      2,062        X       X   28-5284     2062
                                                          15,428        400        X       X   28-4580                 400
CABOT MICROELECTRONICS
   CORP                   COM             12709P103       20,663        570        X           28-5284      570
                                                           4,060        112        X       X   28-4580                 112
CACI INTL INC             CL A            127190304        5,278        100        X           28-5284      100
                                                         236,613      4,483        X       X   28-5284       83       4400
CADBURY SCHWEPPES PLC     ADR             127209302       89,021      2,880        X           28-5284      980                1900
                                                          35,856      1,160        X       X   28-5284      100       1060
                                                         309,100     10,000        X       X   28-4580    10000
CADENCE DESIGN SYSTEM
   INC                    COM             127387108          652         50        X       X   28-5284       50
CAESARS ENTMT INC         COM             127687101       33,400      2,000        X           28-5284     2000
                                                          84,702      5,072        X       X   28-5284     5072
                                                           2,104        126        X       X   28-4580       13                 113
CALAMOS CONV & HIGH
   INCOME F               COM SHS         12811P108      367,805     22,704        X           28-5284    22704
                                                         118,179      7,295        X       X   28-5284     2987       4308
CALAMOS CONV OPP AND INC
   FD                     SH BEN INT      128117108        9,265        458        X           28-5284      458
                                                          41,694      2,061        X       X   28-5284     2061
CALAMP CORP               COM             128126109           14          2        X           28-5284        2
CALGON CARBON CORP        COM             129603106          722        100        X           28-5284      100
0           COLUMN TOTAL                              28,273,022
0
0
0




1                                                               FILE NO. 28-1235
PAGE 35 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
CALIFORNIA COASTAL
   CMNTYS IN              COM NEW         129915203           19          1        X           28-5284        1
CALIFORNIA WTR SVC GROUP  COM             130788102       13,657        465        X           28-5284      465
                                                          10,280        350        X       X   28-5284      350
CALIPER LIFE SCIENCES
   INC                    COM             130872104          703        100        X           28-5284      100
                                                           4,218        600        X       X   28-1500      600
CALLAWAY GOLF CO          COM             131193104        1,057        100        X           28-5284      100
CALPINE CORP              COM             131347106       12,180      4,200        X           28-5284     4200
                                                          17,313      5,970        X       X   28-5284     5970
                                                             580        200        X       X   28-4580      200
CAMCO FINL CORP           COM             132618109        1,063         72        X           28-5284       72
CAMDEN NATL CORP          COM             133034108       34,510      1,000        X       X   28-5284                1000
                                                         693,651     20,100        X           28-1500    20100
CAMDEN PPTY TR            SH BEN INT      133131102      143,220      3,100        X       X   28-5284     1000       2100
CAMECO CORP               COM             13321L108      114,898      1,450        X       X   28-5284     1450
                                                          31,696        400        X       X   28-1500      400
CAMPBELL SOUP CO          COM             134429109    5,481,465    208,500        X           28-5284   202867       3200     2433
                                                      38,853,597  1,477,885        X       X   28-5284    60167    1414718     3000
                                                         325,996     12,400        X       X   28-4580     1400               11000
CANADIAN NATL RY CO       COM             136375102       92,102      1,899        X           28-5284     1899
                                                           9,700        200        X       X   28-5284      200
CANADIAN NAT RES LTD      COM             136385101       15,932        400        X       X   28-5284                 400
CANON INC                 ADR             138006309       79,229      1,680        X           28-5284      680                1000
CAPITAL AUTOMOTIVE REIT   COM SH BEN INT  139733109      256,414      8,200        X           28-5284     8200
                                                          31,270      1,000        X       X   28-5284     1000
CAPITAL CROSSING BK       COM             140071101   10,242,144    402,600        X           28-1500   402600
CAPITAL ONE FINL CORP     COM             14040H105      445,913      6,034        X           28-5284     5234                 800
                                                         323,460      4,377        X       X   28-5284     4377
                                                          80,551      1,090        X       X   28-1500     1090
0           COLUMN TOTAL                              57,316,818
0
0
0




1                                                               FILE NO. 28-1235
PAGE 36 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
CAPITAL ONE FINL CORP     DECS UPPR 6.25  14040H204       55,587      1,050        X           28-5284     1050
CAPSTONE TURBINE CORP     COM             14067D102        2,295      1,500        X           28-5284     1500
                                                           2,540      1,660        X       X   28-5284     1660
CAPSTEAD MTG CORP         PFD B CV $1.26  14067E308       16,475      1,250        X           28-5284     1250
CAPSTEAD MTG CORP         COM NO PAR      14067E506        3,959        318        X           28-5284      318
CARDINAL FINL CORP        COM             14149F109       23,525      2,500        X       X   28-1500     2500
CARDINAL HEALTH INC       COM             14149Y108   37,927,362    866,515        X           28-5284   747940       3395   115180
                                                       7,718,796    176,349        X       X   28-5284   128146      33725    14478
                                                       1,593,009     36,395        X           28-1500    36395
                                                         210,534      4,810        X       X   28-1500     4810
                                                         122,162      2,791        X           28-4580     2791
                                                         122,950      2,809        X       X   28-4580     2509        300
CARDINAL STATE BANK
   DURHAM N               COM             141546101      105,500     10,000        X       X   28-5284    10000
CARDIODYNAMICS INTL CORP  COM             141597104        2,300        500        X       X   28-5284      500
CARDIOTECH INTL INC       COM             14160C100        7,918      2,684        X       X   28-5284     2684
CAREER EDUCATION CORP     COM             141665109       65,673      2,310        X           28-5284     2310
CAREMARK RX INC           COM             141705103       97,493      3,040        X           28-5284     1879                1161
                                                          98,519      3,072        X       X   28-5284     1531        574      967
CARLISLE COS INC          COM             142339100      774,832     12,120        X           28-5284     9120                3000
                                                         127,860      2,000        X       X   28-5284      800                1200
CARMAX INC                COM             143130102       54,457      2,527        X           28-5284     2527
                                                          21,076        978        X       X   28-5284      790        188
CARNIVAL CORP             PAIRED CTF      143658300   15,666,468    331,285        X           28-5284   326150       1130     4005
                                                       3,695,430     78,144        X       X   28-5284    46307      17652    14185
                                                           9,458        200        X       X   28-1500      200
                                                          83,609      1,768        X           28-4580     1618                 150
                                                          72,165      1,526        X       X   28-4580     1326        200
CARPENTER TECHNOLOGY
   CORP                   COM             144285103   13,445,971    281,650        X           28-5284   245850      35800
                                                       8,097,277    169,612        X       X   28-5284   166404       2608      600
0           COLUMN TOTAL                              90,225,200
0
0
0




1                                                               FILE NO. 28-1235
PAGE 37 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
CASEYS GEN STORES INC     COM             147528103       19,482      1,048        X           28-5284     1048
CATALINA MARKETING CORP   COM             148867104       28,158      1,220        X           28-5284     1220
CATALYTICA ENERGY SYS
   INC                    COM             148884109        1,617        745        X       X   28-5284      745
CATELLUS DEV CORP NEW     COM             149113102       17,550        662        X           28-5284      662
                                                         207,785      7,838        X       X   28-5284     4456       3382
CATERPILLAR INC DEL       COM             149123101    4,083,562     50,759        X           28-5284    29498        750    20511
                                                       5,556,279     69,065        X       X   28-5284    57813      10330      922
                                                          16,090        200        X           28-1500                 200
                                                         112,630      1,400        X           28-4580     1400
                                                         190,103      2,363        X       X   28-4580     2363
CATHAY GENERAL BANCORP    COM             149150104       37,190      1,000        X           28-5284     1000
CAVALRY BANCORP INC       COM             149547101          154          9        X           28-1500        9
CEDAR FAIR L P            DEPOSITRY UNIT  150185106    4,301,819    140,353        X           28-5284   140353
                                                         441,636     14,409        X       X   28-5284     2250      10759     1400
                                                          15,325        500        X       X   28-1500      500
CELL GENESYS INC          COM             150921104       17,940      2,000        X       X   28-5284                         2000
CELESTICA INC             SUB VTG SHS     15101Q108        2,540        200        X           28-5284      200
CELGENE CORP              COM             151020104      104,814      1,800        X           28-5284     1400                 400
                                                          13,684        235        X       X   28-5284      235
CEMEX S A                 SPON ADR 5 ORD  151290889        2,927        104        X           28-5284      104
CENDANT CORP              COM             151313103    1,672,337     77,423        X           28-5284    46183      31240
                                                       1,643,846     76,104        X       X   28-5284    17067      20337    38700
                                                           9,526        441        X           28-1500      441
                                                         164,268      7,605        X       X   28-1500     7605
CENTERPOINT ENERGY INC    COM             15189T107       56,099      5,415        X           28-5284     5415
                                                         403,522     38,950        X       X   28-5284    14224       3426    21300
CENTERPOINT PPTYS TR      COM             151895109        8,716        200        X       X   28-5284      200
0           COLUMN TOTAL                              19,129,599
0
0
0




1                                                               FILE NO. 28-1235
PAGE 38 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
CENTEX CORP               COM             152312104       22,202        440        X           28-5284      440
                                                          10,092        200        X       X   28-5284                 200
CENTRA SOFTWARE INC       COM             15234X103        3,320      2,000        X           28-5284     2000
CENTRAL EUROPE AND
   RUSSIA FD              COM             153436100      199,589      8,450        X       X   28-5284     7450       1000
CENTRAL FD CDA LTD        CL A            153501101      143,750     25,000        X           28-5284    25000
CENTRAL PAC FINL CORP     COM             154760102    1,213,632     44,100        X           28-1500    44100
CENTRAL SECS CORP         COM             155123102      118,659      5,333        X           28-5284     5333
CENTRAL VT PUB SVC CORP   COM             155771108        3,017        150        X           28-5284      150
CENTURY ALUM CO           COM             156431108       27,730      1,000        X           28-5284     1000
CENTURYTEL INC            COM             156700106   11,689,981    341,413        X           28-5284   260886               80527
                                                       2,127,160     62,125        X       X   28-5284    62125
                                                       1,771,304     51,732        X           28-1500    51732
                                                         410,195     11,980        X       X   28-1500    11980
CEPHALON INC              COM             156708109      114,146      2,383        X           28-5284     2383
                                                              48          1        X           28-1500        1
CERADYNE INC              COM             156710105      614,740     14,000        X       X   28-5284    14000
                                                           2,196         50        X       X   28-1500       50
CERIDIAN CORP NEW         COM             156779100       73,953      4,017        X           28-5284     4017
                                                             405         22        X       X   28-5284       22
CERTEGY INC               COM             156880106      879,161     23,627        X           28-5284    23627
                                                          29,768        800        X       X   28-5284      500        300
CHALONE WINE GROUP LTD    COM             157639105        1,229        117        X           28-5284                          117
CHAMPION ENTERPRISES INC  COM             158496109      123,480     12,000        X       X   28-5284    12000
CHAMPS ENTMT INC DEL      COM             158787101        1,776        200        X       X   28-1500      200
CHARLES RIVER ASSOCIATES  COM             159852102        5,744        150        X           28-5284      150
CHARLES RIV LABS INTL
   INC                    COM             159864107      163,735      3,575        X           28-5284     3575
0           COLUMN TOTAL                              19,751,012
0
0
0




1                                                              FILE NO. 28-1235
PAGE 39 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                              
CHARTERMAC                SH BEN INT      160908109       15,723        715        X           28-5284      715
                                                          53,150      2,417        X       X   28-5284     2417
                                                          46,839      2,130        X       X   28-1500     2130
                                                          43,980      2,000        X           28-4580     2000
CHARMING SHOPPES INC      COM             161133103        3,062        430        X           28-5284      430
CHARTER COMMUNICATIONS
   INC D                  CL A            16117M107       26,600     10,000        X       X   28-1500    10000
CHATTEM INC               COM             162456107       16,157        501        X           28-1500      501
CHECKERS DRIVE-IN
   RESTAURANT             COM NEW         162809305       17,731      1,509        X           28-1500     1509
CHECKFREE CORP NEW        COM             162813109      101,687      3,675        X           28-5284     3675
CHECKPOINT SYS INC        COM             162825103       62,280      4,000        X           28-5284     4000
CHEESECAKE FACTORY INC    COM             163072101       91,357      2,105        X           28-5284     2030                  75
CHEMICAL FINL CORP        COM             163731102      817,792     22,393        X           28-1500    22393
CHENIERE ENERGY INC       COM NEW         16411R208        9,880        500        X       X   28-5284      500
CHESAPEAKE CORP           COM             165159104        7,206        300        X           28-5284      300
                                                          34,493      1,436        X       X   28-5284     1436
CHESAPEAKE ENERGY CORP    COM             165167107       30,283      1,913        X           28-5284     1913
                                                          22,162      1,400        X       X   28-5284     1400
                                                          47,490      3,000        X       X   28-1500     3000
CHESAPEAKE UTILS CORP     COM             165303108        7,530        300        X           28-5284      300
                                                         133,030      5,300        X       X   28-5284     1800       3500
CHESTER VALLEY BANCORP    COM             166335109      142,930      7,226        X           28-5284     7226
CHEVRONTEXACO CORP        COM             166764100  162,862,197  3,036,208        X           28-5284  2773410      27242   235556
                                                     201,060,958  3,748,340        X       X   28-5284  1235555     512817  1999968
                                                         709,764     13,232        X           28-1500     1340      11892
                                                       3,571,727     66,587        X           28-4580    65833                 754
                                                       2,315,961     43,176        X       X   28-4580    38624       2294     2258
CHICAGO BRIDGE & IRON CO
   N V                    N Y REGISTRY S  167250109        7,498        250        X       X   28-5284                 250
0           COLUMN TOTAL                             372,259,467
0
0
0




1                                                               FILE NO. 28-1235
PAGE 40 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
CHICAGO MERCANTILE HLDGS
   INC                    CL A            167760107      677,460      4,200        X       X   28-5284     4200
                                                          16,130        100        X       X   28-4580      100
                                                       1,637,195     10,150        X                      10150
CHICOS FAS INC            COM             168615102      220,590      6,450        X           28-5284     6450
                                                         889,371     26,005        X       X   28-5284    26005
                                                          16,792        491        X       X   28-4580      491
CHINA FD INC              COM             169373107      251,076      8,400        X           28-5284     8400
                                                           7,473        250        X       X   28-5284      250
CHINA PETE & CHEM CORP    SPON ADR H SHS  16941R108        2,258         55        X           28-5284       55
CHINA TELECOM CORP LTD    SPON ADR H SHS  169426103       71,060      2,200        X       X   28-5284     2200
CHINA UNICOM LTD          SPONSORED ADR   16945R104       46,800      6,000        X       X   28-5284     6000
CHOICE HOTELS INTL INC    COM             169905106       57,590      1,000        X       X   28-5284     1000
                                                          43,193        750        X       X   28-4580      750
CHIRON CORP               COM             170040109      244,249      5,526        X           28-5284     5526
                                                          20,951        474        X       X   28-5284      474
CHITTENDEN CORP           COM             170228100       37,660      1,382        X           28-5284                         1382
CHOICEPOINT INC           COM             170388102      152,602      3,578        X           28-5284     3578
                                                          46,915      1,100        X       X   28-5284     1100
CHRISTOPHER & BANKS CORP  COM             171046105       52,833      3,300        X       X   28-5284     3300
                                                           4,803        300        X       X   28-1500      300
CHROMAVISION MED SYS INC  COM             17111P104        1,780      2,000        X           28-5284     2000
CHUBB CORP                COM             171232101    3,048,746     43,380        X           28-5284    39931       1449     2000
                                                       6,825,734     97,122        X       X   28-5284    41604      50970     4548
                                                          10,542        150        X       X   28-1500      150
                                                          14,056        200        X       X   28-4580      200
CHURCH & DWIGHT INC       COM             171340102      197,823      7,050        X           28-5284     7050
                                                       3,956,460    141,000        X       X   28-5284   141000
                                                           6,314        225        X       X   28-1500      225
                                                       9,891,150    352,500        X                     352500
0           COLUMN TOTAL                              28,449,606
0
0
0




1                                                               FILE NO. 28-1235
PAGE 41 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
CHURCHILL DOWNS INC       COM             171484108    1,882,449     48,083        X           28-5284    47332        500      251
                                                         226,287      5,780        X       X   28-5284     5780
                                                          83,624      2,136        X           28-1500     2136
CIBER INC                 COM             17163B102       11,867      1,578        X           28-5284     1578
CIENA CORP                COM             171779101        1,287        650        X           28-5284      650
                                                             495        250        X       X   28-5284                 250
                                                             495        250        X       X   28-1500      250
CIGNA INVTS SECS INC      COM             17179X106        1,680        100        X           28-5284      100
CIMAREX ENERGY CO         COM             171798101       69,880      2,000        X           28-5284     2000
CINCINNATI BELL INC NEW   COM             171871106      426,394    122,176        X           28-5284   120576                1600
                                                          32,125      9,205        X       X   28-5284     9205
CINCINNATI BELL INC NEW   PFD CV DEP1/20  171871403       25,200        600        X       X   28-5284      200        400
CINCINNATI FINL CORP      COM             172062101   91,998,629  2,231,893        X           28-5284  1799045       1135   431713
                                                       9,934,144    241,003        X       X   28-5284   227285       1160    12558
                                                       4,997,018    121,228        X           28-1500   121228
                                                         986,848     23,941        X       X   28-1500    23941
CINERGY CORP              COM             172474108    6,795,083    171,593        X           28-5284   171193         75      325
                                                       6,426,842    162,294        X       X   28-5284   158449       3395      450
                                                       1,744,261     44,047        X           28-1500               44047
                                                          27,720        700        X           28-4580      700
CIRCOR INTL INC           COM             17273K109        9,750        500        X           28-5284      500
CIRCUIT CITY STORE INC    COM             172737108       13,806        900        X           28-5284      900
                                                          88,972      5,800        X       X   28-5284     5200        600
                                                         156,085     10,175        X                      10175
CISCO SYS INC             COM             17275R102   79,976,624  4,418,598        X           28-5284  4052206     141101   225291
                                                      58,846,901  3,251,210        X       X   28-5284  2483250     634708   133252
                                                         588,359     32,506        X           28-1500      555      31951
                                                       2,204,725    121,808        X           28-4580   120048                1760
                                                       1,186,889     65,574        X       X   28-4580    50119      15455
0           COLUMN TOTAL                             268,744,439
0
0
0




1                                                               FILE NO. 28-1235
PAGE 42 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
CINTAS CORP               COM             172908105   15,778,369    375,318        X           28-5284   329393       5425    40500
                                                      15,271,534    363,262        X       X   28-5284   269227      13685    80350
                                                          87,233      2,075        X       X   28-1500     2075
                                                          37,205        885        X       X   28-4580      775        110
CITIGROUP INC             COM             172967101  154,386,116  3,499,232        X           28-5284  3262288      67277   169667
                                                      97,053,985  2,199,773        X       X   28-5284  1472369     587264   140140
                                                       1,734,313     39,309        X           28-1500    23278      16031
                                                       3,830,278     86,815        X           28-4580    84693                2122
                                                       2,576,079     58,388        X       X   28-4580    47067       9512     1809
                                                       3,194,288     72,400        X                      72400
CITIGROUP INC             *W EXP 99/99/9  172967127          710        500        X           28-5284      500
                                                             412        290        X       X   28-5284      290
CITIZENS BKG CORP MICH    COM             174420109        9,771        300        X           28-5284      300
CITIZENS COMMUNICATIONS
   CO                     COM             17453B101      110,079      8,221        X           28-5284     8221
                                                         376,540     28,121        X       X   28-5284    28121
                                                          47,521      3,549        X       X   28-4580     3549
CITIZENS FINL CORP KY     CL A            174613109        1,170        150        X           28-5284      150
CITRIX SYS INC            COM             177376100       56,975      3,252        X           28-5284     3252
                                                         114,756      6,550        X       X   28-5284     6200                 350
                                                          97,411      5,560        X           28-1500     5460        100
                                                           7,008        400        X       X   28-4580      400
CITY HLDG CO              COM             177835105      220,067      6,691        X           28-5284     6691
                                                         943,943     28,700        X           28-1500    28700
CITY INVESTING CO LIQ TR  UNIT BEN INT    177900107        1,137        580        X           28-5284      530                  50
                                                             171         87        X       X   28-5284       87
CITY NATL CORP            COM             178566105       72,095      1,110        X           28-5284     1110
                                                          64,950      1,000        X       X   28-5284     1000
CLAIRES STORES INC        COM             179584107       57,091      2,280        X           28-5284     2280
                                                         525,840     21,000        X       X   28-5284    21000
CLASSIC BANCSHARES INC    COM             18272M104       23,049        591        X           28-1500      591
0           COLUMN TOTAL                             296,680,096
0
0
0




1                                                               FILE NO. 28-1235
PAGE 43 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
CLEAR CHANNEL
   COMMUNICATIONS         COM             184502102    1,383,761     44,394        X           28-5284    38749        100     5545
                                                       1,786,384     57,311        X       X   28-5284    28235      26856     2220
                                                         139,018      4,460        X       X   28-1500     4460
                                                          18,297        587        X           28-4580      587
                                                          14,650        470        X       X   28-4580      470
CLEVELAND CLIFFS INC      COM             185896107        2,669         33        X       X   28-5284       33
CLOROX CO DEL             COM             189054109   10,411,782    195,343        X           28-5284   181343               14000
                                                       3,043,430     57,100        X       X   28-5284    44358       8542     4200
                                                          40,508        760        X           28-1500                 760
                                                         351,780      6,600        X       X   28-4580     6600
COACH INC                 COM             189754104    2,789,285     65,754        X           28-5284    65754
                                                       3,605,106     84,986        X       X   28-5284    46938      37128      920
COCA COLA CO              COM             191216100   80,103,925  2,000,098        X           28-5284  1707158      58285   234655
                                                      63,437,358  1,583,954        X       X   28-5284  1149641     385813    48500
                                                         320,520      8,003        X           28-1500                8003
                                                       2,688,997     67,141        X           28-4580    67141
                                                       3,126,383     78,062        X       X   28-4580    65219       9643     3200
COCA COLA ENTERPRISES
   INC                    COM             191219104       83,746      4,431        X           28-5284     4431
COCA-COLA FEMSA S A DE
   C V                    SPON ADR REP L  191241108        7,792        400        X           28-5284      400
COEUR D ALENE MINES CORP
   IDA                    COM             192108108       46,926      9,900        X           28-5284     3000                6900
COGNEX CORP               COM             192422103       75,849      2,895        X           28-1500     2895
COGNOS INC                COM             19244C109       81,696      2,300        X           28-5284     2300
COGNIZANT TECHNOLOGY
   SOLUTIO                CL A            192446102      236,636      7,756        X           28-5284     7756
                                                       1,073,952     35,200        X       X   28-5284    35200
                                                          66,817      2,190        X       X   28-4580     2190
COHEN & STEERS QUALITY
   RLTY                   COM             19247L106       47,543      2,662        X       X   28-1500     2662
COHEN & STEERS REIT &
   PFD IN                 COM             19247X100        5,028        200        X           28-5284      200
COHERENT INC              COM             192479103       53,670      2,069        X           28-5284     2069
                                                           2,412         93        X       X   28-5284       93
0           COLUMN TOTAL                             175,045,920
0
0
0




1                                                               FILE NO. 28-1235
PAGE 44 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
COINSTAR INC              COM             19259P300        3,006        129        X           28-5284      129
                                                           9,460        406        X           28-1500      406
COLGATE PALMOLIVE CO      COM             194162103   70,105,625  1,551,696        X           28-5284  1356795      19205   175696
                                                      33,733,376    746,644        X       X   28-5284   458094     259098    29452
                                                         210,223      4,653        X       X   28-1500     4653
                                                       1,487,190     32,917        X           28-4580    32260                 657
                                                         500,956     11,088        X       X   28-4580     6021       4830      237
COLONIAL BANCGROUP INC    COM             195493309       66,156      3,235        X           28-5284     2035       1200
                                                         613,500     30,000        X       X   28-5284    24000       6000
COLONIAL HIGH INCOME MUN
   TR                     SH BEN INT      195743109       12,402      1,950        X           28-5284     1950
                                                         201,873     31,741        X       X   28-5284    31741
COLONIAL INTERMARKET
   INCM TR                SH BEN INT      195762109        8,670      1,000        X           28-5284     1000
COLONIAL MUN INCOME TR    SH BEN INT      195799101        1,413        250        X       X   28-5284      250
COLONIAL PPTYS TR         COM SH BEN INT  195872106      201,100      5,000        X       X   28-5284     1000       4000
COMCAST CORP NEW          CL A            20030N101   48,647,834  1,722,657        X           28-5284  1429972      20502   272183
                                                      14,612,251    517,431        X       X   28-5284   399427     101676    16328
                                                       2,906,715    102,929        X           28-1500   102929
                                                         443,679     15,711        X       X   28-1500    15711
                                                         266,473      9,436        X           28-4580     9436
                                                         380,788     13,484        X       X   28-4580    11484       2000
COMCAST CORP NEW          CL A SPL        20030N200   88,944,856  3,185,704        X           28-5284  3164220       6624    14860
                                                       4,166,557    149,232        X       X   28-5284    98289      45728     5215
                                                         128,432      4,600        X       X   28-1500     4600
                                                           5,305        190        X           28-4580      190
                                                          21,806        781        X       X   28-4580      541        240
                                                         335,040     12,000        X                      12000
COMERICA INC              COM             200340107      166,180      2,800        X           28-5284     1851                 949
                                                         517,829      8,725        X       X   28-5284     6450       1225     1050
COMM BANCORP INC          COM             200468106    1,026,640     25,040        X           28-5284    25040
COMMERCE BANCORP INC NJ   COM             200519106    1,259,388     22,815        X           28-5284    22815
                                                         242,880      4,400        X       X   28-5284     4400
                                                         380,880      6,900        X                       6900
0           COLUMN TOTAL                             271,608,483
0
0
0




1                                                               FILE NO. 28-1235
PAGE 45 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
COMMERCE BANCSHARES INC   COM             200525103       84,109      1,749        X           28-5284     1749
                                                           2,693         56        X       X   28-5284       56
COMMERCE GROUP INC MASS   COM             200641108        9,680        200        X           28-5284      200
COMMERCE ONE INC DEL      COM NEW         200693208            5         26        X       X   28-5284       26
COMMERCIAL NET LEASE
   RLTY IN                COM             202218103       32,796      1,800        X       X   28-5284     1800
COMMONWEALTH INDS INC
   DEL                    COM             203004106       68,425      7,326        X           28-5284     7326
COMMONWEALTH TEL
   ENTERPRISES            COM             203349105      174,156      3,999        X           28-5284     1999       2000
                                                          72,554      1,666        X       X   28-5284                1666
COMMSCOPE INC             COM             203372107      129,600      6,000        X           28-5284     6000
COMMUNITY BANCSHARES INC
   S C                    COM             20343F100       32,781      1,753        X       X   28-5284     1753
COMMUNITY BK SYS INC      COM             203607106      433,090     17,234        X           28-5284    17234
                                                          15,078        600        X       X   28-5284      600
                                                         638,302     25,400        X           28-1500    25400
COMMUNITY BKS INC
   MILLERSBUR             COM             203628102       40,238      1,388        X           28-5284     1388
                                                          57,516      1,984        X       X   28-5284     1984
COMMUNITY CAP CORP S C    COM             20363C102       29,900      1,323        X           28-5284                         1323
COMMUNITY TR BANCORP INC  COM             204149108    1,567,706     50,441        X           28-5284    35531               14910
                                                          31,608      1,017        X       X   28-5284     1017
                                                         150,520      4,843        X           28-1500     4843
COMPANHIA VALE DO RIO
   DOCE                   SPONSORED ADR   204412209       11,235        500        X           28-5284      500
COMPANIA ANONIMA NACIONL
   TEL                    SPON ADR D      204421101        3,312        147        X           28-5284      147
COMPASS BANCSHARES INC    COM             20449H109      207,663      4,739        X           28-5284     4739
                                                         569,660     13,000        X       X   28-5284     9000       4000
COMPUDYNE CORP            COM PAR $0.75   204795306      193,106     24,290        X           28-1500    24290
COMPUTER ASSOC INTL INC   COM             204912109      245,589      9,338        X           28-5284     9338
                                                          76,112      2,894        X       X   28-5284     2564                 330
0           COLUMN TOTAL                               4,877,434
0
0
0




1                                                               FILE NO. 28-1235
PAGE 46 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
COMPUTER SCIENCES CORP    COM             205363104       55,814      1,185        X           28-5284     1185
                                                         201,494      4,278        X       X   28-5284     1000       3278
                                                         113,040      2,400        X           28-1500     2400
                                                          30,615        650        X       X   28-4580      650
COMPX INTERNATIONAL INC   CL A            20563P101          800         50        X           28-5284       50
COMPUWARE CORP            COM             205638109        5,835      1,133        X           28-5284     1133
                                                           1,545        300        X       X   28-5284      300
COMTECH
   TELECOMMUNICATIONS C   COM NEW         205826209      230,350      8,500        X           28-5284     8500
COMVERSE TECHNOLOGY INC   COM PAR $0.10   205862402       89,443      4,750        X           28-5284     4750
                                                           9,151        486        X       X   28-1500      486
CONAGRA FOODS INC         COM             205887102    9,345,971    363,515        X           28-5284   353415       6000     4100
                                                       4,718,222    183,517        X       X   28-5284   117214      44603    21700
                                                          91,091      3,543        X       X   28-1500     3543
                                                          13,729        534        X           28-4580      534
                                                          64,275      2,500        X       X   28-4580     2500
CONCUR TECHNOLOGIES INC   COM             206708109      122,481     11,676        X           28-5284    11676
CONCURRENT COMPUTER CORP
   NEW                    COM             206710204       26,376     15,700        X           28-5284    15700
                                                          31,920     19,000        X           28-1500    19000
CONEXANT SYSTEMS INC      COM             207142100       56,339     35,212        X           28-5284    35212
                                                          20,510     12,819        X       X   28-5284     5386       1338     6095
                                                          67,746     42,341        X           28-1500    42341
CONMED CORP               COM             207410101       13,150        500        X       X   28-5284                 500
CONOCOPHILLIPS            COM             20825C104    8,735,041    105,432        X           28-5284    93158        233    12041
                                                       9,396,433    113,415        X       X   28-5284    60957      37050    15408
                                                          53,024        640        X           28-1500                 640
                                                       5,866,609     70,810        X           28-4580    70810
                                                       7,206,127     86,978        X       X   28-4580    83534                3444
CONSECO INC               *W EXP 09/10/2  208464123          314         98        X       X   28-5284       77         21
CONSECO INC               COM NEW         208464883        1,272         72        X           28-5284       72
                                                             336         19        X       X   28-5284       19
0           COLUMN TOTAL                              46,569,053
0
0
0




1                                                               FILE NO. 28-1235
PAGE 47 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
CONSOL ENERGY INC         COM             20854P109       97,483      2,794        X           28-5284     2794
CONSOLIDATED EDISON INC   COM             209115104   16,997,697    404,322        X           28-5284   384215       6180    13927
                                                      11,099,359    264,019        X       X   28-5284   177048      72661    14310
                                                         565,228     13,445        X           28-4580    13145                 300
                                                         309,120      7,353        X       X   28-4580     6253       1100
CONSOLIDATED TOMOKA
   LD CO                  COM             210226106        3,687        106        X           28-5284      106
                                                          20,868        600        X       X   28-5284                          600
CONSTELLATION BRANDS INC  CL A            21036P108      865,865     22,750        X           28-5284    22750
                                                          75,054      1,972        X       X   28-5284     1972
                                                          60,325      1,585        X       X   28-1500     1585
CONSTELLATION BRANDS INC  CL B            21036P207       17,100        448        X       X   28-5284      448
CONSTELLATION ENERGY
   GROUP I                COM             210371100      506,526     12,714        X           28-5284    12264        300      150
                                                         896,041     22,491        X       X   28-5284    17005       4156     1330
                                                          47,489      1,192        X           28-4580     1192
CONTINENTAL AIRLS INC     CL B            210795308       25,560      3,000        X           28-5284     3000
                                                           8,520      1,000        X       X   28-5284                         1000
CONVERIUM HLDG AG         SPONSORED ADR   21248N107          695        100        X           28-5284      100
CONVERGYS CORP            COM             212485106    2,045,859    152,335        X           28-5284   151835                 500
                                                         260,085     19,366        X       X   28-5284    19366
                                                           2,686        200        X       X   28-1500      200
COOPER CAMERON CORP       COM             216640102        3,071         56        X           28-5284       56
                                                           5,484        100        X       X   28-5284      100
COOPER COS INC            COM NEW         216648402      104,470      1,524        X           28-5284     1524
                                                       1,171,520     17,090        X       X   28-5284    17090
COOPER TIRE & RUBR CO     COM             216831107      541,565     26,850        X       X   28-5284    26550        300
COORS ADOLPH CO           CL B            217016104       10,188        150        X           28-5284      150
                                                           3,396         50        X       X   28-5284       50
COPART INC                COM             217204106       10,979        580        X           28-5284      580
0           COLUMN TOTAL                              35,755,920
0
0
0




1                                                               FILE NO. 28-1235
PAGE 48 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
CORINTHIAN COLLEGES INC   COM             218868107       26,960      2,000        X           28-5284     2000
                                                           2,696        200        X       X   28-1500      200
CORIXA CORP               COM             21887F100        2,026        487        X           28-5284      487
                                                           3,673        883        X       X   28-5284      883
CORN PRODS INTL INC       COM             219023108      127,559      2,767        X           28-5284     2767
                                                       1,443,483     31,312        X       X   28-5284    21025       9537      750
                                                           9,220        200        X           28-4580      200
CORNERSTONE RLTY INCOME
   TR I                   COM             21922V102        9,760      1,000        X           28-5284     1000
                                                          20,398      2,090        X       X   28-5284     2090
CORNING INC               COM             219350105    2,969,340    267,991        X           28-5284   260901        300     6790
                                                       7,763,867    700,710        X       X   28-5284   198074     219030   283606
                                                          29,916      2,700        X           28-4580     2700
                                                         198,775     17,940        X       X   28-4580    17940
CORPORATE EXECUTIVE
   BRD CO                 COM             21988R102       27,558        450        X       X   28-5284      450
CORPORATE HIGH YIELD FD
   V IN                   COM             219931102       23,130      1,501        X       X   28-5284     1501
CORPORATE OFFICE PPTYS
   TR                     SH BEN INT      22002T108       38,430      1,500        X           28-5284     1500
                                                         535,458     20,900        X       X   28-5284               20900
CORRECTIONS CORP AMER
   NEW                    COM NEW         22025Y407       14,887        421        X           28-5284      421
                                                          18,635        527        X       X   28-1500      527
CORUS GROUP PLC           SPONSORED ADR   22087M101        1,072        115        X           28-5284      115
CORVIS CORP               COM             221009103        2,240      2,800        X       X   28-5284     2800
COSTCO WHSL CORP NEW      COM             22160K105   28,750,283    692,611        X           28-5284   552601       2465   137545
                                                       8,715,481    209,961        X       X   28-5284   162672      38954     8335
                                                       1,609,633     38,777        X           28-1500    38777
                                                         500,445     12,056        X       X   28-1500    12056
                                                           9,547        230        X           28-4580      230
                                                          19,925        480        X       X   28-4580      300        180
COTT CORP QUE             COM             22163N106      144,200      5,000        X           28-5284     5000
                                                         346,080     12,000        X       X   28-5284    12000
0           COLUMN TOTAL                              53,364,677
0
0
0




1                                                               FILE NO. 28-1235
PAGE 49 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
COUNTRYWIDE FINANCIAL
   CORP                   COM             222372104   10,088,921    256,129        X           28-5284   192437      10808    52884
                                                       4,220,954    107,158        X       X   28-5284    56490      24398    26270
                                                          23,634        600        X       X   28-1500      600
                                                          22,216        564        X           28-4580      564
                                                         136,447      3,464        X       X   28-4580     3464
COVANCE INC               COM             222816100      271,796      6,800        X           28-5284     6800
                                                          53,999      1,351        X       X   28-5284      607        644      100
COVENTRY HEALTH CARE INC  COM             222862104      194,907      3,652        X           28-5284     3652
                                                         876,175     16,417        X       X   28-5284    16117        300
COX COMMUNICATIONS INC
   NEW                    CL A            224044107      263,251      7,946        X           28-5284     6964                 982
                                                          76,398      2,306        X       X   28-5284     2306
CRAFTMADE INTL INC        COM             22413E104        1,970        100        X           28-5284      100
                                                           3,940        200        X       X   28-1500      200
CRANE CO                  COM             224399105       89,623      3,099        X           28-5284     3099
                                                          80,976      2,800        X       X   28-5284     2800
CREDIT SUISSE ASSET MGMT
   INC                    COM             224916106       38,845      8,500        X           28-5284     8500
                                                          94,005     20,570        X       X   28-5284    20570
CRAY INC                  COM             225223106        3,530      1,000        X           28-5284                         1000
CREDIT SUISSE GROUP       SPONSORED ADR   225401108        4,312        135        X           28-5284      135
CREE INC                  COM             225447101       69,235      2,270        X           28-5284     2270
                                                          18,300        600        X       X   28-5284      600
CRESCENT REAL ESTATE
   EQUITIE                COM             225756105      141,267      8,975        X           28-5284     8975
                                                          22,036      1,400        X       X   28-5284                1400
CRESCENT REAL ESTATE
   EQUITIE                PFD CV A 6.75%  225756204       17,519        826        X       X   28-5284      826
CRIIMI MAE INC            COM NEW         226603504          235         16        X           28-5284       16
CROSS TIMBERS RTY TR      TR UNIT         22757R109       66,460      2,003        X           28-5284     2003
CROWN CASTLE INTL CORP    COM             228227104      325,426     21,870        X           28-5284    21870
0           COLUMN TOTAL                              17,206,377
0
0
0




1                                                               FILE NO. 28-1235
PAGE 50 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
CROWN HOLDINGS INC        COM             228368106      187,034     18,141        X           28-5284    17461        680
                                                         224,036     21,730        X       X   28-5284    18450                3280
                                                          11,341      1,100        X       X   28-1500     1100
                                                          10,310      1,000        X       X   28-4580     1000
CRT PROPERTIES INC        COM             22876P109       10,725        500        X       X   28-5284      500
CTI MOLECULAR IMAGING
   INC                    COM             22943D105        4,035        500        X           28-5284      500
CUBIST PHARMACEUTICALS
   INC                    COM             229678107          494         50        X           28-5284       50
                                                          17,784      1,800        X       X   28-1500     1800
CULLEN FROST BANKERS INC  COM             229899109       55,299      1,190        X           28-5284     1190
CUMMINS INC               COM             231021106       87,855      1,189        X           28-5284     1189
                                                         258,615      3,500        X       X   28-5284     3500
CUMULUS MEDIA INC         CL A            231082108        2,159        150        X           28-5284      150
CURAGEN CORP              COM             23126R101        5,500      1,000        X       X   28-5284     1000
CURTISS WRIGHT CORP       COM             231561101       22,892        400        X       X   28-5284      400
CURTISS WRIGHT CORP       CL B            231561408        3,571         66        X           28-5284       66
CYBERONICS INC            COM             23251P102       40,920      2,000        X           28-5284                         2000
CYMER INC                 COM             232572107       35,051      1,223        X           28-1500     1223
CYPRESS SEMICONDUCTOR
   CORP                   COM             232806109       64,797      7,330        X           28-5284     7330
                                                         463,216     52,400        X       X   28-5284      700      50000     1700
CYTEC INDS INC            COM             232820100        7,783        159        X           28-5284      159
                                                          59,474      1,215        X       X   28-5284      399         36      780
                                                          67,110      1,371        X       X   28-4580     1371
CYTOGEN CORP              COM NEW         232824300        2,108        200        X           28-5284      200
CYTRX CORP                COM NEW         232828301       21,500     12,500        X       X   28-1500    12500
D & K HEALTHCARE RES INC  COM             232861104       52,776      5,358        X           28-5284     5358
0           COLUMN TOTAL                               1,716,385
0
0
0




1                                                               FILE NO. 28-1235
PAGE 51 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
CYTYC CORP                COM             232946103       89,114      3,690        X           28-5284     3690
                                                          14,490        600        X       X   28-1500      600
DHB INDS INC              COM             23321E103       71,298      5,021        X       X   28-5284                         5021
DNP SELECT INCOME FD      COM             23325P104      836,871     74,521        X           28-5284    74521
                                                         314,462     28,002        X       X   28-5284    26248       1754
                                                         157,804     14,052        X           28-1500               14052
DPAC TECHNOLOGIES CORP    COM             233269109       24,000     50,000        X           28-5284    50000
                                                             816      1,700        X       X   28-5284                1700
DPL INC                   COM             233293109      607,871     29,537        X           28-5284    29537
                                                         293,759     14,274        X       X   28-5284    12424       1850
                                                         308,700     15,000        X       X   28-1500    15000
D R HORTON INC            COM             23331A109      299,977      9,060        X           28-5284     9060
DSP GROUP INC             COM             23332B106       52,225      2,481        X           28-1500     2481
DST SYS INC DEL           COM             233326107      102,281      2,300        X           28-5284     2300
                                                           8,894        200        X       X   28-5284      200
DTE ENERGY CO             COM             233331107      239,850      5,685        X           28-5284     4494        500      691
                                                         104,505      2,477        X       X   28-5284     2073        404
                                                          20,040        475        X       X   28-4580      475
DTF TAX-FREE INCOME INC   COM             23334J107       74,614      4,786        X           28-5284     4086                 700
                                                           7,795        500        X       X   28-4580      500
DAILY JOURNAL CORP        COM             233912104       30,600        900        X           28-5284      900
DANA CORP                 COM             235811106       39,042      2,207        X           28-5284     2207
                                                          85,549      4,836        X       X   28-5284                4836
DANAHER CORP DEL          COM             235851102    5,351,478    104,358        X           28-5284    86963       2540    14855
                                                       5,044,516     98,372        X       X   28-5284    39934      44850    13588
                                                          15,384        300        X           28-4580      300
                                                          45,896        895        X       X   28-4580      695        200
DANKA BUSINESS SYS PLC    SPONSORED ADR   236277109        4,940      1,300        X       X   28-1500     1300
0           COLUMN TOTAL                              14,246,771
0
0
0




1                                                              FILE NO. 28-1235
PAGE 52 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
DARDEN RESTAURANTS INC    COM             237194105    1,209,375     51,860        X           28-5284    51860
                                                         577,566     24,767        X       X   28-5284    23210        300     1257
                                                          27,984      1,200        X           28-1500                1200
DATARAM CORP              COM PAR $1      238108203       44,416      6,669        X       X   28-5284                         6669
DEAN FOODS CO NEW         COM             242370104      698,055     23,253        X           28-5284    23103                 150
                                                         670,767     22,344        X       X   28-5284     4000       5844    12500
DEBT STRATEGIES FD INC
   NEW                    COM             24276Q109       35,112      5,156        X           28-5284     5156
                                                         137,433     20,181        X       X   28-5284    20181
DECODE GENETICS INC       COM             243586104       11,295      1,500        X           28-5284     1500
                                                             753        100        X       X   28-1500      100
DECORATOR INDS INC        COM PAR $0.20   243631207        4,645        500        X       X   28-5284      500
DEERE & CO                COM             244199105    2,184,566     33,843        X           28-5284    33413        430
                                                       1,938,178     30,026        X       X   28-5284    19826       3625     6575
                                                          46,992        728        X       X   28-1500      728
DEL MONTE FOODS CO        COM             24522P103    1,059,752    101,025        X           28-5284    87579      11494     1952
                                                       1,309,540    124,837        X       X   28-5284    70070      48302     6465
                                                          57,926      5,522        X           28-4580     5522
                                                         105,991     10,104        X       X   28-4580    10104
DELAWARE INV GLBL DIV &
   INC                    COM             245916101        8,211        700        X       X   28-5284      700
DELL INC                  COM             24702R101   94,861,932  2,664,661        X           28-5284  2492457      24981   147223
                                                      35,483,268    996,721        X       X   28-5284   691702     264807    40212
                                                         611,074     17,165        X           28-1500      365      16800
                                                       1,522,149     42,757        X           28-4580    41844                 913
                                                       1,062,233     29,838        X       X   28-4580    25921       3540      377
DELPHI CORP               COM             247126105      254,239     27,367        X           28-5284    25884        259     1224
                                                         219,848     23,665        X       X   28-5284    13912       8291     1462
                                                           1,291        139        X           28-1500                 139
                                                          21,163      2,278        X           28-4580     2278
                                                           2,202        237        X       X   28-4580      237
DELPHI FINL GROUP INC     CL A            247131105       10,846        270        X       X   28-5284       70                 200
DELTA AIR LINES INC DEL   COM             247361108       10,199      3,100        X           28-5284     3100
0           COLUMN TOTAL                             144,189,001
0
0
0




1                                                               FILE NO. 28-1235
PAGE 53 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
DELTA NAT GAS INC         COM             247748106       13,490        500        X           28-5284      500
                                                           9,443        350        X       X   28-5284      350
                                                         223,125      8,270        X           28-1500     6516       1754
DELUXE CORP               COM             248019101       61,530      1,500        X           28-5284     1500
                                                          69,201      1,687        X       X   28-5284     1555        132
DENTSPLY INTL INC NEW     COM             249030107      171,402      3,300        X           28-5284     3300
                                                         181,790      3,500        X       X   28-5284     2500       1000
DEPARTMENT 56 INC         COM             249509100        3,260        200        X       X   28-5284      200
DEUTSCHE TELEKOM AG       SPONSORED ADR   251566105        7,557        405        X           28-5284      405
                                                          19,033      1,020        X       X   28-5284     1020
DEVELOPERS DIVERSIFIED
   RLTY                   COM             251591103      144,855      3,700        X           28-5284     3700
                                                         160,515      4,100        X       X   28-5284     2300       1400      400
DEVON ENERGY CORP NEW     COM             25179M103      407,313      5,736        X           28-5284     5336                 400
                                                         825,491     11,625        X       X   28-5284     3894       7731
                                                         161,193      2,270        X       X   28-1500     2270
DIAGEO P L C              SPON ADR NEW    25243Q205       94,304      1,870        X           28-5284     1870
                                                          50,430      1,000        X       X   28-5284                1000
                                                         426,940      8,466        X       X   28-1500     8466
DIAMOND OFFSHORE
   DRILLING IN            COM             25271C102       51,233      1,553        X           28-5284     1553
DIAMONDS TR               UNIT SER 1      252787106    6,234,270     61,805        X           28-5284    51033       6668     4104
                                                       7,363,611     73,001        X       X   28-5284    46437      25453     1111
                                                          47,913        475        X       X   28-1500      475
                                                          90,783        900        X           28-4580      900
DICKS SPORTING GOODS INC  COM             253393102       28,496        800        X           28-5284      800
                                                         389,327     10,930        X       X   28-5284     8930                2000
                                                          17,810        500        X       X   28-1500      500
DIEBOLD INC               COM             253651103      140,334      3,005        X           28-5284     3005
                                                          65,380      1,400        X       X   28-5284     1400
                                                          24,284        520        X       X   28-1500      520
                                                          44,365        950        X       X   28-4580      950
0           COLUMN TOTAL                              17,528,678
0
0
0




1                                                               FILE NO. 28-1235
PAGE 54 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
DIGENE CORP               COM             253752109       31,152      1,200        X           28-5284     1200
                                                           5,192        200        X       X   28-5284      200
DIGITAL VIDEO SYS INC     COM NEW         25387R407        2,516      4,000        X           28-5284     4000
DIGITAL RIV INC           COM             25388B104       14,890        500        X           28-5284      500
                                                         476,480     16,000        X       X   28-5284    16000
                                                          49,822      1,673        X           28-1500     1673
DIME CMNTY BANCSHARES     COM             253922108       75,600      4,500        X       X   28-5284                4500
DIME BANCORP INC NEW      *W EXP 99/99/9  25429Q110          462      3,297        X           28-5284     3197                 100
                                                             371      2,650        X       X   28-5284      650       2000
DIONEX CORP               COM             254546104      119,738      2,189        X           28-5284                2189
                                                         821,375     15,016        X       X   28-5284    14000       1016
DIRECTV GROUP INC         COM             25459L106    1,348,502     76,663        X           28-5284    75461        111     1091
                                                         365,714     20,791        X       X   28-5284    11397       6988     2406
                                                           3,905        222        X       X   28-4580      222
DISNEY WALT CO            COM DISNEY      254687106   52,541,996  2,330,022        X           28-5284  2057683      27841   244498
                                                      30,673,164  1,360,229        X       X   28-5284  1096071     220663    43495
                                                       2,843,465    126,096        X           28-1500   101570      24526
                                                         183,602      8,142        X           28-4580     8142
                                                         615,254     27,284        X       X   28-4580    23759       3525
DISTRIBUTED ENERGY
   SYS CORP               COM             25475V104        1,638        900        X       X   28-5284      900
DIXON TICONDEROGA CO      COM             255860108       28,210      7,000        X           28-4580     7000
DOCUCORP INTL INC         COM             255911109          340         40        X           28-5284       40
                                                           1,700        200        X       X   28-5284                 200
DOLLAR GEN CORP           COM             256669102    1,174,302     58,278        X           28-5284    57689                 589
                                                         444,449     22,057        X       X   28-5284    14057       8000
                                                         156,969      7,790        X           28-1500                7790
DOLLAR TREE STORES INC    COM             256747106       73,412      2,724        X           28-5284     2600                 124
                                                          13,475        500        X       X   28-5284      500
DOMINION RES BLACK
   WARRIOR T              UNITS BEN INT   25746Q108       70,749      2,100        X           28-5284     2100
0           COLUMN TOTAL                              92,138,444
0
0
0




1                                                               FILE NO. 28-1235
PAGE 55 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
DOMINION RES INC VA NEW   COM             25746U109   20,568,497    315,226        X           28-5284   277249      14505    23472
                                                      31,758,872    486,726        X       X   28-5284   305992     129872    50862
                                                         376,427      5,769        X       X   28-1500     5769
                                                         330,883      5,071        X           28-4580     5071
                                                         549,275      8,418        X       X   28-4580     6668                1750
DONALDSON INC             COM             257651109    1,840,580     64,832        X           28-5284    33934               30898
                                                         254,374      8,960        X       X   28-1500     8960
DONNELLEY R R & SONS CO   COM             257867101      530,154     16,927        X           28-5284    12927       4000
                                                         620,919     19,825        X       X   28-5284     4600       9225     6000
                                                          43,848      1,400        X       X   28-1500     1400
DORAL FINL CORP           COM             25811P100        3,110         75        X           28-5284       75
                                                         114,913      2,771        X       X   28-5284     1271       1500
                                                          58,058      1,400        X       X   28-1500     1400
                                                         373,230      9,000        X       X   28-4580     9000
DORCHESTER MINERALS LP    COM UNIT        25820R105       20,270      1,000        X       X   28-5284     1000
                                                          20,270      1,000        X           28-4580     1000
DOUBLECLICK INC           COM             258609304        4,728        800        X           28-5284      800
                                                             236         40        X       X   28-5284       40
                                                         125,002     21,151        X           28-1500    21151
DOV PHARMACEUTICAL INC    COM             259858108        8,570        500        X       X   28-5284                          500
DOVER CORP                COM             260003108   18,807,094    483,846        X           28-5284   339774       7034   137038
                                                       6,884,849    177,125        X       X   28-5284   138550      34975     3600
                                                         112,334      2,890        X           28-1500     2890
                                                         431,768     11,108        X       X   28-1500    11108
                                                         124,384      3,200        X           28-4580     3200
DOVER DOWNS GAMING &
   ENTMT I                COM             260095104       10,290      1,000        X           28-5284     1000
DOVER MOTORSPORTS INC     COM             260174107        4,290      1,000        X           28-5284     1000
DOW CHEM CO               COM             260543103   34,352,026    760,337        X           28-5284   687256      24800    48281
                                                      28,247,575    625,223        X       X   28-5284   373331     187428    64464
                                                         121,986      2,700        X           28-1500     2700
                                                         696,224     15,410        X       X   28-1500    15410
                                                         125,736      2,783        X           28-4580     2783
                                                         799,099     17,687        X       X   28-4580    17537        150
0           COLUMN TOTAL                             148,319,871
0
0
0




1                                                               FILE NO. 28-1235
PAGE 56 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
DOW JONES & CO INC        COM             260561105      264,655      6,517        X           28-5284     6517
                                                         621,333     15,300        X       X   28-5284    13850       1450
                                                           1,137         28        X       X   28-1500       28
                                                         104,896      2,583        X           28-4580     2583
                                                          57,869      1,425        X       X   28-4580      825                 600
DREMAN/CLAYMORE DIVID &
   INC                    COM             26153R100        3,660        200        X           28-5284      200
DREYFUS STRATEGIC MUNS
   INC                    COM             261932107       33,641      3,797        X           28-5284     3797
                                                          53,647      6,055        X       X   28-5284     6055
DREYFUS N Y MUN INCOME
   INC                    COM             26201T108        6,203        700        X       X   28-5284      700
DREYFUS STRATEGIC MUN BD
   FD                     COM             26202F107       61,131      7,100        X           28-5284     7100
                                                         124,165     14,421        X       X   28-5284    14421
DU PONT E I DE NEMOURS &
   CO                     COM             263534109   62,995,480  1,471,857        X           28-5284  1359284      67687    44886
                                                      93,340,337  2,180,849        X       X   28-5284   967323    1010875   202651
                                                         169,702      3,965        X       X   28-1500     3965
                                                      32,443,085    758,016        X           28-4580   756024                1992
                                                      23,382,368    546,317        X       X   28-4580   479371        772    66174
DUFF & PHELPS UTIL CORP
   BD T                   COM             26432K108      204,630     14,250        X           28-5284     3650               10600
                                                           5,213        363        X       X   28-5284                 363
DUKE ENERGY CORP          COM             264399106   10,329,410    451,263        X           28-5284   399827       9700    41736
                                                       7,301,429    318,979        X       X   28-5284   125470     157908    35601
                                                          85,357      3,729        X           28-1500                3729
                                                          68,304      2,984        X           28-4580     2984
                                                          29,345      1,282        X       X   28-4580     1282
DUKE REALTY CORP          COM NEW         264411505    5,615,813    169,151        X           28-5284   150226       5675    13250
                                                       8,482,002    255,482        X       X   28-5284   152442      56940    46100
                                                          13,280        400        X       X   28-1500      400
                                                         119,520      3,600        X           28-4580     3600
                                                          99,600      3,000        X       X   28-4580     3000
DUN & BRADSTREET CORP
   DEL NE                 COM             26483E100      819,217     13,956        X           28-5284    13956
                                                         351,143      5,982        X       X   28-5284     4512       1470
                                                         113,467      1,933        X       X   28-4580     1933
DUPONT PHOTOMASKS INC     COM             26613X101          767         45        X       X   28-5284       45
0           COLUMN TOTAL                             247,301,806
0
0
0




1                                                               FILE NO. 28-1235
PAGE 57 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
DUQUESNE LT HLDGS INC     COM             266233105      275,506     15,340        X           28-5284    14631                 709
                                                         400,598     22,305        X       X   28-5284    14527       5541     2237
                                                          53,880      3,000        X           28-4580     3000
DYNAMEX INC               COM             26784F103       46,548      2,700        X           28-5284     2700
DYNEGY INC NEW            CL A            26816Q101       40,419      8,100        X           28-5284     8100
                                                          20,958      4,200        X       X   28-5284     3200                1000
DYNEX CAP INC             COM NEW         26817Q506        4,860        675        X           28-5284      675
EMAK WORLDWIDE INC        COM             26861V104      154,260     15,773        X           28-1500    15773
E M C CORP MASS           COM             268648102   10,343,083    896,281        X           28-5284   850014      10317    35950
                                                       3,830,264    331,912        X       X   28-5284   228838      80474    22600
                                                         100,052      8,670        X           28-1500                8670
                                                          41,082      3,560        X           28-4580     3560
                                                         301,771     26,150        X       X   28-4580    25900        250
ENSCO INTL INC            COM             26874Q100          784         24        X       X   28-1500       24
ENI S P A                 SPONSORED ADR   26874R108      207,194      1,845        X           28-5284     1845
                                                          22,460        200        X       X   28-5284                 200
                                                          35,375        315        X           28-4580      315
EOG RES INC               COM             26875P101   50,048,107    760,032        X           28-5284   719122       6852    34058
                                                      11,340,292    172,214        X       X   28-5284   117055      46169     8990
                                                          52,680        800        X           28-1500      800
                                                       1,147,041     17,419        X           28-4580    16659                 760
                                                         263,795      4,006        X       X   28-4580     3122        740      144
E ON AG                   SPONSORED ADR   268780103        5,822         79        X           28-5284       79
ESB FINL CORP             COM             26884F102       27,520      2,000        X           28-5284     2000
                                                          78,570      5,710        X       X   28-5284                         5710
ESS TECHNOLOGY INC        COM             269151106        1,754        256        X           28-5284      256
                                                           2,076        303        X       X   28-5284      303
E TRADE FINANCIAL CORP    COM             269246104        1,964        172        X           28-5284      172
                                                          25,124      2,200        X       X   28-5284     2200
0           COLUMN TOTAL                              78,873,839
0
0
0




1                                                               FILE NO. 28-1235
PAGE 58 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                  
EAGLE MATERIALS INC       COM             26969P108          357          5        X           28-5284        5
                                                           3,565         50        X       X   28-5284       50
EAGLE MATERIALS INC       CL B            26969P207        1,173         17        X           28-5284       17
EARTHLINK INC             COM             270321102          855         83        X           28-5284       83
                                                         104,092     10,106        X           28-1500    10106
EASTERN AMERN NAT GAS TR  SPERS RCT UNIT  276217106       75,240      3,000        X       X   28-5284     3000
EASTGROUP PPTY INC        COM             277276101       72,210      2,175        X           28-5284     2175
EASTMAN CHEM CO           COM             277432100      150,543      3,166        X           28-5284     3166
                                                         470,507      9,895        X       X   28-5284     7240       2655
                                                          14,265        300        X           28-4580      300
                                                          72,894      1,533        X       X   28-4580     1533
EASTMAN KODAK CO          COM             277461109      737,548     22,891        X           28-5284    21748        300      843
                                                       1,498,037     46,494        X       X   28-5284    34375      11794      325
                                                           3,222        100        X       X   28-1500      100
                                                          14,499        450        X           28-4580      450
                                                         116,959      3,630        X       X   28-4580     3630
EATON CORP                COM             278058102    1,378,343     21,737        X           28-5284    21537        200
                                                       2,624,033     41,382        X       X   28-5284    21482      19500      400
EATON VANCE MA MUNI
   INCOME T               SH BEN INT      27826E104       38,100      2,326        X           28-5284     2326
EATON VANCE MUNI INCOME
   TRUS                   SH BEN INT      27826U108       18,479      1,133        X       X   28-5284     1133
EATON VANCE NJ MUNI
   INCOME T               SH BEN INT      27826V106       26,740      1,750        X           28-5284     1750
EATON VANCE CORP          COM NON VTG     278265103       63,412      1,570        X           28-5284     1570
EATON VANCE INS MUN BD
   FD                     COM             27827X101       64,240      4,605        X           28-5284     4605
                                                         120,249      8,620        X       X   28-5284     8620
EATON VANCE LTD DUR
   INCOME F               COM             27828H105       38,080      2,000        X           28-5284     2000
                                                          19,040      1,000        X       X   28-5284     1000
EATON VANCE INS NJ MUN
   BD FD                  COM             27828R103       78,999      5,100        X           28-5284     5100
EATON VANCE INS PA MUN
   BD FD                  COM             27828W102       14,980      1,000        X           28-5284     1000
0           COLUMN TOTAL                               7,820,661
0
0
0




1                                                               FILE NO. 28-1235
PAGE 59 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
EBAY INC                  COM             278642103    1,673,492     18,202        X           28-5284    18202
                                                       1,255,900     13,660        X       X   28-5284    11460       2200
                                                         144,346      1,570        X       X   28-1500     1570
                                                          41,373        450        X       X   28-4580       45                 405
ECHELON CORP              COM             27874N105          788        100        X       X   28-5284      100
ECHOSTAR COMMUNICATIONS
   NEW                    CL A            278762109    1,443,034     46,370        X           28-5284    46370
ECLIPSYS CORP             COM             278856109      100,573      6,447        X           28-5284     6447
ECOLAB INC                COM             278865100    7,182,091    228,438        X           28-5284   105568              122870
                                                       3,128,814     99,517        X       X   28-5284    24745      30852    43920
                                                          11,759        374        X       X   28-4580      374
EDEN BIOSCIENCE CORP      COM             279445100        8,800     20,000        X       X   28-1500    20000
EDISON INTL               COM             281020107       91,857      3,465        X           28-5284     3465
                                                         127,646      4,815        X       X   28-5284     1872       2943
EDUCATION MGMT CORP       COM             28139T101      110,556      4,150        X           28-5284     4150
EDUCATION LENDING GROUP
   INC                    COM             28140A109       29,560      2,000        X           28-5284     2000
EDWARDS LIFESCIENCES
   CORP                   COM             28176E108      146,496      4,373        X           28-5284     4273                 100
                                                          53,031      1,583        X       X   28-5284     1503         80
                                                           3,350        100        X       X   28-1500      100
EDWARDS AG INC            COM             281760108        4,951        143        X       X   28-1500      143
EL PASO CORP              COM             28336L109      145,064     15,785        X           28-5284    15285        200      300
                                                         154,677     16,831        X       X   28-5284     4643      12188
                                                          57,897      6,300        X       X   28-1500     6300
                                                           1,149        125        X           28-4580                          125
ELAN PLC                  ADR             284131208      186,287      7,961        X           28-5284     7961
                                                         197,356      8,434        X       X   28-5284     8334        100
ELECTRO SCIENTIFIC INDS   COM             285229100       12,145        700        X           28-5284      700
0           COLUMN TOTAL                              16,312,992
0
0
0




1                                                              FILE NO. 28-1235
PAGE 60 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ELECTRONIC ARTS INC       COM             285512109   11,309,263    245,907        X           28-5284   235200       1215     9492
                                                       3,239,996     70,450        X       X   28-5284    48210      17060     5180
                                                         468,638     10,190        X           28-4580    10007                 183
                                                         101,960      2,217        X       X   28-4580     2217
ELECTRONIC DATA SYS NEW   COM             285661104      554,011     28,572        X           28-5284    26772                1800
                                                       1,341,575     69,189        X       X   28-5284    23496      43671     2022
                                                         232,680     12,000        X       X   28-1500    12000
                                                          10,160        524        X           28-4580      524
                                                          11,925        615        X       X   28-4580      615
ELECTRONICS BOUTIQUE
   HLDGS C                COM             286045109      161,941      4,749        X           28-1500     4749
ELKCORP                   COM             287456107       41,640      1,500        X       X   28-5284     1500
EMERGE INTERACTIVE INC    CL A            29088W103        4,300      5,000        X           28-5284     5000
EMERSON ELEC CO           COM             291011104   46,051,668    744,089        X           28-5284   691563      22160    30366
                                                      44,747,955    723,024        X       X   28-5284   440692     229180    53152
                                                         192,787      3,115        X           28-1500                3115
                                                         353,825      5,717        X           28-4580     5717
                                                       1,832,315     29,606        X       X   28-4580    26417       2389      800
EMPIRE DIST ELEC CO       COM             291641108        6,165        300        X           28-5284      300
EMULEX CORP               COM NEW         292475209       30,874      2,680        X           28-5284     2680
                                                           1,555        135        X       X   28-5284      135
                                                          23,040      2,000        X       X   28-4580     2000
ENBRIDGE ENERGY
   PARTNERS L P           COM             29250R106      462,460      9,683        X           28-5284     7683                2000
                                                         607,794     12,726        X       X   28-5284     6800       5926
ENCANA CORP               COM             292505104      347,945      7,515        X           28-5284     7515
                                                         122,556      2,647        X       X   28-5284     1247        600      800
ENDESA S A                SPONSORED ADR   29258N107        2,102        110        X           28-5284      110
ENERGEN CORP              COM             29265N108       35,312        685        X           28-5284      685
                                                           2,474         48        X       X   28-5284       48
                                                          87,635      1,700        X       X   28-1500     1700
0           COLUMN TOTAL                             112,386,551
0
0
0




1                                                               FILE NO. 28-1235
PAGE 61 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ENERGY EAST CORP          COM             29266M109      359,117     14,262        X           28-5284    14162                 100
                                                         216,951      8,616        X       X   28-5284     5416       3200
                                                           2,871        114        X           28-4580      114
ENERGIZER HLDGS INC       COM             29266R108      132,906      2,883        X           28-5284     2883
                                                         849,070     18,418        X       X   28-5284    18418
ENERGY PARTNERS LTD       COM             29270U105        3,419        210        X           28-5284      210
ENERGY TRANSFER
   PRTNRS L P             UNIT LTD PARTN  29273R109        9,544        200        X       X   28-5284                 200
ENERPLUS RES FD           UNIT TR G NEW   29274D604      258,534      7,950        X           28-5284     7950
                                                         741,456     22,800        X       X   28-5284    20000       2800
ENGELHARD CORP            COM             292845104      180,136      6,354        X           28-5284     2854                3500
                                                         228,614      8,064        X       X   28-5284     7700        364
ENGINEERED SUPPORT SYS
   INC                    COM             292866100      456,400     10,000        X       X   28-5284    10000
ENNIS INC                 COM             293389102       38,556      1,800        X           28-5284     1800
                                                          85,680      4,000        X           28-4580     4000
ENPRO INDS INC            COM             29355X107          676         28        X           28-5284       28
ENSTAR GROUP INC GA       COM             29358R107       49,560      1,000        X           28-5284     1000
ENTEGRIS INC              COM             29362U104       35,028      4,200        X           28-5284                         4200
ENTERASYS NETWORKS INC    COM             293637104        2,560      1,600        X       X   28-5284                1600
ENTERGY CORP NEW          COM             29364G103    6,810,443    112,365        X           28-5284   106360       2462     3543
                                                       5,947,477     98,127        X       X   28-5284    49950      34282    13895
                                                         375,782      6,200        X           28-4580     6050                 150
                                                          54,549        900        X       X   28-4580      300         50      550
ENTERPRISE PRODS
   PARTNERS L             COM             293792107      196,960      8,497        X           28-5284     1981                6516
                                                         294,942     12,724        X       X   28-5284     7964       4760
                                                          32,452      1,400        X       X   28-1500     1400
ENTRUST INC               COM             293848107          506        200        X           28-5284      200
ENZON PHARMACEUTICALS
   INC                    COM             293904108       15,950      1,000        X           28-4580     1000
0           COLUMN TOTAL                              17,380,139
0
0
0




1                                                               FILE NO. 28-1235
PAGE 62 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
EON LABS INC              COM             29412E100        4,340        200        X           28-5284      200
                                                         399,280     18,400        X       X   28-5284    17600        800
EQUIFAX INC               COM             294429105    1,409,232     53,461        X           28-5284    53461
                                                         197,700      7,500        X       X   28-5284     5000       1000     1500
EQUINIX INC               COM NEW         29444U502       89,233      2,900        X           28-5284     2900
EQUITABLE RES INC         COM             294549100    1,908,128     35,134        X           28-5284    32276       1600     1258
                                                       2,149,210     39,573        X       X   28-5284    27370      12203
                                                          77,012      1,418        X       X   28-4580     1418
EQUITY INCOME FD          UT 1 EX SR-ATT  294700703      377,303      4,472        X           28-5284     4402         70
                                                         143,513      1,701        X       X   28-5284     1251        450
EQUITY INNS INC           COM             294703103        9,880      1,000        X           28-5284     1000
EQUITY OFFICE PROPERTIES
   TRU                    COM             294741103    2,848,606    104,536        X           28-5284   104536
                                                       8,024,117    294,463        X       X   28-5284   282663               11800
EQUITY ONE                COM             294752100       13,244        675        X       X   28-5284      675
EQUITY RESIDENTIAL        SH BEN INT      29476L107       72,819      2,349        X           28-5284     2349
                                                         214,365      6,915        X       X   28-5284     4365       1550     1000
EQUITY RESIDENTIAL        PFD CONV E 7%   29476L883       10,317        300        X       X   28-5284      300
ERICSSON L M TEL CO       ADR B SEK 10    294821608      357,386     11,440        X           28-5284    11440
                                                         104,498      3,345        X       X   28-5284     2545        800
ERIE INDTY CO             CL A            29530P102   20,129,125    394,534        X           28-5284   394534
                                                      25,307,144    496,024        X       X   28-5284   496024
ESCALADE INC              COM             296056104       75,937      5,467        X           28-1500     5467
ESCO TECHNOLOGIES INC     COM             296315104        1,762         26        X       X   28-5284                           26
ESSEX PPTY TR INC         COM             297178105       21,555        300        X           28-5284      300
                                                           3,593         50        X       X   28-5284       50
ETABLISSEMENTS DELHAIZE
   FRER                   SPONSORED ADR   29759W101        1,770         28        X           28-5284       28
                                                         296,139      4,685        X       X   28-5284     4681                   4
0           COLUMN TOTAL                              64,247,208
0
0
0




1                                                               FILE NO. 28-1235
PAGE 63 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                 ITEM 6:
                                                                               INVESTMENT                         ITEM 8:
                                                                  ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                       ITEM 3:      ITEM 4:      SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
      ITEM 1:             ITEM 2:       CUSIP     FAIR MARKET    PRINCIPAL  ---------------  MANAGERS  ----------------------------
  NAME OF ISSUER      TITLE OF CLASS    NUMBER       VALUE        AMOUNT    (A)SOLE  (C)OTH  INSTR V    (A)SOLE  (B)SHARED  (C)NONE
--------------------  --------------  ---------  -------------  ----------  -------  ------  --------  --------  ---------  -------
                                                                                              
ETHAN ALLEN
   INTERIORS INC      COM             297602104        276,019       7,943        X           28-5284      7943
                                                         6,950         200        X       X   28-5284       200
EVERGREEN RES INC     COM NO PAR      299900308              0         800        X           28-5284                  800
EVERGREEN INCOME
   ADVANTAGE F        COM SHS         30023Y105         39,425       2,500        X           28-5284      2500
EVERGREEN MANAGED
   INCOME FD          COM SHS         30024Y104         72,080       4,000        X       X   28-5284      4000
EVERGREEN SOLAR INC   COM             30033R108          2,783         973        X       X   28-5284       973
EVERTRUST FINL GROUP
   INC                COM             300412103         26,870       1,050        X           28-5284      1050
EXACTECH INC          COM             30064E109         40,900       2,000        X           28-5284      2000
EXCEL TECHNOLOGY INC  COM             30067T103          5,810         225        X           28-5284       225
EXELON CORP           COM             30161N101     35,574,294     969,591        X           28-5284    921637       8814    39140
                                                    14,050,252     382,945        X       X   28-5284    242853     126632    13460
                                                       198,126       5,400        X       X   28-1500      5400
                                                       722,353      19,688        X           28-4580     19282                 406
                                                       261,269       7,121        X       X   28-4580      6501        620
EXPEDITORS INTL WASH
   INC                COM             302130109        123,563       2,390        X           28-5284      2390
                                                         6,204         120        X       X   28-5284       120
EXPRESS SCRIPTS
   INC                COM             302182100         23,130         354        X           28-5284       354
                                                       173,804       2,660        X       X   28-5284       160       2500
EXULT INC DEL         COM             302284104         10,520       2,000        X           28-5284      2000
                                                        26,300       5,000        X       X   28-5284                 5000
EXXON MOBIL CORP      COM             30231G102    615,234,859  12,729,875        X           28-5284  11441891     359986   927998
                                                   909,828,441  18,825,335        X       X   28-5284   6721871    3877707  8225757
                                                     1,723,834      35,668        X           28-1500       145      35523
                                                    15,489,233     320,489        X           28-4580    312014                8475
                                                    46,284,964     957,686        X       X   28-4580    868306      76962    12418
FEI CO                COM             30241L109          9,880         500        X           28-5284       500
FLIR SYS INC          COM             302445101         11,700         200        X           28-5284       200
0       COLUMN TOTAL                             1,640,223,563
0
0
0




1                                                               FILE NO. 28-1235
PAGE 64 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
FMC TECHNOLOGIES INC      COM             30249U101       68,737      2,058        X           28-5284     2058
                                                          18,604        557        X       X   28-5284      557
                                                          28,691        859        X       X   28-4580      859
F M C CORP                COM NEW         302491303       68,678      1,414        X           28-5284     1414
                                                          15,785        325        X       X   28-5284      325
FNB CORP PA               COM             302520101      188,371      8,512        X           28-5284     6912                1600
                                                         276,182     12,480        X       X   28-5284     9480       3000
                                                          24,409      1,103        X       X   28-4580     1103
FNB FINANCIAL SERVICES
   CORP                   COM             302526108      422,826     21,965        X           28-1500    21965
FPL GROUP INC             COM             302571104   25,045,907    366,597        X           28-5284   337931       6686    21980
                                                      33,511,643    490,510        X       X   28-5284   251931     158237    80342
                                                           2,391         35        X           28-1500                  35
                                                         608,526      8,907        X           28-4580     8907
                                                         993,783     14,546        X       X   28-4580    11816       1830      900
FACTSET RESH SYS INC      COM             303075105       53,020      1,100        X           28-5284     1100
FAIR ISAAC CORP           COM             303250104       27,740        950        X           28-5284      950
FAIRCHILD SEMICONDUCTOR
   INTL                   COM             303726103       12,753        900        X           28-5284      900
                                                           9,919        700        X       X   28-5284                          700
FAMILY DLR STORES INC     COM             307000109      196,665      7,257        X           28-5284     6207                1050
                                                         219,510      8,100        X       X   28-5284     5000       3100
                                                           8,130        300        X       X   28-1500      300
FARMERS CAP BK CORP       COM             309562106      178,360      5,200        X           28-5284     1000                4200
                                                           8,506        248        X           28-1500      248
FARO TECHNOLOGIES INC     COM             311642102        3,051        150        X       X   28-5284      150
FASTENAL CO               COM             311900104      101,952      1,770        X           28-5284     1770
FEDERAL HOME LN MTG CORP  COM             313400301   84,764,505  1,299,272        X           28-5284  1102189       4890   192193
                                                      19,392,981    297,256        X       X   28-5284   225697      59614    11945
                                                       3,851,052     59,029        X           28-1500    59029
                                                         618,410      9,479        X       X   28-1500     9479
                                                       1,297,363     19,886        X           28-4580    19064                 822
                                                         404,684      6,203        X       X   28-4580     5370        660      173
0           COLUMN TOTAL                             172,423,134
0
0
0




1                                                               FILE NO. 28-1235
PAGE 65 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
FEDERAL NATL MTG ASSN     COM             313586109   65,270,617  1,029,505        X           28-5284   978135      31528    19842
                                                      49,791,444    785,354        X       X   28-5284   511116     203253    70985
                                                         238,891      3,768        X       X   28-1500     3768
                                                         616,185      9,719        X           28-4580     9719
                                                         474,359      7,482        X       X   28-4580     6082       1400
FEDERAL REALTY INVT TR    SH BEN INT NEW  313747206      471,900     10,725        X           28-5284    10725
                                                       1,412,092     32,093        X       X   28-5284    11500      20593
FEDERAL SIGNAL CORP       COM             313855108       50,426      2,714        X           28-5284     1114                1600
FEDERATED DEPT STORES
   INC DE                 COM             31410H101      119,254      2,625        X           28-5284     2625
                                                          58,378      1,285        X       X   28-5284       50       1000      235
                                                           6,133        135        X           28-1500                 135
FEDERATED INVS INC PA     CL B            314211103       45,276      1,592        X           28-5284     1592
                                                          59,724      2,100        X       X   28-5284     2100
FEDERATED PREM MUN INC
   FD                     COM             31423P108      258,250     17,568        X           28-5284    17568
FEDEX CORP                COM             31428X106    1,601,032     18,684        X           28-5284    17284                1400
                                                         934,021     10,900        X       X   28-5284     7800       2100     1000
                                                          21,423        250        X       X   28-1500      250
                                                         994,004     11,600        X           28-4580    11600
FERRELLGAS PARTNERS
   L.P.                   UNIT LTD PART   315293100       74,188      3,400        X           28-5284     3400
                                                          20,729        950        X       X   28-5284      950
                                                          87,280      4,000        X           28-4580     4000
FERRO CORP                COM             315405100       47,982      2,200        X           28-5284     2200
F5 NETWORKS INC           COM             315616102       11,575        380        X           28-1500      350         30
FIDELITY NATL FINL INC    COM             316326107      243,230      6,384        X           28-5284     6384
                                                       6,484,544    170,198        X       X   28-5284      800       2739   166659
FIFTH THIRD BANCORP       COM             316773100   49,569,659  1,007,104        X           28-5284   918091        715    88298
                                                      10,064,949    204,489        X       X   28-5284   162921      30606    10962
                                                       1,533,498     31,156        X           28-1500        7      31149
                                                          14,274        290        X           28-4580      290
                                                          12,305        250        X       X   28-4580                 250
FILENET CORP              COM             316869106       26,190      1,500        X       X   28-1500     1500
0           COLUMN TOTAL                             190,613,812
0
0
0




1                                                               FILE NO. 28-1235
PAGE 66 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
FINDWHAT COM              COM             317794105       28,095      1,500        X           28-5284     1500
FINISH LINE INC           CL A            317923100        7,730        250        X           28-5284      250
                                                             649         21        X           28-1500       21
FIRST ACCEPTANCE CORP     COM             318457108        1,430        200        X           28-5284      200
FIRST AMERN CORP CALIF    COM             318522307      107,381      3,483        X           28-5284     3483
                                                          92,490      3,000        X       X   28-5284     2000                1000
FIRST BANCORP N C         COM             318910106       21,008        623        X           28-5284      623
FIRST CTZNS BANCSHARES
   INC N                  CL A            31946M103       35,400        300        X       X   28-5284      300
FIRST COMWLTH FINL CORP
   PA                     COM             319829107      500,794     36,796        X           28-5284    36796
                                                         377,623     27,746        X       X   28-5284    24170       3576
FIRST DATA CORP           COM             319963104   81,242,036  1,867,633        X           28-5284  1596598       9180   261855
                                                      18,696,083    429,795        X       X   28-5284   323322      85796    20677
                                                       3,964,155     91,130        X           28-1500    77589      13541
                                                         114,579      2,634        X           28-4580     2634
                                                          67,773      1,558        X       X   28-4580     1358       200
FIRST FINL BANKSHARES     COM             32020R109       50,200      1,250        X           28-5284     1250
FIRST FINL BANCORP OH     COM             320209109      267,336     15,652        X       X   28-5284    15652
                                                         176,710     10,346        X       X   28-1500    10346
FIRST FINL CORP IND       COM             320218100           63          2        X           28-1500        2
FIRST FINL SVC CORP       COM             32022D108      386,753     15,323        X           28-5284    15323
                                                         397,959     15,767        X           28-1500    15767
FIRST FRANKLIN CORP       COM             320272107    1,186,500     56,500        X           28-5284    56500
FIRST HORIZON
   PHARMACEUTICAL         COM             32051K106       10,005        500        X           28-5284      500
                                                          20,010      1,000        X       X   28-1500     1000
FIRST HORIZON NATL CORP   COM             320517105      149,592      3,450        X           28-5284     3250        200
                                                         184,280      4,250        X       X   28-5284     3250                1000
                                                         167,543      3,864        X       X   28-1500     3864
                                                         498,640     11,500        X                      11500
1ST INDEPENDENCE FINL
   GRP IN                 COM             32053S107       28,582      1,484        X           28-5284                         1484
0           COLUMN TOTAL                             108,781,399
0
0
0




1                                                               FILE NO. 28-1235
PAGE 67 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
FIRST INDUSTRIAL REALTY
   TRUS                   COM             32054K103       56,383      1,528        X           28-5284     1528
                                                          57,195      1,550        X       X   28-5284     1400        150
FIRST ISRAEL FD INC       COM             32063L100        6,045        500        X           28-5284      500
FIRST KEYSTONE FINL INC   COM             320655103        8,760        400        X           28-5284      400
FIRST MARBLEHEAD CORP     COM             320771108      464,000     10,000        X       X   28-5284    10000
FIRST MARINER BANCORP     COM             320795107    3,696,280    214,900        X           28-1500   214900
FIRST MIDWEST BANCORP
   DEL                    COM             320867104        1,002         29        X           28-5284       29
                                                          34,560      1,000        X       X   28-5284                1000
FIRST HEALTH GROUP CORP   COM             320960107       33,789      2,100        X           28-5284     2100
FIRST NATL BANKSHRS FL
   INC N                  COM             321100109      226,425      9,223        X           28-5284     7575                1648
                                                         214,395      8,733        X       X   28-5284     5643       3090
                                                          27,889      1,136        X       X   28-4580     1136
FIRST POTOMAC RLTY TR     COM             33610F109       57,538      2,785        X       X   28-1500     2785
FIRST TR VALUE LINE 100
   FD                     COM SHS         33735D104        5,229        350        X           28-5284      350
FIRST W VA BANCORP INC    COM             337493100       25,150      1,159        X           28-5284     1159
FISERV INC                COM             337738108    1,088,469     31,224        X           28-5284    31224
                                                         202,188      5,800        X       X   28-5284     1700       4100
FIRSTFED FINL CORP        COM             337907109        3,128         64        X           28-5284       64
                                                           4,790         98        X       X   28-5284       98
FLAGSTAR BANCORP INC      COM             337930101       63,840      3,000        X           28-5284     3000
                                                           3,873        182        X       X   28-5284      182
FIRSTENERGY CORP          COM             337932107      610,901     14,871        X           28-5284    12371                2500
                                                         775,467     18,877        X       X   28-5284     8348       8400     2129
                                                          12,324        300        X           28-4580      300
FISHER SCIENTIFIC INTL
   INC                    COM NEW         338032204      102,719      1,761        X           28-5284     1761
                                                          94,845      1,626        X       X   28-5284      106                1520
                                                           5,833        100        X       X   28-1500      100
0           COLUMN TOTAL                               7,883,017
0
0
0




1                                                               FILE NO. 28-1235
PAGE 68 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
FIVE STAR QUALITY CARE
   INC                    COM             33832D106           36          5        X           28-5284        5
                                                             215         30        X       X   28-5284       30
FLAHERTY & CRMN/CLYMR
   PFD SE                 COM SHS         338478100      253,700     10,000        X           28-5284     8000                2000
                                                         145,116      5,720        X       X   28-5284     5200        520
FLAHERTY & CRUMRINE PFD
   INC                    COM             33848E106       54,634      4,056        X           28-5284     4056
FLAHERTY & CRUMRINE PFD
   INC                    COM             338480106        3,592        200        X       X   28-5284                 200
FLORIDA EAST COAST INDS   COM             340632108       16,184        431        X           28-5284      431
                                                          45,060      1,200        X       X   28-5284     1200
FLORIDA ROCK INDS INC     COM             341140101       30,962        632        X           28-5284      632
                                                       1,176,985     24,025        X       X   28-5284    24025
FLUOR CORP NEW            COM             343412102      502,364     11,284        X           28-5284    11284
                                                         254,076      5,707        X       X   28-5284     2034       3673
FLOWSERVE CORP            COM             34354P105      103,974      4,300        X       X   28-1500     4300
FONAR CORP                COM             344437108       11,400     10,000        X       X   28-5284    10000
                                                             137        120        X       X   28-1500      120
FOOD TECHNOLOGY SERVICE
   INC                    COM             344798103          261        300        X       X   28-5284                 300
FOOT LOCKER INC           COM             344849104        5,925        250        X           28-5284      250
                                                       1,107,975     46,750        X       X   28-5284     2000        900    43850
FORD MTR CO DEL           COM PAR $0.01   345370860    2,662,658    189,513        X           28-5284   181040       1922     6551
                                                       1,856,342    132,124        X       X   28-5284    76751      45212    10161
                                                           8,556        609        X           28-1500                 609
                                                          85,733      6,102        X           28-4580     5403                 699
                                                          71,346      5,078        X       X   28-4580     1981       2097     1000
FORD MTR CO CAP TR II     PFD TR CV6.5%   345395206      292,768      5,600        X           28-5284     5600
                                                       1,165,844     22,300        X       X   28-5284    18300       4000
FORDING CDN COAL TR       TR UNIT         345425102      537,312      9,600        X       X   28-5284     8600       1000
FOREST CITY ENTERPRISES
   INC                    CL A            345550107       27,550        500        X           28-5284      500
0           COLUMN TOTAL                              10,420,705
0
0
0




1                                                               FILE NO. 28-1235
PAGE 69 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
FOREST LABS INC           COM             345838106      954,995     21,241        X           28-5284    20891        350
                                                         550,760     12,250        X       X   28-5284     7450       4800
                                                         159,338      3,544        X       X   28-1500     3544
                                                          10,790        240        X       X   28-4580      240
FORTUNE BRANDS INC        COM             349631101   60,248,506    813,180        X           28-5284   756051      11194    45935
                                                      41,166,479    555,628        X       X   28-5284   302138     120085   133405
                                                         235,013      3,172        X           28-1500      230       2942
                                                       2,126,235     28,698        X           28-4580    28514                 184
                                                         137,585      1,857        X       X   28-4580     1348        430       79
FORTUNE BRANDS INC        PFD CV $2.67    349631200       45,700        100        X       X   28-5284      100
FORWARD AIR CORP          COM             349853101       10,405        260        X           28-5284      260
FOSSIL INC                COM             349882100    1,143,388     36,955        X       X   28-5284    36955
FOUNDRY NETWORKS INC      COM             35063R100        8,541        900        X           28-5284      900
FOX ENTMT GROUP INC       CL A            35138T107       14,147        510        X           28-5284      510
                                                          27,740      1,000        X       X   28-5284     1000
FRANCE TELECOM            SPONSORED ADR   35177Q105        2,500        100        X           28-5284      100
FRANKFORT FIRST BANCORP
   INC                    COM NEW         352128201       28,932      1,200        X           28-1500     1200
FRANKLIN RES INC          COM             354613101    1,024,367     18,371        X           28-5284    17471                 900
                                                       1,202,576     21,567        X       X   28-5284    13567       7800      200
FRANKLIN TEMPLETON LTD
   DUR I                  COM             35472T101       29,080      2,000        X       X   28-1500     2000
FREDS INC                 CL A            356108100        4,490        250        X       X   28-5284                 250
FREEPORT-MCMORAN COPPER
   & GO                   CL B            35671D857      235,184      5,807        X           28-5284     4558                1249
                                                         455,585     11,249        X       X   28-5284    11148                 101
FREMONT GEN CORP          COM             357288109       26,414      1,141        X           28-5284     1141
                                                          23,150      1,000        X       X   28-5284     1000
                                                       5,183,285    223,900        X           28-1500   223900
FREQUENCY ELECTRS INC     COM             358010106        2,570        200        X       X   28-1500      200
FRESENIUS MED CARE AG     SPONSORED ADR   358029106        8,520        334        X       X   28-5284                 334
0           COLUMN TOTAL                             115,066,275
0
0
0




1                                                               FILE NO. 28-1235
PAGE 70 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                              
FRIEDMAN BILLINGS RAMSEY
   GRO                    CL A            358434108      162,350      8,500        X           28-5284     8500
                                                          41,829      2,190        X       X   28-5284                2190
FUELCELL ENERGY INC       COM             35952H106       15,375      1,500        X           28-5284     1500
                                                          26,004      2,537        X       X   28-5284     2537
FUJI PHOTO FILM LTD       ADR             359586302       16,594        505        X           28-5284      505
FULLER H B CO             COM             359694106       27,400      1,000        X           28-5284     1000
FULTON FINL CORP PA       COM             360271100      335,381     15,672        X           28-5284    15672
                                                       1,844,252     86,180        X       X   28-5284    15232      70948
                                                          47,187      2,205        X           28-4580     2205
FURNITURE BRANDS INTL
   INC                    COM             360921100       25,080      1,000        X           28-5284     1000
                                                           5,016        200        X       X   28-1500      200
GATX CORP                 COM             361448103        6,665        250        X           28-5284      250
                                                          11,890        446        X       X   28-5284      446
GP STRATEGIES CORP        COM             36225V104          231         31        X           28-5284       31
GSI COMMERCE INC          COM             36238G102       88,100     10,000        X           28-5284    10000
GTC BIOTHERAPEUTICS INC   COM             36238T104        1,770      1,000        X           28-5284     1000
GABELLI GLOBAL
   MULTIMEDIA TR          COM             36239Q109       10,162      1,138        X           28-5284     1138
                                                           7,180        804        X       X   28-5284      804
GABELLI EQUITY TR INC     COM             362397101      264,336     31,657        X           28-5284    31657
                                                          78,548      9,407        X       X   28-5284     4764       4643
GABELLI UTIL TR           COM             36240A101       33,061      3,426        X           28-5284     3426
                                                          25,688      2,662        X       X   28-5284      262       2400
GABLES RESIDENTIAL TR     SH BEN INT      362418105       75,130      2,200        X       X   28-5284     1900        300
GABELLI DIVD & INCOME TR  COM             36242H104       91,250      5,000        X       X   28-5284     5000
                                                          36,500      2,000        X           28-4580     2000
GALLAGHER ARTHUR J & CO   COM             363576109   10,285,209    310,450        X           28-5284   310450
                                                          94,917      2,865        X       X   28-5284     2865
0           COLUMN TOTAL                              13,657,105
0
0
0




1                                                               FILE NO. 28-1235
PAGE 71 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
GALLAHER GROUP PLC        SPONSORED ADR   363595109    2,863,296     61,616        X           28-5284    57563       1800     2253
                                                       8,642,072    185,971        X       X   28-5284   169866      15705      400
                                                          53,533      1,152        X           28-4580     1152
GANNETT INC               COM             364730101   63,928,480    763,234        X           28-5284   682978       9365    70891
                                                      30,405,718    363,010        X       X   28-5284   194433     118542    50035
                                                       1,811,729     21,630        X           28-1500    21630
                                                         663,379      7,920        X       X   28-1500     7920
                                                         630,294      7,525        X           28-4580     7525
                                                         973,626     11,624        X       X   28-4580    11524        100
GAP INC DEL               COM             364760108      213,598     11,453        X           28-5284    11453
                                                         236,351     12,673        X       X   28-5284     4673       2800     5200
GARDNER DENVER INC        COM             365558105        3,970        144        X       X   28-5284      144
GARTNER INC               COM             366651107       33,901      2,900        X           28-5284     2900
GARTNER INC               CL B            366651206        9,517        824        X       X   28-5284      304        520
                                                          11,619      1,006        X       X   28-4580     1006
GATEWAY INC               COM             367626108        6,930      1,400        X           28-5284     1400
                                                           4,950      1,000        X       X   28-5284     1000
GAYLORD ENTMT CO NEW      COM             367905106       46,500      1,500        X       X   28-1500     1500
GEN-PROBE INC NEW         COM             36866T103      490,401     12,300        X       X   28-5284    12300
GENENTECH INC             COM NEW         368710406    1,091,070     20,814        X           28-5284    20814
                                                         642,145     12,250        X       X   28-5284     9750        500     2000
                                                          10,484        200        X       X   28-1500      200
                                                       3,427,429     65,384        X                      65384
GENERAL AMERN INVS INC    COM             368802104        5,965        202        X           28-5284                          202
                                                          59,060      2,000        X       X   28-5284     2000
GENERAL DYNAMICS CORP     COM             369550108    9,946,378     97,418        X           28-5284    85263        175    11980
                                                       7,785,023     76,249        X       X   28-5284    38309      13290    24650
                                                          51,050        500        X       X   28-1500      500
                                                           5,105         50        X           28-4580       50
                                                          49,008        480        X       X   28-4580      300        180
0           COLUMN TOTAL                             134,102,581
0
0
0




1                                                               FILE NO. 28-1235
PAGE 72 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                        ITEM 3:      ITEM 4:      SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
        ITEM 1:            ITEM 2:       CUSIP     FAIR MARKET    PRINCIPAL  ---------------  MANAGERS  ----------------------------
    NAME OF ISSUER     TITLE OF CLASS    NUMBER       VALUE         AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE   (B)SHARED  (C)NONE
---------------------  --------------  ---------  -------------  ----------  -------  ------  --------  --------  ---------  -------
                                                                                               
GENERAL ELEC CO        COM             369604103    611,666,785  18,215,211        X           28-5284  16510498     525154  1179559
                                                    696,594,434  20,744,325        X       X   28-5284  11354959    5715753  3673613
                                                      5,300,838     157,857        X           28-1500     17750     140107
                                                     17,239,300     513,380        X           28-4580    510411                2969
                                                     14,488,729     431,469        X       X   28-4580    392860      35309     3300
GENERAL GROWTH PPTYS
   INC                 COM             370021107        839,077      27,067        X           28-5284     27067
                                                        905,510      29,210        X       X   28-5284     29210
                                                         69,843       2,253        X           28-1500                 2253
                                                         19,344         624        X       X   28-4580        59                 565
GENERAL MLS INC        COM             370334104     10,914,651     243,088        X           28-5284    226834       6150    10104
                                                     18,469,974     411,358        X       X   28-5284    286378      62453    62527
                                                         19,217         428        X       X   28-1500       428
                                                         85,310       1,900        X           28-4580      1900
                                                        372,670       8,300        X       X   28-4580      7300        600      400
GENERAL MTRS CORP      COM             370442105     10,064,107     236,914        X           28-5284    222655       8847     5412
                                                     10,156,033     239,078        X       X   28-5284    128502      91082    19494
                                                         64,145       1,510        X           28-1500                 1510
                                                        339,330       7,988        X           28-4580      7788                 200
                                                        529,301      12,460        X       X   28-4580     12460
GENERAL MTRS CORP      DEB SR CONV B   370442733         11,955         500        X           28-5284       500
GENEREX BIOTECHNOLOGY
   CP DEL              COM             371485103          5,450       5,000        X           28-5284      5000
GENESCO INC            COM             371532102          2,355         100        X       X   28-5284       100
GENESEE & WYO INC      CL A            371559105         25,193         995        X           28-5284       995
                                                        145,590       5,750        X       X   28-5284       750                5000
GENESIS HEALTHCARE
   CORP                COM             37184D101         12,164         400        X           28-5284       400
GENESYS S A            SP ADR REP 1/2  37185M100            354         472        X           28-5284       472
GENTEX CORP            COM             371901109         78,164       2,225        X           28-5284      2225
                                                         22,835         650        X       X   28-5284       650
                                                          6,113         174        X           28-1500        74        100
GENESIS ENERGY L P     UNIT LTD PARTN  371927104         11,250       1,000        X           28-5284      1000
GENLYTE GROUP INC      COM             372302109          3,284          51        X           28-5284        51
0        COLUMN TOTAL                             1,398,463,305
0
0
0




1                                                               FILE NO. 28-1235
PAGE 73 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
GENTA INC                 COM NEW         37245M207        2,690      1,000        X       X   28-5284     1000
GENVEC INC                COM             37246C109        8,256      3,200        X           28-5284     3200
GENUINE PARTS CO          COM             372460105    1,513,899     39,445        X           28-5284    39445
                                                       3,390,796     88,348        X       X   28-5284    24506      61817     2025
                                                         188,062      4,900        X       X   28-1500     4900
                                                         253,308      6,600        X       X   28-4580     6600
GENWORTH FINL INC         COM CL A        37247D106       23,300      1,000        X       X   28-5284     1000
GENZYME CORP              COM GENL DIV    372917104      322,651      5,930        X           28-5284     5930
                                                       1,079,930     19,848        X       X   28-5284    19048        800
                                                          13,058        240        X       X   28-1500      240
GEORGIA GULF CORP         COM PAR $0.01   373200203        8,918        200        X           28-5284      200
GEORGIA PAC CORP          COM             373298108      409,363     11,387        X           28-5284    10587                 800
                                                       2,492,557     69,334        X       X   28-5284    59200      10134
GERBER SCIENTIFIC INC     COM             373730100       22,241      3,375        X       X   28-5284     3375
GERMAN AMERN BANCORP      COM             373865104       51,985      3,087        X           28-5284     3087
                                                           5,473        325        X           28-1500      325
GERON CORP                COM             374163103        5,990      1,000        X           28-5284     1000
GETTY IMAGES INC          COM             374276103       58,065      1,050        X           28-5284     1050
                                                           1,936         35        X       X   28-5284       35
GETTY RLTY CORP NEW       COM             374297109        5,506        210        X       X   28-5284      210
GIBRALTAR STL CORP        COM             37476F103        3,616        100        X       X   28-5284      100
GILEAD SCIENCES INC       COM             375558103    1,517,890     40,607        X           28-5284    40607
                                                         226,149      6,050        X       X   28-5284     3850       1000     1200
                                                          22,428        600        X       X   28-1500      600
                                                          22,428        600        X           28-4580      600
0           COLUMN TOTAL                              11,650,495
0
0
0




1                                                               FILE NO. 28-1235
PAGE 74 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
GILLETTE CO               COM             375766102   46,246,417  1,107,964        X           28-5284   883417       7112   217435
                                                      12,804,872    306,777        X       X   28-5284   259432      40415     6930
                                                       3,005,071     71,995        X           28-1500    59243      12752
                                                         169,130      4,052        X           28-4580     4052
                                                         438,270     10,500        X       X   28-4580    10500
GLADSTONE COML CORP       COM             376536108       16,210      1,000        X           28-5284     1000
GLAMIS GOLD LTD           COM             376775102       31,841      1,700        X           28-5284                         1700
GLATFELTER                COM             377316104   42,695,184  3,445,939        X           28-5284  3177325     268614
                                                      26,125,034  2,108,558        X       X   28-5284  1458837     612721    37000
GLAXOSMITHKLINE PLC       SPONSORED ADR   37733W105   17,548,193    401,285        X           28-5284   386889       2789    11607
                                                      31,106,505    711,331        X       X   28-5284   488481     190480    32370
                                                          62,840      1,437        X           28-1500                1437
                                                          84,049      1,922        X           28-4580     1922
                                                         502,283     11,486        X       X   28-4580    11486
GLENAYRE TECHNOLOGIES
INC                       COM             377899109        6,750      3,750        X           28-5284     1500                2250
                                                             540        300        X       X   28-5284      300
GLENBOROUGH RLTY TR INC   COM             37803P105      130,851      6,300        X           28-5284     6300
GLIMCHER RLTY TR          SH BEN INT      379302102      135,959      5,595        X           28-5284     3095                2500
                                                          99,630      4,100        X       X   28-5284     3900        200
                                                         161,133      6,631        X       X   28-1500     6631
GLOBAL HIGH INCOME DLR
FD IN                     COM             37933G108       18,638      1,050        X           28-5284     1050
GLOBECOMM SYSTEMS INC     COM             37956X103       49,725      7,500        X       X   28-5284                7500
GOLD BANC CORP INC        COM             379907108       66,883      4,958        X           28-5284                         4958
GOLD FIELDS LTD NEW       SPONSORED ADR   38059T106       86,732      6,354        X           28-5284     3579                2775
                                                          26,822      1,965        X       X   28-5284     1965
GOLDCORP INC NEW          COM             380956409        7,762        560        X           28-5284      560
                                                          20,790      1,500        X       X   28-5284      500       1000
GOLDEN WEST FINL CORP
DEL                       COM             381317106      869,293      7,835        X           28-5284     7785         50
                                                         838,782      7,560        X       X   28-5284     5520       1500      540
0           COLUMN TOTAL                             183,356,189
0
0
0




1                                                               FILE NO. 28-1235
PAGE 75 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
GOLDMAN SACHS GROUP INC   COM             38141G104   16,526,697    177,249        X           28-5284   165148        600    11501
                                                       3,484,845     37,375        X       X   28-5284    24610      11190     1575
                                                          18,648        200        X       X   28-1500      200
                                                         565,128      6,061        X           28-4580     5868                 193
                                                         129,324      1,387        X       X   28-4580      978        350       59
GOODRICH CORP             COM             382388106       10,662        340        X           28-5284      340
                                                           6,272        200        X       X   28-5284      200
GOODYEAR TIRE & RUBR CO   COM             382550101       15,487      1,442        X           28-5284     1442
                                                          56,192      5,232        X       X   28-5284     1204       4028
GOOGLE INC                CL A            38259P508        1,296         10        X           28-5284       10
                                                          12,960        100        X       X   28-5284                 100
                                                          12,960        100        X           28-4580      100
GORMAN RUPP CO            COM             383082104       38,175      1,875        X           28-5284                         1875
GRACE W R & CO DEL NEW    COM             38388F108       65,328      6,913        X       X   28-5284     6000        913
GRACO INC                 COM             384109104      136,680      4,080        X           28-5284     4080
                                                          13,400        400        X       X   28-5284      400
GRAFTECH INTL LTD         COM             384313102        1,214         87        X           28-5284       87
GRAINGER W W INC          COM             384802104    1,778,618     30,852        X           28-5284    30852
                                                         693,530     12,030        X       X   28-5284     6030       2400     3600
                                                         253,660      4,400        X       X   28-4580     4400
GRANT PRIDECO INC         COM             38821G101       88,312      4,310        X           28-5284     4310
                                                          13,155        642        X       X   28-5284                 642
GREAT AMERN FINL RES INC  COM             389915109          459         30        X           28-5284       30
GREAT LAKES CHEM CORP     COM             390568103       36,992      1,445        X           28-5284       30                1415
                                                          23,808        930        X       X   28-5284      755                 175
                                                          30,720      1,200        X           28-1500     1200
GREAT NORTHN IRON ORE
PPTYS                     CTFS BEN INT    391064102       11,376         95        X           28-5284       95
GREAT PLAINS ENERGY INC   COM             391164100      766,995     26,312        X           28-5284    26312
                                                         206,965      7,100        X       X   28-5284     5000       2100
                                                          16,178        555        X           28-4580      555
0           COLUMN TOTAL                              25,016,036
0
0
0




1                                                               FILE NO. 28-1235
PAGE 76 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
GREATER BAY BANCORP       COM             391648102       17,250        600        X           28-5284      600
                                                         115,000      4,000        X       X   28-5284                4000
                                                       9,844,000    342,400        X           28-1500   342400
GREATER CHINA FD INC      COM             39167B102       23,235      1,500        X       X   28-5284     1500
GREATER COMMUNITY
   BANCORP                COM             39167M108       29,834      2,101        X           28-5284     2101
GREATER DEL VY HLDGS      COM             391688108      399,688     12,790        X           28-5284    12790
GREEN MTN COFFEE
   ROASTERS IN            COM             393122106        4,204        200        X       X   28-5284                          200
GREEN MOUNTAIN PWR CORP   COM             393154109          990         38        X           28-5284       38
GREENPOINT FINL CORP      COM             395384100      142,018      3,070        X           28-5284     3070
                                                         342,324      7,400        X       X   28-5284                7400
GREIF INC                 CL A            397624107        2,445         58        X           28-5284       58
GREY GLOBAL GROUP INC     COM             39787M108      174,125        175        X       X   28-5284      175
GRIFFON CORP              COM             398433102        2,405        114        X           28-5284      114
GROUPE DANONE             SPONSORED ADR   399449107       41,338      2,633        X           28-5284      233                2400
GROUPE CGI INC            CL A SUB VTG    39945C109        5,376        800        X           28-5284      800
GRUPO TELEVISA SA DE CV   SP ADR REP ORD  40049J206        3,164         60        X           28-5284       60
GTECH HLDGS CORP          COM             400518106       68,364      2,700        X           28-5284     2700
GUIDANT CORP              COM             401698105    8,656,787    131,084        X           28-5284   108513               22571
                                                       1,995,795     30,221        X       X   28-5284    15365       9650     5206
                                                         310,388      4,700        X       X   28-1500     4700
                                                          27,142        411        X           28-4580      411
GUILFORD PHARMACEUTICALS
   INC                    COM             401829106        1,690        338        X           28-5284      338
GULF ISLAND FABRICATION
   INC                    COM             402307102       22,300      1,000        X           28-5284     1000
H & Q LIFE SCIENCES INVS  SH BEN INT      404053100       80,433      4,965        X           28-5284     4965
                                                          17,253      1,065        X       X   28-5284     1065
0           COLUMN TOTAL                              22,327,548
0
0
0




1                                                               FILE NO. 28-1235
PAGE 77 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
HCA INC                   COM             404119109    1,888,463     49,501        X           28-5284    47698                1803
                                                         305,810      8,016        X       X   28-5284     5966       1700      350
                                                          76,300      2,000        X           28-1500                2000
                                                          38,150      1,000        X           28-4580     1000
HNI CORP                  COM             404251100       53,037      1,340        X           28-5284     1340
HRPT PPTYS TR             COM SH BEN INT  40426W101       84,623      7,700        X           28-5284     7700
                                                          34,069      3,100        X       X   28-5284     1500       1600
HSBC HLDGS PLC            SPON ADR NEW    404280406    3,711,897     46,515        X           28-5284    44992                1523
                                                       1,156,063     14,487        X       X   28-5284    10884       3556       47
                                                         113,795      1,426        X       X   28-4580     1426
HAEMONETICS CORP          COM             405024100        6,568        200        X       X   28-5284                 200
HAIN CELESTIAL GROUP INC  COM             405217100        4,897        277        X           28-5284      277
HALLIBURTON CO            COM             406216101    3,131,418     92,948        X           28-5284    91173        650     1125
                                                       3,457,942    102,640        X       X   28-5284    63580      37110     1950
                                                           3,369        100        X       X   28-1500      100
                                                          10,612        315        X           28-4580      315
JOHN HANCOCK BK & THRIFT
   OPP                    SH BEN INT      409735107       56,621      5,760        X           28-5284     5760
HANCOCK FABRICS INC       COM             409900107        3,953        330        X       X   28-5284      330
                                                           3,642        304        X       X   28-1500      304
HANCOCK JOHN INCOME SECS
   TR                     COM             410123103       13,788        900        X       X   28-5284      900
HANCOCK JOHN PATRIOT
   GLOBL D                COM             41013G103       23,242      1,709        X       X   28-5284     1709
HANCOCK JOHN PATRIOT
   PREM DI                COM             41013Q101      213,864     22,800        X           28-5284    22800
                                                         177,488     18,922        X       X   28-5284    18922
HANCOCK JOHN PATRIOT
   PREM II                COM SH BEN INT  41013T105        8,888        800        X       X   28-5284      800
HANCOCK JOHN PFD INCOME
   FD I                   COM             41013X106       28,314      1,133        X           28-5284     1133
HANCOCK JOHN FINL TRENDS
   FD                     COM             41014X105      116,830      7,000        X           28-5284     7000
HANCOCK JOHN INVS TR      COM             410142103       12,852        600        X           28-5284      600
0           COLUMN TOTAL                              14,736,495
0
0
0




1                                                               FILE NO. 28-1235
PAGE 78 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
HANDLEMAN CO DEL          COM             410252100        6,138        300        X           28-5284      300
HANOVER CAP MTG HLDGS
   INC                    COM             410761100       19,679      1,587        X           28-5284     1587
                                                          12,400      1,000        X       X   28-5284                1000
HANOVER COMPRESSOR CO     COM             410768105       26,900      2,000        X           28-5284     2000
HANSON PLC NEW            SPONSORED ADR   411349103        2,294         62        X           28-5284       62
                                                           7,844        212        X       X   28-5284       25                 187
                                                           1,480         40        X       X   28-1500       40
HARBOR FLA BANCSHARES
   INC                    COM             411901101       25,191        810        X           28-5284      810
                                                           7,775        250        X       X   28-5284                 250
HARKEN ENERGY CORP        COM NEW         412552309          124        244        X           28-5284      244
                                                             255        500        X       X   28-5284      500
HARLEY DAVIDSON INC       COM             412822108   31,392,107    528,131        X           28-5284   349811       1475   176845
                                                       8,326,058    140,075        X       X   28-5284   119605      15890     4580
                                                         670,959     11,288        X           28-1500     6460       4828
                                                          17,832        300        X           28-4580      300
HARLEYSVILLE GROUP INC    COM             412824104       13,016        630        X           28-5284      630
                                                          63,509      3,074        X       X   28-5284      650       2424
HARLEYSVILLE NATL CORP
   PA                     COM             412850109    1,667,660     68,040        X           28-5284    68040
HARMAN INTL INDS INC      COM             413086109      441,775      4,100        X           28-5284     4100
                                                         301,700      2,800        X       X   28-5284     2800
HARMONY GOLD MNG LTD      SPONSORED ADR   413216300       26,559      1,950        X           28-5284                         1950
HARRAHS ENTMT INC         COM             413619107      196,026      3,700        X           28-5284     3700
                                                           1,642         31        X       X   28-4580        3                  28
HARRIS CORP DEL           COM             413875105      204,706      3,726        X           28-5284     3726
                                                         142,844      2,600        X       X   28-5284     2600
HARSCO CORP               COM             415864107      974,375     21,701        X           28-5284    21701
                                                         291,850      6,500        X       X   28-5284     6500
HARTE-HANKS INC           COM             416196103      125,975      5,037        X           28-5284     5037
0           COLUMN TOTAL                              44,968,673
0
0
0




1                                                               FILE NO. 28-1235
PAGE 79 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
HARTFORD FINL SVCS GROUP
   INC                    COM             416515104      708,231     11,436        X           28-5284    10927                 509
                                                       1,132,885     18,293        X       X   28-5284    13979       3914      400
                                                           9,351        151        X           28-4580      151
HASBRO INC                COM             418056107       52,640      2,800        X           28-5284     2800
HAWAIIAN ELEC INDUSTRIES  COM             419870100       65,819      2,480        X           28-5284     2480
                                                          98,198      3,700        X       X   28-5284     3300        400
HEALTHCARE SVCS GRP INC   COM             421906108        1,796        100        X           28-5284      100
HEALTH CARE PPTY INVS
   INC                    COM             421915109      685,932     26,382        X           28-5284    25582        800
                                                       1,156,324     44,474        X       X   28-5284     8274      36200
                                                         172,900      6,650        X       X   28-1500     6650
HEALTH MGMT ASSOC INC
   NEW                    CL A            421933102       64,191      3,142        X           28-5284     3142
                                                         180,295      8,825        X       X   28-1500     8825
HEALTHCARE RLTY TR        COM             421946104      246,069      6,303        X           28-5284     6303
                                                         110,678      2,835        X       X   28-5284     2285        550
                                                           3,318         85        X       X   28-1500       85
HEADWATERS INC            COM             42210P102       33,946      1,100        X           28-5284      500        600
                                                         672,748     21,800        X       X   28-5284    21500        300
                                                          12,344        400        X       X   28-1500      400
HEALTH CARE REIT INC      COM             42217K106      350,240      9,950        X           28-5284     9400                 550
                                                          10,560        300        X       X   28-5284                 300
                                                          25,344        720        X       X   28-1500      720
HEALTH NET INC            COM             42222G108       24,720      1,000        X           28-5284     1000
HEARTLAND EXPRESS INC     COM             422347104        5,535        300        X       X   28-1500      300
HECLA MNG CO              COM             422704106      305,040     41,000        X       X   28-5284    41000
HEINZ H J CO              COM             423074103   26,706,489    741,435        X           28-5284   690320      27216    23899
                                                      26,062,127    723,546        X       X   28-5284   433494     255520    34532
                                                          80,613      2,238        X           28-1500                2238
                                                       1,064,823     29,562        X           28-4580    29562
                                                       1,548,788     42,998        X       X   28-4580    42898        100
HENRY JACK & ASSOC INC    COM             426281101       38,291      2,040        X           28-5284     2040
0           COLUMN TOTAL                              61,630,235
0
0
0




1                                                               FILE NO. 28-1235
PAGE 80 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
HERCULES INC              COM             427056106       21,375      1,500        X           28-5284     1500
                                                          68,970      4,840        X       X   28-5284     3340       1500
                                                          44,232      3,104        X           28-4580     3104
                                                         124,730      8,753        X       X   28-4580     8753
HERITAGE PPTY INVT TR
   INC                    COM             42725M107       14,585        500        X           28-5284      500
HERSHEY FOODS CORP        COM             427866108   18,015,486    385,688        X           28-5284   331306               54382
                                                      10,282,739    220,140        X       X   28-5284   176120      39720     4300
                                                          33,911        726        X       X   28-1500      726
HEWLETT PACKARD CO        COM             428236103   25,358,775  1,352,468        X           28-5284  1199004      66411    87053
                                                      22,158,300  1,181,776        X       X   28-5284   750661     284861   146254
                                                          15,000        800        X           28-1500      800
                                                          37,706      2,011        X       X   28-1500     2011
                                                         987,956     52,691        X           28-4580    52691
                                                       4,322,906    230,555        X       X   28-4580    49160       1795   179600
HIBERNIA CORP             CL A            428656102      226,228      8,566        X           28-5284     6566                2000
                                                          69,987      2,650        X       X   28-5284     2650
HIGHVELD STL & VANADIUM
   LTD                    ADR             431232206       22,500      5,000        X       X   28-5284     5000
HIGHWOODS PPTYS INC       COM             431284108      112,566      4,574        X           28-5284     4574
                                                         113,206      4,600        X       X   28-5284     4600
HILB ROGAL & HOBBS CO     COM             431294107    2,128,649     58,770        X       X   28-5284                        58770
HILLENBRAND INDS INC      COM             431573104    3,156,154     62,461        X           28-5284    29561               32900
                                                         111,166      2,200        X       X   28-5284      400                1800
                                                           8,337        165        X       X   28-1500      165
HILTON HOTELS CORP        COM             432848109      157,578      8,364        X           28-5284     8364
                                                         227,436     12,072        X       X   28-5284    12072
HINES HORTICULTURE INC    COM             433245107       61,400     20,000        X       X   28-5284                        20000
HITACHI LIMITED           ADR 10 COM      433578507       12,372        205        X           28-5284      205
                                                          18,105        300        X       X   28-5284      300
HOLLY CORP                COM PAR $0.01   435758305       25,500      1,000        X       X   28-1500     1000
HOLLYWOOD ENTMT CORP      COM             436141105        9,870      1,000        X           28-5284     1000
0           COLUMN TOTAL                              87,947,725
0
0
0




1                                                               FILE NO. 28-1235
PAGE 81 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
HOME DEPOT INC            COM             437076102  113,924,647  2,906,241        X           28-5284  2488612      27529   390100
                                                      47,563,594  1,213,357        X       X   28-5284   845031     184549   183777
                                                       5,152,997    131,454        X           28-1500   109653      21801
                                                         869,652     22,185        X           28-4580    22185
                                                         475,457     12,129        X       X   28-4580    10179        780     1170
HOME PRODS INTL INC       COM             437305105          333        202        X           28-1500      202
HOME PROPERTIES INC       COM             437306103       57,955      1,465        X           28-5284     1465
                                                          11,868        300        X       X   28-5284                          300
HOMESTORE INC             COM             437852106        4,620      2,000        X           28-5284     2000
HONDA MOTOR LTD           AMERN SHS       438128308        8,502        349        X           28-5284      349
                                                         177,828      7,300        X       X   28-5284     5700       1600
HONEYWELL INTL INC        COM             438516106    8,899,950    248,186        X           28-5284   138596        200   109390
                                                       3,424,666     95,501        X       X   28-5284    61881      31460     2160
                                                           6,455        180        X           28-1500      180
                                                         267,516      7,460        X       X   28-1500     7460
                                                          28,688        800        X           28-4580      800
                                                         472,922     13,188        X       X   28-4580    13188
HOPFED BANCORP INC        COM             439734104        5,471        328        X           28-1500      328
HORMEL FOODS CORP         COM             440452100       90,383      3,375        X           28-5284     3375
                                                          72,306      2,700        X       X   28-1500     2700
HOSPITALITY PPTYS TR      COM SH BEN INT  44106M102      109,454      2,576        X           28-5284     2576
                                                         150,202      3,535        X       X   28-5284     2885        650
HOSPIRA INC               COM             441060100    3,353,301    109,585        X           28-5284    93528       1005    15052
                                                       6,090,379    199,032        X       X   28-5284   158100      32040     8892
                                                         109,058      3,564        X           28-1500                3564
                                                          25,582        836        X           28-4580      836
                                                          66,922      2,187        X       X   28-4580     1817        370
HOST MARRIOTT CORP NEW    COM             44107P104       15,251      1,087        X           28-5284     1087
HOUSTON EXPL CO           COM             442120101    1,305,700     22,000        X       X   28-5284    22000
HOVNANIAN ENTERPRISES
   INC                    CL A            442487203        3,529         88        X           28-5284       88
                                                          16,040        400        X       X   28-5284      400
0           COLUMN TOTAL                             192,761,228
0
0
0




1                                                               FILE NO. 28-1235
PAGE 82 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
HUANENG PWR INTL INC      SPON ADR N      443304100       22,652        700        X       X   28-5284      700
HUBBELL INC               CL A            443510102      286,516      6,804        X           28-5284     6804
                                                           8,422        200        X       X   28-5284      200
HUBBELL INC               CL B            443510201    1,070,899     23,888        X           28-5284     8786               15102
                                                         347,253      7,746        X       X   28-5284     6474                1272
                                                         210,701      4,700        X       X   28-1500     4700
HUDSON CITY BANCORP       COM             443683107      214,440      6,000        X       X   28-5284                6000
HUDSON HIGHLAND GROUP
   INC                    COM             443792106        8,757        300        X           28-5284      300
HUDSON UNITED BANCORP     COM             444165104      187,382      5,085        X           28-5284     5085
                                                         464,752     12,612        X       X   28-5284     6206       6406
HUGHES SUPPLY INC         COM             444482103      303,707     10,100        X       X   28-5284    10100
HUGOTON RTY TR TEX        UNIT BEN INT    444717102       28,050      1,000        X           28-5284     1000
HUMANA INC                COM             444859102      474,825     23,765        X           28-5284    23765
                                                          43,157      2,160        X       X   28-5284     2160
HUMAN GENOME SCIENCES
   INC                    COM             444903108       46,640      4,275        X           28-5284     4275
                                                           4,364        400        X       X   28-5284                          400
                                                         144,317     13,228        X           28-1500    13228
HUNT J B TRANS SVCS INC   COM             445658107       98,310      2,647        X           28-5284     2647
                                                         501,390     13,500        X       X   28-5284    13500
HUNTINGTON BANCSHARES
   INC                    COM             446150104    2,006,226     80,539        X           28-5284    80539
                                                         415,374     16,675        X       X   28-5284    16675
                                                           1,071         43        X           28-1500       43
                                                          32,657      1,311        X           28-4580     1311
                                                         456,625     18,331        X       X   28-4580    18331
HUTCHINSON TECHNOLOGY
   INC                    COM             448407106        2,593         97        X           28-5284       97
                                                           3,582        134        X       X   28-5284      134
HUTTIG BLDG PRODS INC     COM             448451104        5,493        607        X           28-5284      607
IDT CORP                  COM             448947101        1,910        131        X           28-5284      131
0           COLUMN TOTAL                               7,392,065
0
0
0




1                                                               FILE NO. 28-1235
PAGE 83 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
IDT CORP                  CL B            448947309        3,006        200        X       X   28-5284      200
HYPERION SOLUTIONS CORP   COM             44914M104        7,410        218        X           28-5284      218
IAC INTERACTIVECORP       COM             44919P102      363,991     16,530        X           28-5284    16530
                                                          11,010        500        X       X   28-5284      500
IAC INTERACTIVECORP       *W EXP 99/99/9  44919P128        1,005         50        X       X   28-5284       50
ICT GROUP INC             COM             44929Y101       11,130      1,500        X           28-5284     1500
ICOS CORP                 COM             449295104        7,242        300        X           28-5284      300
                                                          24,140      1,000        X       X   28-1500     1000
ICU MED INC               COM             44930G107       26,040      1,000        X           28-5284     1000
ID BIOMEDICAL CORP        COM             44936D108       13,020      1,000        X           28-5284     1000
IFC CAP TR III            PFD CV TR SECS  449498203       68,500      2,000        X       X   28-5284     2000
IHOP CORP                 COM             449623107       17,195        450        X           28-5284      450
IMC GLOBAL INC            COM             449669100       57,561      3,310        X           28-5284     3220                  90
                                                         250,416     14,400        X       X   28-5284    14400
ING PRIME RATE TR         SH BEN INT      44977W106       52,801      6,650        X           28-5284     6650
                                                           7,940      1,000        X           28-4580                         1000
IMS HEALTH INC            COM             449934108    1,192,819     49,867        X           28-5284    45548                4319
                                                         616,849     25,788        X       X   28-5284    14548      10972      268
                                                         156,724      6,552        X       X   28-4580     6552
ISTAR FINL INC            COM             45031U101      164,920      4,000        X           28-5284     4000
                                                         645,456     15,655        X       X   28-5284     8555       7100
ITT EDUCATIONAL SERVICES
   INC                    COM             45068B109       89,368      2,479        X           28-5284     2479
IXIA                      COM             45071R109       38,880      4,000        X       X   28-5284                4000
0           COLUMN TOTAL                               3,827,423
0
0
0




1                                                               FILE NO. 28-1235
PAGE 84 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ITT INDS INC IND          COM             450911102   44,801,279    560,086        X           28-5284   526088       3055    30943
                                                      12,928,144    161,622        X       X   28-5284    97119      50543    13960
                                                          63,912        799        X       X   28-1500      799
                                                         919,725     11,498        X           28-4580    10900                 598
                                                         389,791      4,873        X       X   28-4580     4353        520
ICICI BK LTD              ADR             45104G104        6,900        500        X       X   28-1500      500
ICORIA INC                COM             451045108          182        380        X       X   28-5284                 380
IDACORP INC               COM             451107106       54,923      1,890        X           28-5284     1890
                                                          15,315        527        X       X   28-5284      527
IGATE CORP                COM             45169U105    1,920,224    521,800        X           28-5284   521800
IKON OFFICE SOLUTIONS
   INC                    COM             451713101        7,753        645        X           28-5284       45        600
                                                         259,632     21,600        X       X   28-5284    21600
IDENTIX INC               COM             451906101        5,062        760        X           28-5284      760
                                                         172,787     25,944        X           28-1500    24644       1300
ILLINOIS TOOL WKS INC     COM             452308109   68,149,756    731,456        X           28-5284   703667       9162    18627
                                                      27,640,371    296,666        X       X   28-5284   175434     100726    20506
                                                         198,732      2,133        X       X   28-1500     2133
                                                       1,837,871     19,726        X           28-4580    19354                 372
                                                       1,841,505     19,765        X       X   28-4580    19090        675
IMATION CORP              COM             45245A107        7,403        208        X           28-5284      158                  50
                                                         105,773      2,972        X       X   28-5284     1697       1275
                                                          24,308        683        X       X   28-4580      683
IMAX CORP                 COM             45245E109       56,300     10,000        X           28-5284    10000
IMCLONE SYS INC           COM             45245W109       17,546        332        X           28-5284      332
IMAGISTICS INTERNATIONAL
   INC                    COM             45247T104      101,270      3,014        X           28-5284     2758                 256
                                                       1,172,472     34,895        X       X   28-5284    33740       1155
                                                             269          8        X       X   28-1500        8
                                                           4,838        144        X           28-4580      144
                                                           2,688         80        X       X   28-4580                           80
IMMUNOGEN INC             COM             45253H101       10,100      2,000        X       X   28-5284     2000
0           COLUMN TOTAL                             162,716,831
0
0
0




1                                                               FILE NO. 28-1235
PAGE 85 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
IMPAC MTG HLDGS INC       COM             45254P102       26,300      1,000        X       X   28-1500     1000
IMPERIAL CHEM INDS PLC    ADR NEW         452704505        2,079        135        X           28-5284      135
                                                          16,647      1,081        X       X   28-4580     1081
IMPERIAL OIL LTD          COM NEW         453038408       18,357        355        X           28-5284      355
                                                         527,442     10,200        X       X   28-5284    10200
IMPERIAL TOBACCO GROUP
   PLC                    SPONSORED ADR   453142101       40,684        928        X           28-5284      928
                                                          16,440        375        X       X   28-5284                          375
IMPLANT SCIENCES CORP     COM             45320R108        3,240        300        X           28-5284      300
INAMED CORP               COM             453235103       62,448      1,310        X           28-5284     1310
INCO LTD                  COM             453258402       80,053      2,050        X           28-5284     2050
                                                         263,197      6,740        X       X   28-5284     6740
INCYTE CORP               COM             45337C102        1,926        200        X           28-5284      200
INDEPENDENCE CMNTY BK
   CORP                   COM             453414104       23,430        600        X           28-5284      600
INDEPENDENT BANK CORP
   MASS                   COM             453836108       49,456      1,600        X           28-5284     1600
                                                          30,910      1,000        X       X   28-5284     1000
INDYMAC BANCORP INC       COM             456607100       32,580        900        X           28-5284      600        300
                                                         181,000      5,000        X       X   28-5284     4000                1000
INET TECHNOLOGIES INC     COM             45662V105       12,580      1,000        X           28-5284     1000
INFORTE CORP              COM             45677R107          696        100        X           28-5284      100
INFOSPACE INC             COM NEW         45678T201      118,475      2,500        X           28-5284     2500
INFOSYS TECHNOLOGIES LTD  SPONSORED ADR   456788108       20,036        354        X           28-5284      354
                                                          19,810        350        X       X   28-5284                          350
                                                          11,320        200        X       X   28-1500      200
ING GROUP N V             SPONSORED ADR   456837103       28,668      1,134        X           28-5284     1134
INGLES MKTS INC           CL A            457030104        2,460        204        X           28-1500      204
0           COLUMN TOTAL                               1,590,234
0
0
0




1                                                               FILE NO. 28-1235
PAGE 86 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
INGRAM MICRO INC          CL A            457153104          821         51        X           28-5284       51
                                                           4,428        275        X       X   28-5284      275
INKINE PHARMACEUTICALS
   INC                    COM             457214104       16,256      3,200        X       X   28-5284      200                3000
INNKEEPERS USA TR         COM             4576J0104        1,493        120        X       X   28-1500      120
INNOVEX INC               COM             457647105        1,363        335        X           28-5284      335
INPUT/OUTPUT INC          COM             457652105      134,030     13,000        X       X   28-5284    11000                2000
INSITE VISION INC         COM             457660108        5,700     10,000        X       X   28-5284    10000
INSITUFORM TECHNOLOGIES
   INC                    CL A            457667103        2,166        116        X           28-5284      116
INSMED INC                COM NEW         457669208        5,641      3,358        X       X   28-5284                3358
INSIGHT COMMUNICATIONS
   INC                    CL A            45768V108        4,400        500        X           28-5284      500
INNOVATIVE SOLUTIONS &
   SUPPO                  COM             45769N105       75,037      3,059        X       X   28-5284     3059
INSPIRE PHARMACEUTICALS
   INC                    COM             457733103       15,730      1,000        X           28-5284     1000
INSURANCE AUTO AUCTIONS
   INC                    COM             457875102        8,575        500        X           28-5284      500
INTEGRA LIFESCIENCES
   HLDGS C                COM NEW         457985208        9,633        300        X       X   28-5284      300
INSURED MUN INCOME FD     COM             45809F104       20,205      1,500        X       X   28-5284                1500
INTEGRATED CIRCUIT SYS
   INC                    COM             45811K208       38,700      1,800        X           28-5284     1800
INTEGRATED DEVICE
   TECHNOLOGY             COM             458118106        1,963        206        X           28-5284      206
                                                           2,564        269        X       X   28-5284      269
INTEGRA BK CORP           COM             45814P105       23,913      1,102        X           28-5284     1102
                                                         274,093     12,631        X           28-1500    12631
INTELIDATA TECHNOLOGIES
   CORP                   COM             45814T107       11,880     33,000        X           28-5284    33000
0           COLUMN TOTAL                                 658,591
0
0
0




1                                                               FILE NO. 28-1235
PAGE 87 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                              
INTEL CORP                COM             458140100  114,731,686  5,719,426        X           28-5284  5338127     101141   280158
                                                     119,012,590  5,932,831        X       X   28-5284  4295622    1192846   444363
                                                         627,978     31,305        X           28-1500     2724      28581
                                                       2,350,611    117,179        X           28-4580   116979                 200
                                                       2,564,791    127,856        X       X   28-4580   118696       6600     2560
INTERACTIVE DATA CORP     COM             45840J107        9,410        500        X       X   28-5284                 500
INTERDIGITAL
   COMMUNICATIONS         COM             45866A105      106,619      6,533        X       X   28-5284      200       6333
                                                         247,362     15,157        X           28-1500     6257       8900
INTERMUNE INC             COM             45884X103       11,790      1,000        X           28-4580     1000
INTERNATIONAL BUSINESS
   MACHS                  COM             459200101  168,350,233  1,963,497        X           28-5284  1778556      28133   156808
                                                     219,357,730  2,558,406        X       X   28-5284  1012935     426780  1118691
                                                         728,361      8,495        X           28-1500      401       8094
                                                       4,099,744     47,816        X           28-4580    47375                 441
                                                       8,702,096    101,494        X       X   28-4580    99607       1820       67
INTERNATIONAL
   FLAVORS&FRAGRA         COM             459506101      167,201      4,377        X           28-5284     3777                 600
                                                         177,783      4,654        X       X   28-5284      800       3854
                                                          11,880        311        X       X   28-1500      311
INTERNATIONAL GAME
   TECHNOLOG              COM             459902102      556,686     15,485        X           28-5284    15435                  50
                                                         133,015      3,700        X       X   28-5284     3700
                                                           9,599        267        X           28-1500      267
                                                          26,963        750        X       X   28-1500      750
                                                          64,710      1,800        X           28-4580     1800
INTL PAPER CO             COM             460146103   46,129,066  1,141,526        X           28-5284  1088634      10567    42325
                                                      14,433,442    357,175        X       X   28-5284   225863     108218    23094
                                                       1,264,025     31,280        X           28-4580    30627                 653
                                                         522,420     12,928        X       X   28-4580    10878       2050
INTERNATIONAL RECTIFIER
   CORP                   COM             460254105      258,622      7,540        X           28-5284     7540
INTERNATIONAL SPEEDWAY
   CORP                   CL A            460335201       61,876      1,240        X           28-5284     1240
INTERNET CAP GROUP INC    COM NEW         46059C205      302,134     46,770        X           28-5284    46770
                                                              65         10        X       X   28-5284       10
INTERNET HOLDRS TR        DEPOSIT RCPT    46059W102       71,592      1,200        X       X   28-5284     1200
0           COLUMN TOTAL                             705,092,080
0
0
0




1                                                               FILE NO. 28-1235
PAGE 88 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
INTERNET SEC SYS INC      COM             46060X107        8,143        479        X           28-1500      479
INTERPUBLIC GROUP COS
   INC                    COM             460690100    1,121,216    105,875        X           28-5284    70675               35200
                                                      10,032,606    947,366        X       X   28-5284   946100       1266
INTERSTATE HOTELS &
   RESRTS I               COM             46088S106      305,937     75,540        X           28-5284    75540
INTERVEST BANCSHARES
   CORP                   CL A            460927106       33,860      2,000        X       X   28-5284                2000
                                                       4,564,328    269,600        X           28-1500   269600
INTEST CORP               COM             461147100       22,951      2,950        X           28-5284     2950
INTIER AUTOMOTIVE INC     CL A            46115N104      271,180     13,000        X       X   28-5284    13000
INTUITIVE SURGICAL INC    COM NEW         46120E602        6,188        250        X           28-5284      250
                                                          24,750      1,000        X       X   28-5284     1000
                                                          11,138        450        X       X   28-1500      450
INTUIT                    COM             461202103      173,473      3,821        X           28-5284     3821
                                                         149,820      3,300        X       X   28-5284     3300
                                                         108,960      2,400        X       X   28-1500     2400
INVISION TECHNOLOGIES
   INC                    COM             461851107        4,499        100        X       X   28-5284      100
INVESTORS FINL SERVICES
   CORP                   COM             461915100       69,500      1,540        X           28-5284     1540
                                                         200,829      4,450        X       X   28-5284                4450
IONICS INC                COM             462218108      140,400      5,200        X           28-5284     5200
IRELAND BK                SPONSORED ADR   46267Q103        1,355         25        X           28-5284       25
IRON MTN INC PA           COM             462846106      342,731     10,125        X           28-5284    10125
                                                          50,775      1,500        X       X   28-5284     1500
IRWIN FINL CORP           COM             464119106      185,904      7,200        X           28-5284     7200
                                                       8,280,474    320,700        X           28-1500   320700
ISHARES INC               MSCI AUSTRALIA  464286103        5,808        400        X           28-5284      400
ISHARES INC               MSCI BRAZIL     464286400      185,400     10,000        X           28-5284    10000
ISHARES INC               MSCI CDA INDEX  464286509        6,184        400        X           28-5284      400
0           COLUMN TOTAL                              26,308,409
0
0
0




1                                                               FILE NO. 28-1235
PAGE 89 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ISHARES INC               MSCI EMU INDEX  464286608      242,931      3,900        X       X   28-5284      400       3500
                                                         155,725      2,500        X           28-4580     2500
                                                         688,305     11,050        X       X   28-4580    10400        650
ISHARES INC               MSCI PAC J IDX  464286665    4,373,027     54,656        X           28-5284    53892                 764
                                                         560,390      7,004        X       X   28-5284     6665        339
                                                         480,060      6,000        X           28-4580     5700                 300
                                                       1,768,221     22,100        X       X   28-4580    15500       5600     1000
ISHARES INC               MSCI SINGAPORE  464286673       54,400      8,000        X           28-5284     8000
                                                          11,900      1,750        X       X   28-5284     1750
ISHARES INC               MSCI TAIWAN     464286731       80,250      7,500        X           28-5284     7500
                                                          10,165        950        X       X   28-5284      950
ISHARES INC               MSCI SWITZERLD  464286749       11,912        800        X           28-5284      800
ISHARES INC               MSCI S KOREA    464286772      255,000     10,200        X           28-5284    10200
                                                          10,000        400        X       X   28-5284      400
ISHARES INC               MSCI MALAYSIA   464286830       11,424      1,700        X       X   28-5284     1700
                                                           9,408      1,400        X       X   28-1500     1400
ISHARES INC               MSCI JAPAN      464286848    2,553,001    263,196        X           28-5284   239957       2053    21186
                                                       7,491,320    772,301        X       X   28-5284   504045     268256
                                                          28,130      2,900        X       X   28-1500     2900
                                                         710,312     73,228        X           28-4580    71228                2000
                                                       1,412,359    145,604        X       X   28-4580   102104      38500     5000
ISHARES INC               MSCI HONG KONG  464286871      133,218     11,980        X           28-5284    11980
                                                          22,240      2,000        X       X   28-4580     2000
ISHARES TR                S&P 100 IDX FD  464287101    3,032,059     56,674        X           28-5284    38645               18029
                                                         252,253      4,715        X       X   28-5284     4715
ISHARES TR                DJ SEL DIV INX  464287168    3,292,120     57,354        X           28-5284    55543       1500      311
                                                       4,076,605     71,021        X       X   28-5284    56076      14945
ISHARES TR                US TIPS BD FD   464287176      200,566      1,925        X           28-5284     1925
                                                          20,838        200        X       X   28-5284      200
0           COLUMN TOTAL                              31,948,139
0
0
0




1                                                               FILE NO. 28-1235
PAGE 90 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ISHARES TR                S&P 500 INDEX   464287200   73,473,730    657,189        X           28-5284   633637      11406    12146
                                                      17,441,359    156,005        X       X   28-5284   103633      42811     9561
                                                         390,070      3,489        X       X   28-1500     3489
                                                       2,061,704     18,441        X           28-4580    18441
                                                       1,718,254     15,369        X       X   28-4580    15369
ISHARES TR                LEHMAN AGG BND  464287226      233,061      2,270        X           28-5284     2270
                                                          35,935        350        X       X   28-5284      350
ISHARES TR                MSCI EMERG MKT  464287234    2,176,260     12,616        X           28-5284     9550        124     2942
                                                       1,330,320      7,712        X       X   28-5284     4307       2818      587
                                                         148,868        863        X       X   28-4580      618                 245
ISHARES TR                GS CORP BD FD   464287242    1,594,480     14,267        X           28-5284    13607                 660
                                                         501,914      4,491        X       X   28-5284     2869       1622
ISHARES TR                S&P GBL INF     464287291       27,630        600        X       X   28-5284                 600
ISHARES TR                S&P500/BAR GRW  464287309   13,624,102    252,954        X           28-5284   252954
                                                       1,023,932     19,011        X       X   28-5284    11448       6905      658
                                                         212,370      3,943        X           28-4580     3943
ISHARES TR                GS NAT RES IDX  464287374      664,244      5,281        X           28-5284     5181        100
                                                         299,356      2,380        X       X   28-5284     1880        500
                                                         674,432      5,362        X           28-4580     4212                1150
                                                       2,773,449     22,050        X       X   28-4580    12150       9900
ISHARES TR                S&P500/BAR VAL  464287408   22,314,055    387,666        X           28-5284   297666               90000
                                                         894,195     15,535        X       X   28-5284     7403       7959      173
                                                         214,008      3,718        X           28-4580     3718
                                                         391,408      6,800        X       X   28-4580     2000                4800
ISHARES TR                7-10 YR TRS BD  464287440      158,105      1,841        X           28-5284     1841
                                                         342,747      3,991        X       X   28-5284     1740       2251
                                                         386,460      4,500        X       X   28-1500     4500
ISHARES TR                1-3 YR TRS BD   464287457      191,481      2,334        X           28-5284     2334
                                                          49,060        598        X       X   28-5284      295        303
                                                          82,040      1,000        X       X   28-1500     1000
0           COLUMN TOTAL                             145,429,029
0
0
0




1                                                               FILE NO. 28-1235
PAGE 91 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ISHARES TR                MSCI EAFE IDX   464287465   51,884,468    366,934        X           28-5284   336956       2481    27497
                                                      18,104,573    128,038        X       X   28-5284    93527      26114     8397
                                                       1,123,282      7,944        X           28-4580     7944
                                                         725,806      5,133        X       X   28-4580     4081        600      452
ISHARES TR                RUSSELL MCP VL  464287473    3,928,368     39,323        X           28-5284    34532                4791
                                                         911,887      9,128        X       X   28-5284     8032        853      243
                                                         214,585      2,148        X           28-4580     2148
                                                         112,188      1,123        X       X   28-4580     1123
ISHARES TR                RUSSELL MCP GR  464287481    3,484,927     46,973        X           28-5284    41146                5827
                                                       1,018,035     13,722        X       X   28-5284    11878        983      861
                                                          15,209        205        X           28-4580      205
ISHARES TR                RUSSELL MIDCAP  464287499   10,436,575    148,860        X           28-5284   143086        485     5289
                                                       2,880,610     41,087        X       X   28-5284    28903      12184
                                                           3,506         50        X           28-4580       50
ISHARES TR                S&P MIDCAP 400  464287507    8,377,032     70,490        X           28-5284    64007                6483
                                                       5,215,056     43,883        X       X   28-5284    25436      17344     1103
                                                          33,394        281        X           28-4580      281
                                                           4,754         40        X       X   28-4580       40
ISHARES TR                GLMN SCHS SOFT  464287515      104,153      3,005        X       X   28-1500     3005
ISHARES TR                GLDM SCHS SEMI  464287523        1,729         36        X           28-5284       36
                                                          20,649        430        X       X   28-5284      430
                                                          12,965        270        X           28-4580      270
ISHARES TR                GLDM SCHS NETW  464287531      229,981      8,600        X           28-5284     8600
ISHARES TR                GLDM SACHS TEC  464287549       36,700        896        X           28-5284      896
                                                          48,579      1,186        X       X   28-5284     1186
ISHARES TR                NASDQ BIO INDX  464287556    2,136,711     30,555        X           28-5284    28705                1850
                                                         507,972      7,264        X       X   28-5284     4965        499     1800
                                                          20,979        300        X       X   28-4580      300
ISHARES TR                COHEN&ST RLTY   464287564    7,073,897     59,645        X           28-5284    58085       1127      433
                                                       1,236,168     10,423        X       X   28-5284     6898       3425      100
                                                         124,530      1,050        X           28-4580     1050
                                                          28,701        242        X       X   28-4580      242
0           COLUMN TOTAL                             120,057,969
0
0
0




1                                                               FILE NO. 28-1235
PAGE 92 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ISHARES TR                S&P GLB100INDX  464287572       29,220        518        X           28-5284      518
                                                          11,677        207        X       X   28-5284                          207
ISHARES TR                DJ US CON CYCL  464287580       49,530        913        X           28-5284      913
ISHARES TR                RUSSELL1000VAL  464287598   20,648,114    340,953        X           28-5284   243503               97450
                                                       2,904,518     47,961        X       X   28-5284    42537       5424
                                                         267,251      4,413        X           28-4580     4413
                                                          39,001        644        X       X   28-4580      644
ISHARES TR                S&P MIDCP GROW  464287606    4,850,031     40,390        X           28-5284    37132       1309     1949
                                                       2,127,217     17,715        X       X   28-5284    11875       3471     2369
                                                         155,744      1,297        X           28-4580     1297
                                                         151,301      1,260        X       X   28-4580     1260
ISHARES TR                RUSSELL1000GRW  464287614   15,871,528    351,140        X           28-5284   294640               56500
                                                       1,598,995     35,376        X       X   28-5284    32818       2308      250
                                                          67,032      1,483        X       X   28-4580     1483
ISHARES TR                RUSSELL 1000    464287622   30,947,134    518,725        X           28-5284   518725
                                                       5,361,585     89,869        X       X   28-5284     5248      84621
                                                         110,371      1,850        X           28-4580     1850
ISHARES TR                RUSL 2000 VALU  464287630    9,687,780     56,426        X           28-5284    52706        168     3552
                                                       6,127,616     35,690        X       X   28-5284    10868       6392    18430
                                                         114,517        667        X           28-4580      667
                                                           4,979         29        X       X   28-4580       29
ISHARES TR                RUSL 2000 GROW  464287648    8,696,299    148,401        X           28-5284   140114        461     7826
                                                       1,588,880     27,114        X       X   28-5284    16943       8463     1708
ISHARES TR                RUSSELL 2000    464287655   36,087,262    316,972        X           28-5284   266192       1158    49622
                                                      20,865,062    183,268        X       X   28-5284    84217      41883    57168
                                                          22,770        200        X       X   28-1500      200
                                                         911,939      8,010        X           28-4580     8010
                                                         334,833      2,941        X       X   28-4580     2641        300
ISHARES TR                RUSL 3000 VALU  464287663       23,380        297        X           28-5284      297
ISHARES TR                RUSSELL 3000    464287689      333,380      5,275        X           28-5284     4473                 802
                                                         961,462     15,213        X       X   28-5284    13561       1652
                                                          30,652        485        X           28-4580      485
0           COLUMN TOTAL                             170,981,060
0
0
0




1                                                               FILE NO. 28-1235
PAGE 93 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ISHARES TR                DJ US UTILS     464287697      301,939      4,881        X           28-5284     2331       2550
                                                         657,386     10,627        X       X   28-5284     6828       3799
                                                          16,145        261        X           28-4580      261
ISHARES TR                S&P MIDCP VALU  464287705   20,927,845    181,555        X           28-5284   178903                2652
                                                       2,013,191     17,465        X       X   28-5284    12414       3125     1926
                                                         198,725      1,724        X           28-4580     1724
                                                          11,527        100        X       X   28-4580      100
ISHARES TR                DJ US TELECOMM  464287713      330,456     14,609        X           28-5284    13391       1000      218
                                                         257,597     11,388        X       X   28-5284    10138                1250
                                                           6,107        270        X       X   28-4580      270
ISHARES TR                DJ US TECH SEC  464287721      781,023     18,176        X           28-5284    18176
                                                       1,637,887     38,117        X       X   28-5284     8268       9519    20330
                                                          12,891        300        X       X   28-4580      300
ISHARES TR                DJ US REAL EST  464287739      147,149      1,363        X           28-5284     1363
                                                         422,124      3,910        X       X   28-5284     1256       2654
                                                          64,776        600        X           28-4580      600
                                                          64,776        600        X       X   28-4580      600
ISHARES TR                DJ US INDUSTRL  464287754       47,998        932        X           28-5284      932
ISHARES TR                DJ US HEALTHCR  464287762    1,730,950     31,054        X           28-5284    23499       6875      680
                                                         818,040     14,676        X       X   28-5284    11376       1725     1575
ISHARES TR                DJ US FINL SEC  464287788       52,526        582        X           28-5284      582
                                                          72,651        805        X       X   28-5284      505        300
ISHARES TR                DJ US ENERGY    464287796       91,383      1,464        X           28-5284     1464
                                                          31,460        504        X       X   28-5284      504
ISHARES TR                S&P SMLCAP 600  464287804   12,235,302     84,826        X           28-5284    75847        607     8372
                                                       8,008,061     55,519        X       X   28-5284    38851      15947      721
                                                          97,074        673        X           28-4580      673
                                                          21,636        150        X       X   28-4580       50        100
ISHARES TR                DJ US BAS MATL  464287838      106,090      2,251        X           28-5284     2051        200
                                                          11,783        250        X       X   28-5284      250
ISHARES TR                DJ US TOTL MKT  464287846       26,520        500        X           28-5284      500
0           COLUMN TOTAL                              51,203,018
0
0
0




1                                                               FILE NO. 28-1235
PAGE 94 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
ISHARES TR                S&P EURO PLUS   464287861      106,704      1,600        X           28-5284     1600
                                                          16,673        250        X       X   28-5284      250
                                                         304,773      4,570        X           28-4580     4570
                                                       2,711,615     40,660        X       X   28-4580    14960      25700
ISHARES TR                S&P SMLCP VALU  464287879    2,685,471     24,554        X           28-5284    23133       1168      253
                                                         878,460      8,032        X       X   28-5284     3640       2805     1587
                                                         466,682      4,267        X           28-4580     3927                 340
                                                         308,423      2,820        X       X   28-4580     2820
ISHARES TR                S&P SMLCP GROW  464287887    2,686,714     28,470        X           28-5284    28020        300      150
                                                       1,037,693     10,996        X       X   28-5284     7675       2372      949
                                                         323,312      3,426        X           28-4580     3426
                                                         282,166      2,990        X       X   28-4580     2990
ISIS PHARMACEUTICALS INC  COM             464330109       14,700      3,000        X           28-5284     3000
                                                           9,800      2,000        X       X   28-5284     2000
ITRON INC                 COM             465741106          873         50        X           28-5284       50
IVANHOE ENERGY INC        COM             465790103        2,115      1,000        X       X   28-5284     1000
IVAX CORP                 COM             465823102      441,542     23,057        X           28-5284    22432                 625
                                                          59,844      3,125        X       X   28-5284     1875       1250
IVILLAGE INC              COM             46588H105          348         58        X           28-1500       58
JDS UNIPHASE CORP         COM             46612J101      132,562     39,336        X           28-5284    34236                5100
                                                          56,616     16,800        X       X   28-5284     7370       9430
                                                           6,740      2,000        X       X   28-1500     2000
JLG INDS INC              COM             466210101       33,600      2,000        X       X   28-5284                         2000
                                                         285,600     17,000        X       X   28-1500    17000
JPMORGAN & CHASE & CO     COM             46625H100   78,376,960  1,972,740        X           28-5284  1647352      26717   298671
                                                      57,471,233  1,446,545        X       X   28-5284   828545     482821   135179
                                                       8,617,874    216,911        X           28-1500   194414      22497
                                                         354,511      8,923        X           28-4580     8923
                                                       1,262,262     31,771        X       X   28-4580    30094       1677
J2 GLOBAL COMMUNICATIONS
   INC                    COM NEW         46626E205      191,530      6,063        X           28-1500     6063
0           COLUMN TOTAL                             159,127,396
0
0
0




1                                                               FILE NO. 28-1235
PAGE 95 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
JABIL CIRCUIT INC         COM             466313103       49,450      2,150        X           28-5284     2150
                                                           6,900        300        X       X   28-5284      300
JACOBS ENGR GROUP INC
   DEL                    COM             469814107       50,160      1,310        X           28-5284     1310
                                                           7,658        200        X       X   28-5284      200
JACUZZI BRANDS INC        COM             469865109       33,778      3,632        X       X   28-5284     3520                 112
JAKKS PAC INC             COM             47012E106      146,004      6,348        X           28-1500      287       6061
JANUS CAP GROUP INC       COM             47102X105      164,436     12,082        X           28-5284     7282                4800
JAPAN EQUITY FD INC       COM             471057109       90,450     15,000        X       X   28-5284    15000
JAPAN SMALLER CAPTLZTN
   FD IN                  COM             47109U104       48,851      4,405        X           28-5284     4405
JEFFERSON PILOT CORP      COM             475070108   10,274,505    206,897        X           28-5284   205772                1125
                                                         812,487     16,361        X       X   28-5284    15424        600      337
                                                         124,150      2,500        X       X   28-1500     2500
JETBLUE AWYS CORP         COM             477143101       78,596      3,757        X           28-5284     3757
                                                          18,828        900        X       X   28-5284      450        450
JOHNSON & JOHNSON         COM             478160104  346,563,002  6,152,370        X           28-5284  5570840      78490   503040
                                                     294,827,390  5,233,932        X       X   28-5284  3896198    1040161   297573
                                                       5,489,640     97,455        X           28-1500    62425      35030
                                                       8,750,246    155,339        X           28-4580   154729                 610
                                                      10,847,017    192,562        X       X   28-4580   156390      17232    18940
JOHNSON CTLS INC          COM             478366107   18,972,324    333,961        X           28-5284   327241       2680     4040
                                                       6,898,041    121,423        X       X   28-5284    66115      51418     3890
                                                          30,109        530        X           28-4580      530
                                                          41,812        736        X       X   28-4580      736
JOHNSON OUTDOORS INC      CL A            479167108      478,270     24,489        X           28-1500    24489
JONES APPAREL GROUP INC   COM             480074103      100,240      2,800        X           28-5284      900        900     1000
                                                           8,950        250        X       X   28-1500      250
JOY GLOBAL INC            COM             481165108        5,157        150        X       X   28-5284      150
0           COLUMN TOTAL                             704,918,451
0
0
0




1                                                               FILE NO. 28-1235
PAGE 96 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
JUNIPER NETWORKS INC      COM             48203R104      710,974     30,126        X           28-5284    30126
                                                          80,004      3,390        X       X   28-5284     3190                 200
                                                          31,506      1,335        X       X   28-1500     1335
KCS ENERGY INC            COM             482434206        3,478        250        X       X   28-5284      250
K FED BANCORP             COM             48246S101        3,688        250        X       X   28-5284      250
KLA-TENCOR CORP           COM             482480100      385,515      9,294        X           28-5284     9294
                                                          15,555        375        X       X   28-5284      375
KT CORP                   SPONSORED ADR   48268K101        1,355         75        X           28-5284       75
K-SWISS INC               CL A            482686102       11,550        600        X       X   28-1500      600
KANEB PIPE LINE PARTNERS
   L P                    SR PREF UNIT    484169107      253,673      4,900        X           28-5284     3400                1500
KANEB SERVICES LLC        COM             484173109       51,777      1,604        X           28-5284      604                1000
KANSAS CITY SOUTHERN      COM NEW         485170302       29,278      1,930        X           28-5284     1930
                                                         166,870     11,000        X       X   28-5284    11000
KAYDON CORP               COM             486587108       57,540      2,000        X           28-5284     2000
KB HOME                   COM             48666K109       33,796        400        X       X   28-5284                 400
KEANE INC                 COM             486665102      251,351     16,364        X           28-5284    16364
KEITHLEY INSTRS INC       COM             487584104        8,725        500        X           28-5284      500
                                                           5,235        300        X       X   28-5284      300
KELLOGG CO                COM             487836108    3,147,839     73,789        X           28-5284    49798               23991
                                                       1,506,623     35,317        X       X   28-5284    15267      18800     1250
                                                          12,798        300        X       X   28-1500      300
                                                          68,256      1,600        X           28-4580     1600
                                                          85,320      2,000        X       X   28-4580      800                1200
KELLWOOD CO               COM             488044108       36,450      1,000        X           28-4580     1000
KELLY SVCS INC            CL A            488152208        6,678        250        X           28-5284      250
KEMET CORP                COM             488360108       34,383      4,250        X           28-5284     4250
0           COLUMN TOTAL                               7,000,217
0
0
0




1                                                               FILE NO. 28-1235
PAGE 97 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
KENNAMETAL INC            COM             489170100       64,113      1,420        X           28-5284     1420
                                                         611,331     13,540        X       X   28-5284    13540
KERR MCGEE CORP           COM             492386107    2,509,554     43,835        X           28-5284     6535      25000    12300
                                                       2,266,757     39,594        X       X   28-5284    32372       7222
KEWAUNEE SCIENTIFIC
   CORP                   COM             492854104      102,703     11,488        X           28-1500    11488
KEYCORP NEW               COM             493267108      992,809     31,418        X           28-5284    29808        600     1010
                                                         947,210     29,975        X       X   28-5284    17014      10961     2000
                                                      11,445,710    362,206        X           28-1500   362206
KEYSPAN CORP              COM             49337W100      343,000      8,750        X           28-5284     8750
                                                         403,329     10,289        X       X   28-5284     5816       3593      880
                                                          20,698        528        X           28-4580      528
KEYSTONE AUTOMOTIVE INDS
   INC                    COM             49338N109      110,000      5,000        X           28-5284     5000
KIMBALL INTL INC          CL B            494274103       69,400      5,000        X           28-5284     1000                4000
                                                           4,025        290        X           28-1500      290
KIMBERLY CLARK CORP       COM             494368103   57,109,703    884,188        X           28-5284   849779       2275    32134
                                                      35,226,998    545,394        X       X   28-5284   440268      82452    22674
                                                         248,349      3,845        X           28-1500       80       3765
                                                         504,835      7,816        X           28-4580     7816
                                                         590,740      9,146        X       X   28-4580     9146
KIMCO REALTY CORP         COM             49446R109      197,505      3,850        X           28-5284     1550                2300
                                                         161,595      3,150        X       X   28-5284     3150
KINDER MORGAN INC KANS    COM             49455P101   25,644,820    408,227        X           28-5284   383413       5191    19623
                                                       8,571,475    136,445        X       X   28-5284    86434      45286     4725
                                                         452,995      7,211        X           28-4580     6808                 403
                                                          94,167      1,499        X       X   28-4580     1149        350
KINDER MORGAN MANAGEMENT
   LLC                    SHS             49455U100      103,177      2,485        X           28-5284     2485
KINDER MORGAN ENERGY
   PARTNER                UT LTD PARTNER  494550106    1,689,612     36,072        X           28-5284    34072                2000
                                                       2,863,610     61,136        X       X   28-5284     2036      58900      200
                                                         214,293      4,575        X       X   28-1500     4575
KINDRED HEALTHCARE INC    COM             494580103           98          4        X       X   28-5284        4
0           COLUMN TOTAL                             153,564,611
0
0
0




1                                                               FILE NO. 28-1235
PAGE 98 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
KING PHARMACEUTICALS INC  COM             495582108       28,537      2,390        X           28-5284     2054                 336
                                                           2,985        250        X       X   28-5284      250
                                                           6,030        505        X       X   28-1500      505
KINROSS GOLD CORP         COM NEW         496902206          115         17        X       X   28-5284       17
KMART HLDG CORPORATION    COM             498780105        9,709        111        X           28-5284      111
                                                          15,045        172        X           28-1500      172
                                                          87,470      1,000        X       X   28-1500     1000
KNAPE & VOGT MFG CO       COM             498782101       41,025      3,073        X           28-1500     3073
KNIGHT RIDDER INC         COM             499040103      493,886      7,546        X           28-5284     7546
                                                         672,761     10,279        X       X   28-5284     6312       3967
KNIGHT TRADING GROUP INC  COM             499063105       18,460      2,000        X           28-5284     2000
KNIGHT TRANSN INC         COM             499064103          236         11        X           28-1500       11
KOHLS CORP                COM             500255104   11,891,364    246,760        X           28-5284   243315        850     2595
                                                       3,479,318     72,200        X       X   28-5284    51105      20225      870
                                                         105,343      2,186        X           28-1500                2186
                                                          16,385        340        X           28-4580      340
                                                           7,229        150        X       X   28-4580                 150
KONINKLIJKE AHOLD N V     SPON ADR NEW    500467303        2,268        355        X           28-5284      355
KONINKLIJKE PHILIPS
   ELECTRS                NY REG SH NEW   500472303       88,570      3,866        X           28-5284     3866
                                                          63,529      2,773        X       X   28-5284     2773
KOPIN CORP                COM             500600101       12,210      3,000        X       X   28-5284                3000
KOREA ELECTRIC PWR        SPONSORED ADR   500631106        1,846        175        X           28-5284      175
                                                          42,200      4,000        X       X   28-5284     4000
KOREA FD                  COM             500634100        4,128        200        X           28-5284      200
KORN FERRY INTL           COM NEW         500643200      161,664      8,868        X           28-5284     8868
KOS PHARMACEUTICALS INC   COM             500648100       42,732      1,200        X           28-5284     1200
0           COLUMN TOTAL                              17,295,045
0
0
0




1                                                               FILE NO. 28-1235
PAGE 99 OF 190                                                    AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
KRAFT FOODS INC           CL A            50075N104    1,210,689     38,168        X           28-5284    34568       2400     1200
                                                         910,047     28,690        X       X   28-5284    21780       6310      600
                                                          13,227        417        X           28-1500                 417
                                                           9,516        300        X       X   28-4580      300
KRAMONT RLTY TR           COM SH BEN INT  50075Q107       22,320      1,200        X           28-5284     1200
                                                          42,780      2,300        X       X   28-5284     2000        300
KRISPY KREME DOUGHNUTS
   INC                    COM             501014104       25,067      1,980        X           28-5284     1580                 400
                                                         273,583     21,610        X       X   28-5284    21110        300      200
                                                           2,279        180        X                        180
KROGER CO                 COM             501044101    3,860,057    248,715        X           28-5284   241640       6725      350
                                                         832,741     53,656        X       X   28-5284    37246      15240     1170
                                                          66,736      4,300        X       X   28-1500     4300
                                                           6,984        450        X           28-4580      450
                                                           6,208        400        X       X   28-4580                 400
KRONOS WORLDWIDE INC      COM             50105F105        1,985         50        X           28-5284       50
KRONOS INC                COM             501052104        3,189         72        X       X   28-5284       72
KUBOTA CORP               ADR             501173207        1,544         65        X           28-5284       65
KULICKE & SOFFA INDS INC  COM             501242101        2,825        500        X       X   28-5284      500
KYOCERA CORP              ADR             501556203       14,080        200        X           28-5284                          200
KYPHON INC                COM             501577100        4,956        200        X       X   28-5284      200
LCA-VISION INC            COM PAR $.001   501803308       30,484      1,182        X           28-1500     1182
LNR PPTY CORP             COM             501940100       18,573        300        X       X   28-5284      300
LL & E RTY TR             UNIT BEN INT    502003106       16,004      2,573        X           28-5284     2573
                                                          28,083      4,515        X       X   28-5284     1350       3080       85
LSI INDS INC              COM             50216C108       10,440      1,000        X           28-5284     1000
LSI LOGIC CORP            COM             502161102       39,156      9,085        X           28-5284     8785                 300
                                                          55,168     12,800        X       X   28-5284     6800        500     5500
LTC PPTYS INC             COM             502175102      542,067     30,300        X           28-5284    30300
0           COLUMN TOTAL                               8,050,788
0
0
0




1                                                               FILE NO. 28-1235
PAGE 100 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
L-3 COMMUNICATIONS HLDGS
   INC                    COM             502424104    1,010,025     15,075        X           28-5284    15075
                                                         477,040      7,120        X       X   28-5284     6540                 580
                                                          10,184        152        X           28-1500      152
                                                          41,540        620        X       X   28-1500      620
LA QUINTA CORP            PAIRED CTF      50419U202        3,120        400        X           28-5284      400
LABORATORY CORP AMER
   HLDGS                  COM NEW         50540R409       80,882      1,850        X           28-5284     1850
                                                         148,648      3,400        X       X   28-5284     3000        400
                                                           6,558        150        X       X   28-1500      150
LABOR READY INC           COM NEW         505401208        6,309        450        X           28-5284      450
LACLEDE GROUP INC         COM             505597104       64,306      2,200        X           28-5284     2000        200
                                                             877         30        X       X   28-5284       30
LAFARGE COPPEE S A        SPON ADR NEW    505861401        2,620        120        X           28-5284      120
                                                           1,637         75        X       X   28-5284       75
LAFARGE NORTH AMERICA
   INC                    COM             505862102        4,970        106        X           28-5284      106
LAKELAND BANCORP INC      COM             511637100      256,020     15,573        X           28-5284    15573
LAM RESEARCH CORP         COM             512807108       82,203      3,757        X           28-5284     3757
                                                         164,100      7,500        X       X   28-5284     7500
LANCASTER COLONY CORP     COM             513847103      111,737      2,650        X           28-5284     2650
LANCE INC                 COM             514606102       16,150      1,000        X           28-5284     1000
                                                           3,230        200        X       X   28-5284      200
                                                           1,357         84        X           28-1500       84
LANDAUER INC              COM             51476K103      163,223      3,478        X           28-5284     1466                2012
                                                          83,207      1,773        X       X   28-5284     1773
                                                         107,939      2,300        X       X   28-1500     2300
LANDAMERICA FINL GROUP
   INC                    COM             514936103        8,509        187        X       X   28-5284       75        112
LANDRYS RESTAURANTS INC   COM             51508L103        6,413        235        X           28-5284      235
LANDSTAR SYS INC          COM             515098101      645,480     11,000        X       X   28-5284    11000
LANNET INC                COM             516012101      153,648     15,840        X       X   28-5284    15840
0           COLUMN TOTAL                               3,661,932
0
0
0




1                                                               FILE NO. 28-1235
PAGE 101 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
LARGE SCALE BIOLOGY CORP  COM             517053104          959      1,000        X       X   28-5284     1000
LATIN AMER EQUITY FD INC
   NEW                    COM             51827Q106        6,225        363        X           28-5284      363
LAUDER ESTEE COS INC      CL A            518439104    1,955,362     46,779        X           28-5284    33629               13150
                                                         511,841     12,245        X       X   28-5284    12245
                                                          14,714        352        X           28-1500      352
                                                         210,212      5,029        X       X   28-1500     5029
LAYNE CHRISTENSEN CO      COM             521050104        1,507        100        X           28-5284      100
                                                           1,507        100        X       X   28-5284      100
LEAPFROG ENTERPRISES INC  CL A            52186N106       16,200        800        X           28-5284      800
                                                           8,100        400        X       X   28-5284      400
LEAR CORP                 COM             521865105      135,254      2,484        X           28-5284     2364        120
                                                          31,581        580        X       X   28-5284                          580
                                                           9,583        176        X       X   28-1500      176
LEE ENTERPRISES INC       COM             523768109       48,194      1,040        X           28-5284     1040
LEESPORT FINANCIAL CORP   COM             524477106      572,031     25,401        X           28-5284    25401
                                                         486,432     21,600        X           28-1500    21600
LEGGETT & PLATT INC       COM             524660107       73,903      2,630        X           28-5284     1030                1600
                                                          17,647        628        X       X   28-5284      628
LEGG MASON INC            COM             524901105   27,056,845    507,919        X           28-5284   488739       1405    17775
                                                       4,650,524     87,301        X       X   28-5284    55205      29411     2685
                                                         636,310     11,945        X           28-4580    11404                 541
                                                         107,818      2,024        X       X   28-4580     1928                  96
LEHMAN BROS HLDGS INC     COM             524908100   14,937,455    187,374        X           28-5284   166489       6275    14610
                                                       6,862,457     86,082        X       X   28-5284    62649      20146     3287
                                                          48,151        604        X           28-4580      604
                                                         115,355      1,447        X       X   28-4580     1267        180
LENNAR CORP               CL A            526057104      690,676     14,510        X           28-5284    14510
                                                         446,964      9,390        X       X   28-5284     9390
LENNAR CORP               CL B            526057302        2,190         50        X           28-5284       50
                                                           7,008        160        X       X   28-5284      160
0           COLUMN TOTAL                              59,663,005
0
0
0




1                                                               FILE NO. 28-1235
PAGE 102 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
LEUCADIA NATL CORP        COM             527288104      305,570      5,394        X           28-5284     5394
                                                           6,798        120        X       X   28-5284      120
LEVEL 3 COMMUNICATIONS
   INC                    COM             52729N100       49,210     19,000        X           28-5284    19000
                                                          12,950      5,000        X       X   28-5284     5000
                                                           1,295        500        X       X   28-4580      500
LEVITT CORP               CL A            52742P108        5,865        250        X           28-5284      250
LEXINGTON CORP PPTYS TR   COM             529043101        5,210        240        X           28-5284      240
                                                          75,486      3,477        X       X   28-5284     3477
LEXMARK INTL NEW          CL A            529771107      266,144      3,168        X           28-5284     3168
                                                         297,815      3,545        X       X   28-5284     1245       2300
                                                           8,401        100        X       X   28-1500      100
LIBERTY ALL-STAR GROWTH
   FD I                   COM             529900102       18,641      3,041        X           28-5284     3041
LIBERTY ALL STAR EQUITY
   FD                     SH BEN INT      530158104        9,389      1,073        X           28-5284     1073
                                                          20,230      2,312        X       X   28-5284     1860        452
                                                             219         25        X           28-1500                  25
LIBERTY CORP S C          COM             530370105      109,881      2,765        X           28-5284     2765
LIBERTY MEDIA CORP NEW    COM SER A       530718105   13,780,251  1,580,304        X           28-5284  1580304
                                                         551,252     63,217        X       X   28-5284    42496       1833    18888
                                                         400,579     45,938        X       X   28-1500    45938
LIBERTY MEDIA CORP NEW    COM SER B       530718204       49,288      5,340        X           28-5284     5340
LIBERTY MEDIA INTL INC    COM SER A       530719103    3,740,114    112,107        X           28-5284   112107
                                                         154,700      4,637        X       X   28-5284     1876                2761
                                                          73,797      2,212        X       X   28-1500     2212
LIBERTY MEDIA INTL INC    COM SER B       530719202       10,557        291        X           28-5284      291
LIBERTY PPTY TR           SH BEN INT      531172104       78,804      1,978        X           28-5284     1978
                                                       1,671,288     41,950        X       X   28-5284     2200      39750
LIFEPOINT INC             COM             53215R100        7,500     25,000        X           28-5284    25000
LIFEPOINT HOSPITALS INC   COM             53219L109       32,441      1,081        X           28-5284     1050                  31
                                                         420,200     14,002        X       X   28-5284    14002
0           COLUMN TOTAL                              22,163,875
0
0
0




1                                                               FILE NO. 28-1235
PAGE 103 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
LIFELINE SYS INC          COM             532192101      114,286      4,680        X           28-5284     4680
LIGAND PHARMACEUTICALS
   INC                    CL B            53220K207       40,080      4,000        X           28-5284     4000
                                                          20,040      2,000        X       X   28-5284     2000
LILLY ELI & CO            COM             532457108   23,157,982    385,645        X           28-5284   342018       9222    34405
                                                      29,742,104    495,289        X       X   28-5284   363330     101875    30084
                                                         106,409      1,772        X           28-1500                1772
                                                         234,195      3,900        X           28-4580     3900
                                                         962,962     16,036        X       X   28-4580    15836        200
LIMITED BRANDS INC        COM             532716107      125,091      5,612        X           28-5284     4288       1324
                                                           6,932        311        X       X   28-5284      311
                                                           9,763        438        X           28-4580      438
LINCARE HLDGS INC         COM             532791100       79,326      2,670        X           28-5284     2670
                                                           2,971        100        X       X   28-5284      100
LINCOLN NATL CORP IND     COM             534187109      402,179      8,557        X           28-5284     7757                 800
                                                         559,535     11,905        X       X   28-5284    10505       1400
                                                           9,400        200        X       X   28-1500      200
LINEAR TECHNOLOGY CORP    COM             535678106    1,818,777     50,187        X           28-5284    48498                1689
                                                         245,961      6,787        X       X   28-5284     6187                 600
                                                           1,305         36        X       X   28-1500       36
LINENS N THINGS INC       COM             535679104          533         23        X           28-5284       23
LITTELFUSE INC            COM             537008104      186,462      5,400        X       X   28-5284                5400
LIZ CLAIBORNE INC         COM             539320101    9,119,149    241,759        X           28-5284   214116       1245    26398
                                                       6,441,633    170,775        X       X   28-5284    94430      36140    40205
                                                         276,261      7,324        X           28-4580     7324
                                                          97,582      2,587        X       X   28-4580     2177        410
LLOYDS TSB GROUP PLC      SPONSORED ADR   539439109       50,651      1,609        X       X   28-5284      109       1000      500
LOCKHEED MARTIN CORP      COM             539830109    1,695,043     30,388        X           28-5284    30138                 250
                                                       6,246,412    111,983        X       X   28-5284    79021       6762    26200
LODGIAN INC               COM PAR $.01    54021P403      165,102     16,677        X           28-5284    16677
LODGENET ENTMT CORP       COM             540211109        5,280        400        X           28-5284      400
0           COLUMN TOTAL                              81,923,406
0
0
0




1                                                               FILE NO. 28-1235
PAGE 104 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
LOEWS CORP                COM             540424108      410,319      7,014        X           28-5284     7014
                                                          20,475        350        X       X   28-5284      350
                                                          23,400        400        X       X   28-4580                 400
LONGS DRUG STORES CORP    COM             543162101        9,680        400        X           28-5284      400
LOUISIANA PAC CORP        COM             546347105      477,143     18,387        X       X   28-5284    18387
LOWES COS INC             COM             548661107   38,888,295    715,516        X           28-5284   673022      13116    29378
                                                      23,773,614    437,417        X       X   28-5284   226109      95638   115670
                                                         268,109      4,933        X       X   28-1500     4933
                                                         301,643      5,550        X           28-4580     5550
                                                         504,096      9,275        X       X   28-4580     8100       1175
LOWRANCE ELECTRS INC      COM             548900109      122,600      5,000        X           28-5284                         5000
LUBRIZOL CORP             COM             549271104      245,660      7,100        X           28-5284     7100
                                                         378,697     10,945        X       X   28-5284     4445       3200     3300
                                                          19,203        555        X       X   28-1500      555
LUCENT TECHNOLOGIES INC   COM             549463107      522,074    164,692        X           28-5284   157282          6     7404
                                                         992,479    313,085        X       X   28-5284   224431      54154    34500
                                                          71,426     22,532        X           28-1500               22532
                                                          27,395      8,642        X           28-4580     7938                 704
                                                          14,506      4,576        X       X   28-4580     4576
LUFKIN INDS INC           COM             549764108      223,320      6,000        X       X   28-5284     6000
LYNX THERAPEUTICS INC     COM PAR $0.01   551812407           12          5        X           28-5284        5
LYONDELL CHEMICAL CO      COM             552078107      229,317     10,210        X           28-5284    10210
                                                         648,555     28,876        X       X   28-5284     2476               26400
M & F WORLDWIDE CORP      COM             552541104          182         14        X           28-5284       14
M & T BK CORP             COM             55261F104   25,419,068    265,612        X           28-5284   252553       2190    10869
                                                       9,941,890    103,886        X       X   28-5284    61406      39350     3130
                                                         394,763      4,125        X           28-4580     3987                 138
                                                         118,764      1,241        X       X   28-4580     1041        160       40
0           COLUMN TOTAL                             104,046,685
0
0
0




1                                                               FILE NO. 28-1235
PAGE 105 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
MBIA INC                  COM             55262C100   17,987,239    309,006        X           28-5284   265087       4600    39319
                                                       5,535,829     95,101        X       X   28-5284    64842      28204     2055
                                                           5,821        100        X           28-1500      100
                                                          72,122      1,239        X       X   28-1500     1239
                                                          22,120        380        X           28-4580      380
                                                          12,224        210        X       X   28-4580      110        100
MBNA CORP                 COM             55262L100   83,299,734  3,305,545        X           28-5284  3088688      38079   178778
                                                      31,780,804  1,261,143        X       X   28-5284   650850     382075   228218
                                                          26,737      1,061        X       X   28-1500     1061
                                                       3,287,718    130,465        X           28-4580   129940                 525
                                                         847,148     33,617        X       X   28-4580    30702       2575      340
M D C HLDGS INC           COM             552676108      446,276      6,105        X       X   28-5284     6105
MDU RES GROUP INC         COM             552690109      301,900     11,466        X           28-5284    11466
                                                         185,021      7,027        X       X   28-5284     6522                 505
MCI INC                   COM             552691107      159,058      9,496        X           28-5284     9496
                                                          51,238      3,059        X       X   28-5284     2839        220
MEMC ELECTR MATLS INC     COM             552715104       25,440      3,000        X       X   28-5284                         3000
MFA MTG INVTS INC         COM             55272X102        4,605        500        X       X   28-5284                 500
MFS CHARTER INCOME TR     SH BEN INT      552727109       21,425      2,443        X           28-5284     2443
                                                          52,620      6,000        X       X   28-5284     2700       3300
MFS INTER INCOME TR       SH BEN INT      55273C107      170,685     25,940        X           28-5284     6940               19000
                                                          15,134      2,300        X       X   28-5284                2300
                                                           6,580      1,000        X       X   28-4580     1000
MFS MULTIMARKET INCOME
   TR                     SH BEN INT      552737108        6,250      1,000        X           28-5284     1000
MFS MUN INCOME TR         SH BEN INT      552738106        3,815        500        X           28-5284      500
                                                          45,780      6,000        X       X   28-5284     6000
MGE ENERGY INC            COM             55277P104       22,147        696        X           28-5284      696
MGIC INVT CORP WIS        COM             552848103       16,638        250        X           28-5284      250
                                                         459,195      6,900        X       X   28-5284                         6900
MFS GOVT MKTS INCOME TR   SH BEN INT      552939100       14,652      2,200        X       X   28-5284                2200
0           COLUMN TOTAL                             144,885,955
0
0
0




1                                                               FILE NO. 28-1235
PAGE 106 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                   
MGM MIRAGE                COM             552953101       34,755        700        X           28-5284      700
                                                           1,837         37        X       X   28-4580        4                  33
M/I HOMES INC             COM             55305B101        4,074         96        X           28-5284       96
                                                          42,440      1,000        X       X   28-5284     1000
MMO2 PLC                  ADR             55309W101          373         21        X           28-5284       21
                                                           1,775        100        X       X   28-5284      100
MPS GROUP INC             COM             553409103          841        100        X           28-5284      100
MSC INDL DIRECT INC       CL A            553530106       18,744        550        X           28-5284      550
MTR GAMING GROUP INC      COM             553769100          932        100        X       X   28-5284      100
MVC CAPITAL INC           COM             553829102        4,685        500        X           28-5284      500
MACDERMID INC             COM             554273102       28,960      1,000        X           28-5284     1000
MACK CALI RLTY CORP       COM             554489104       22,150        500        X           28-5284      500
                                                         412,876      9,320        X       X   28-5284     6820       2500
MACROCHEM CORP DEL        COM             555903103        9,300     10,000        X           28-5284    10000
                                                           5,580      6,000        X       X   28-5284     6000
MACROVISION CORP          COM             555904101       26,488      1,100        X           28-5284     1100
MACQUARIE FT TR GB INF
   UT DI                  COM             55607W100       22,218      1,150        X           28-5284     1150
MACROMEDIA INC            COM             556100105       39,558      1,970        X           28-5284     1970
                                                           9,136        455        X       X   28-5284      455
MADDEN STEVEN LTD         COM             556269108        8,825        500        X           28-5284      500
MAGELLAN MIDSTREAM
   PRTNRS LP              COM UNIT RP LP  559080106       43,984        800        X           28-5284      300        500
                                                         230,916      4,200        X       X   28-5284     2000       2200
MAGNA ENTMT CORP          CL A            559211107        4,633        850        X       X   28-5284      850
MAGNA INTL INC            CL A            559222401        7,408        100        X       X   28-5284      100
MAGNETEK INC              COM             559424106       77,688     10,400        X           28-5284    10400
0           COLUMN TOTAL                               1,060,176
0
0
0




1                                                               FILE NO. 28-1235
PAGE 107 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
MAGNUM HUNTER RES INC     *W EXP 03/21/2  55972F138          164        401        X           28-5284      400                   1
MAINSOURCE FINANCIAL GP
   INC                    COM             56062Y102      231,548     11,295        X           28-5284    11295
                                                       1,116,881     54,482        X           28-1500    54482
MANAGED HIGH INCOME
   PORTFOLI               COM             56166C105       13,520      2,000        X           28-5284     2000
MANAGED MUNS PORTFOLIO
   INC                    COM             561662107       14,144      1,300        X           28-5284     1300
                                                          50,657      4,656        X       X   28-5284     4656
MANDALAY RESORT GROUP     COM             562567107      113,959      1,660        X           28-5284     1660
                                                           6,865        100        X       X   28-1500      100
                                                           2,060         30        X       X   28-4580        3                  27
MANHATTAN ASSOCS INC      COM             562750109       46,154      1,890        X           28-5284     1890
                                                         158,730      6,500        X       X   28-1500     6500
MANITOWOC INC             COM             563571108      120,990      3,412        X           28-5284     3412
                                                           7,092        200        X       X   28-5284      200
MANOR CARE INC NEW        COM             564055101          419         14        X           28-5284       14
                                                          22,470        750        X       X   28-4580      750
MANPOWER INC              COM             56418H100       70,383      1,582        X           28-5284      982                 600
MANULIFE FINL CORP        COM             56501R106    5,265,003    120,233        X           28-5284    83308               36925
                                                       2,508,729     57,290        X       X   28-5284    50628       4522     2140
MARATHON OIL CORP         COM             565849106      687,890     16,664        X           28-5284    14998        600     1066
                                                         411,851      9,977        X       X   28-5284     4498       5479
                                                           6,440        156        X           28-4580      156
                                                           6,233        151        X       X   28-4580      151
MARINEMAX INC             COM             567908108       22,520      1,000        X           28-5284     1000
MARINE PRODS CORP         COM             568427108        5,400        300        X           28-5284      300
                                                          14,400        800        X       X   28-5284      800
MARITRANS INC             COM             570363101       15,440      1,000        X       X   28-5284     1000
MARKET 2000+ HOLDRS TR    DEPOSITARY RCT  57059Y204        5,200        100        X           28-5284      100
MARKETWATCH INC           COM             570619106          625         50        X           28-5284       50
0           COLUMN TOTAL                              10,925,767
0
0
0




1                                                               FILE NO. 28-1235
PAGE 108 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
MARSH & MCLENNAN COS INC  COM             571748102   14,630,113    319,714        X           28-5284   312184       5980     1550
                                                       5,835,498    127,524        X       X   28-5284    72936      51353     3235
                                                         117,786      2,574        X       X   28-1500     2574
                                                         442,042      9,660        X           28-4580     9660
                                                         769,043     16,806        X       X   28-4580    16806
MARSHALL & ILSLEY CORP    COM             571834100       40,018        993        X           28-5284      993
                                                           4,030        100        X       X   28-5284      100
                                                           9,712        241        X           28-4580      241
MARRIOTT INTL INC NEW     CL A            571903202   40,331,716    776,207        X           28-5284   742054       3215    30938
                                                      11,899,515    229,013        X       X   28-5284   157897      64176     6940
                                                       1,338,905     25,768        X           28-4580    25497                 271
                                                         129,328      2,489        X       X   28-4580     1957        420      112
MARTEK BIOSCIENCES CORP   COM             572901106          486         10        X           28-5284       10
MARTHA STEWART LIVING
   OMNIME                 CL A            573083102       27,475      1,750        X           28-5284     1550                 200
                                                           4,710        300        X       X   28-5284      250         50
MARTIN MARIETTA MATLS
   INC                    COM             573284106       23,676        523        X           28-5284      523
                                                           1,675         37        X       X   28-5284       37
MASCO CORP                COM             574599106    1,760,892     50,996        X           28-5284    50996
                                                       2,570,931     74,455        X       X   28-5284    32525      33930     8000
                                                           7,597        220        X           28-1500      220
                                                          95,303      2,760        X       X   28-1500     2760
MASSEY ENERGY CORP        COM             576206106        3,124        108        X           28-5284      108
                                                          29,914      1,034        X       X   28-5284     1034
MASSMUTUAL CORPORATE
   INVS IN                COM             576292106       10,472        400        X           28-5284      400
                                                           3,927        150        X       X   28-5284      150
MASSMUTUAL PARTN INVS     SH BEN INT      576299101       51,349      4,315        X           28-5284     4315
MATRITECH INC             COM             576818108        1,463      1,250        X           28-5284     1250
MATRIXX INITIATIVES INC   COM             57685L105      119,600     11,500        X           28-5284    11500
MATSUSHITA ELEC INDL      ADR             576879209       15,299      1,140        X           28-5284     1140
                                                          24,827      1,850        X       X   28-5284     1850
0           COLUMN TOTAL                              80,300,426
0
0
0




1                                                               FILE NO. 28-1235
PAGE 109 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
MATTEL INC                COM             577081102   11,462,928    632,263        X           28-5284   547263        525    84475
                                                         554,977     30,611        X       X   28-5284     5532       9179    15900
                                                       2,438,811    134,518        X           28-1500   127738       6780
MATTHEWS INTL CORP        CL A            577128101       27,104        800        X           28-5284      300                 500
                                                       1,064,510     31,420        X       X   28-5284    26320                5100
MAXIM INTEGRATED PRODS
   INC                    COM             57772K101       79,167      1,872        X           28-5284     1872
                                                          76,122      1,800        X       X   28-5284     1300        500
                                                          54,173      1,281        X       X   28-1500     1281
MAXIM PHARMACEUTICALS
   INC                    COM             57772M107        2,670      1,000        X       X   28-1500     1000
MAXTOR CORP               COM NEW         577729205        6,474      1,245        X           28-5284     1245
                                                           1,820        350        X       X   28-5284      350
MAY DEPT STORES CO        COM             577778103    4,484,840    174,984        X           28-5284   158497       3100    13387
                                                       3,717,478    145,044        X       X   28-5284   110083      30321     4640
                                                           1,820         71        X           28-1500       71
                                                          11,534        450        X       X   28-1500      450
                                                          22,503        878        X           28-4580      878
MAX & ERMAS RESTAURANTS
   INC                    COM             577903107        1,553        107        X           28-5284      107
MAVERICK TUBE CORP        COM             577914104       92,430      3,000        X       X   28-5284     3000
MAYTAG CORP               COM             578592107       12,069        657        X           28-5284      257                 400
                                                         153,390      8,350        X       X   28-5284     2550       5800
                                                           7,348        400        X       X   28-4580      400
MBT FINL CORP             COM             578877102        9,815        500        X           28-5284      500
MCAFEE INC                COM             579064106       90,993      4,527        X           28-5284     4527
                                                         271,350     13,500        X       X   28-5284    13500
MCCLATCHY CO              CL A            579489105      135,639      1,915        X           28-5284     1915
MCCORMICK & CO INC        COM NON VTG     579780206   19,643,922    572,042        X           28-5284   538588      13395    20059
                                                      11,755,028    342,313        X       X   28-5284   217374     108709    16230
                                                          32,966        960        X       X   28-1500      960
                                                         268,298      7,813        X           28-4580     7663                 150
                                                         170,395      4,962        X       X   28-4580     4662        300
0           COLUMN TOTAL                              56,652,127
0
0
0




1                                                               FILE NO. 28-1235
PAGE 110 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
MCDATA CORP               CL A            580031201        2,621        521        X           28-5284      521
                                                             936        186        X       X   28-5284      128         58
                                                             226         45        X       X   28-4580       45
MCDERMOTT INTL INC        COM             580037109       18,880      1,600        X       X   28-5284     1600
MCDONALDS CORP            COM             580135101   19,228,412    685,994        X           28-5284   643036       1200    41758
                                                      13,488,176    481,205        X       X   28-5284   285635     131975    63595
                                                           5,326        190        X           28-1500      190
                                                           5,606        200        X       X   28-1500      200
                                                          35,150      1,254        X           28-4580     1254
                                                          27,666        987        X       X   28-4580      612        375
MCGRAW HILL COS INC       COM             580645109   32,279,231    405,060        X           28-5284   384533       9235    11292
                                                      28,543,683    358,184        X       X   28-5284   161718     180296    16170
                                                         239,070      3,000        X       X   28-1500     3000
                                                         931,975     11,695        X           28-4580    11695
                                                          78,574        986        X       X   28-4580      986
MCKESSON CORP             COM             58155Q103      880,180     34,315        X           28-5284    34315
                                                          80,285      3,130        X       X   28-5284     1630        300     1200
                                                          88,698      3,458        X       X   28-1500     3458
MCMORAN EXPLORATION CO    COM             582411104        3,023        232        X       X   28-5284       82         74       76
MEADWESTVACO CORP         COM             583334107      550,658     17,262        X           28-5284    17262
                                                         923,122     28,938        X       X   28-5284    23238                5700
MEASUREMENT SPECIALTIES
   INC                    COM             583421102       12,425        500        X           28-5284      500
MEDAREX INC               COM             583916101        2,937        398        X           28-5284      398
                                                          15,616      2,116        X       X   28-5284      616                1500
MEDCO HEALTH SOLUTIONS
   INC                    COM             58405U102    6,139,058    198,675        X           28-5284   173806       4240    20629
                                                      11,510,003    372,492        X       X   28-5284   274943      83782    13767
                                                          40,417      1,308        X           28-1500      964        344
                                                          79,042      2,558        X           28-4580     2558
                                                         321,051     10,390        X       X   28-4580     5784         24     4582
MEDIA GEN INC             CL A            584404107      186,873      3,340        X           28-5284     3340
                                                         446,537      7,981        X       X   28-5284     7300                 681
0           COLUMN TOTAL                             116,165,457
0
0
0




1                                                               FILE NO. 28-1235
PAGE 111 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
MEDICIS PHARMACEUTICAL
   CORP                   CL A NEW        584690309      553,704     14,183        X           28-5284    14183
                                                          23,424        600        X       X   28-5284                          600
MEDIMMUNE INC             COM             584699102      116,225      4,904        X           28-5284     4580                 324
                                                           4,385        185        X       X   28-5284       85        100
                                                           7,110        300        X       X   28-1500      300
MEDIS TECHNOLOGIES LTD    COM             58500P107      149,694     13,318        X           28-5284    13318
MEDTRONIC INC             COM             585055106   78,244,440  1,507,600        X           28-5284  1395029      23125    89446
                                                      54,707,167  1,054,088        X       X   28-5284   728547     254097    71444
                                                         137,898      2,657        X           28-1500                2657
                                                         675,634     13,018        X           28-4580    13018
                                                         795,212     15,322        X       X   28-4580    13607       1541      174
MELLON FINL CORP          COM             58551A108    8,603,837    310,720        X           28-5284   285370      24000     1350
                                                       4,252,104    153,561        X       X   28-5284   102776      40135    10650
                                                         408,428     14,750        X           28-4580    14750
                                                           9,692        350        X       X   28-4580      350
MENS WEARHOUSE INC        COM             587118100        6,536        225        X           28-5284      225
MENTOR CORP MINN          COM             587188103      505,200     15,000        X       X   28-5284    15000
MENTOR GRAPHICS CORP      COM             587200106       34,397      3,137        X           28-5284     3137
MERCANTILE BANKSHARES
   CORP                   COM             587405101      412,456      8,600        X           28-5284     8600
                                                         669,522     13,960        X       X   28-5284    10210                3750
                                                          35,970        750        X       X   28-1500      750
MERCHANTS BANCSHARES      COM             588448100    1,802,625     62,700        X           28-1500    62700
MERCK & CO INC            COM             589331107  127,010,631  3,848,807        X           28-5284  3472713      62772   313322
                                                     219,906,324  6,663,828        X       X   28-5284  3601773    2814584   247471
                                                         810,942     24,574        X           28-1500     8551      16023
                                                       1,991,352     60,344        X           28-4580    60227                 117
                                                       4,213,110    127,670        X       X   28-4580    82714       2626    42330
MERCURY COMPUTER SYS      COM             589378108        8,041        300        X       X   28-5284      300
MERCURY GENL CORP NEW     COM             589400100        1,322         25        X           28-5284       25
                                                          24,594        465        X       X   28-5284       65        400
0           COLUMN TOTAL                             506,121,976
0
0
0




1                                                               FILE NO. 28-1235
PAGE 112 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
MERCURY INTERACTIVE CORP  COM             589405109       58,982      1,691        X           28-5284     1691
MEREDITH CORP             COM             589433101        2,055         40        X           28-5284       40
MERIDIAN BIOSCIENCE INC   COM             589584101       38,348      2,879        X           28-5284     2879
                                                           3,996        300        X       X   28-5284      300
                                                             892         67        X           28-1500       67
MERRILL LYNCH & CO INC    DEBT        10  590188P51    1,000,630     10,000        X           28-5284    10000
MERRILL LYNCH & CO INC    COM             590188108    7,447,957    149,798        X           28-5284   124198       1150    24450
                                                      15,626,946    314,299        X       X   28-5284   201682      24606    88011
                                                         119,328      2,400        X       X   28-4580     2400
                                                       2,684,880     54,000        X                      54000
MESTEK INC                COM             590829107        2,618        150        X       X   28-5284      150
METASOLV INC              COM             59139P104        5,355      2,100        X           28-5284     2100
METHANEX CORP             COM             59151K108        3,888        258        X           28-5284      258
                                                           6,495        431        X       X   28-5284      431
METLIFE INC               COM             59156R108      604,215     15,633        X           28-5284    12380         10     3243
                                                          82,827      2,143        X       X   28-5284     1718        425
                                                           7,266        188        X           28-4580      188
                                                           3,865        100        X       X   28-4580      100
METRIS COS INC            COM             591598107       29,340      3,000        X           28-5284     3000
                                                           9,780      1,000        X       X   28-5284                1000
METROLOGIC INSTRS INC     COM             591676101        7,925        500        X           28-5284      500
METTLER TOLEDO
   INTERNATIONAL          COM             592688105       14,072        298        X           28-5284      298
MICHAELS STORES INC       COM             594087108       92,960      1,570        X           28-5284     1570
                                                           5,921        100        X       X   28-5284      100
MICREL INC                COM             594793101       22,277      2,140        X           28-5284     2140
MICROS SYS INC            COM             594901100        5,007        100        X           28-5284      100
                                                         550,770     11,000        X       X   28-5284    11000
0           COLUMN TOTAL                              28,438,595
0
0
0




1                                                               FILE NO. 28-1235
PAGE 113 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
MICROSOFT CORP            COM             594918104  184,020,262  6,655,344        X           28-5284  6233520     103011   318813
                                                     108,512,480  3,924,502        X       X   28-5284  2667305    1021230   235967
                                                       2,013,031     72,804        X           28-1500     2244      70560
                                                       3,752,769    135,724        X           28-4580   133591                2133
                                                       2,822,706    102,087        X       X   28-4580    90332      11150      605
MICROSTRATEGY INC         *W EXP 06/24/2  594972119            7         98        X           28-5284       98
                                                               1         16        X           28-4580       16
MICROSTRATEGY INC         CL A NEW        594972408        5,218        127        X           28-5284      127
MICROCHIP TECHNOLOGY INC  COM             595017104      186,565      6,951        X           28-5284     6951
                                                           3,489        130        X       X   28-5284      130
MICROMUSE INC             COM             595094103          239         65        X           28-5284       65
                                                             305         83        X           28-1500       83
MICRON TECHNOLOGY INC     COM             595112103      323,547     26,895        X           28-5284    26895
                                                         148,571     12,350        X       X   28-5284     9350       3000
MICROSEMI CORP            COM             595137100        7,050        500        X       X   28-5284      500
MIDAS GROUP INC           COM             595626102        1,199         74        X           28-5284       74
                                                           3,904        241        X       X   28-5284      200         41
MIDCAP SPDR TR            UNIT SER 1      595635103  139,724,043  1,289,562        X           28-5284  1194683      13627    81252
                                                      28,078,903    259,150        X       X   28-5284   132119     123169     3862
                                                          33,589        310        X       X   28-1500      310
                                                       2,549,584     23,531        X           28-4580    22991                 540
                                                         396,561      3,660        X       X   28-4580     3060        600
MIDDLEBY CORP             COM             596278101        5,265        100        X           28-5284      100
                                                          21,060        400        X       X   28-5284                          400
MIDDLESEX WATER CO        COM             596680108      269,230     15,024        X           28-5284    15024
                                                          95,567      5,333        X       X   28-5284                5333
MIDLAND CO                COM             597486109      307,688     11,250        X           28-5284    11250
                                                             547         20        X       X   28-1500       20
MIDWAY GAMES INC          COM             598148104       21,824      2,200        X       X   28-5284                         2200
0           COLUMN TOTAL                             473,305,204
0
0
0




1                                                               FILE NO. 28-1235
PAGE 114 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
MILACRON INC              COM             598709103    2,160,344    692,418        X           28-5284   692418
                                                       1,305,820    418,532        X       X   28-5284   413817       4715
MILLENNIUM
   PHARMACEUTICALS I      COM             599902103       22,419      1,640        X           28-5284     1640
                                                         186,418     13,637        X       X   28-5284    13637
                                                         172,146     12,593        X           28-1500    12593
MILLENNIUM CHEMICALS INC  COM             599903101        3,012        142        X           28-5284      142
                                                           8,929        421        X       X   28-5284      314                 107
MILLEA HOLDINGS INC       ADR             60032R106       20,502        319        X           28-5284      319
MILLENNIUM BANKSHARES
   CORP                   COM             60037B106      290,500     35,000        X       X   28-5284    35000
MILLER HERMAN INC         COM             600544100      116,249      4,716        X           28-5284     4716
MILLIPORE CORP            COM             601073109      343,372      7,176        X           28-5284     7176
                                                         905,896     18,932        X       X   28-5284    11600       7332
MILLS CORP                COM             601148109      136,729      2,636        X           28-5284     2636
                                                         140,049      2,700        X       X   28-5284     2700
MINDSPEED TECHNOLOGIES
   INC                    COM             602682106        1,552        776        X           28-5284      776
                                                           5,074      2,537        X       X   28-5284     1957        381      199
MINE SAFETY APPLIANCES
   CO                     COM             602720104    1,423,164     34,950        X           28-5284    34950
                                                       4,599,813    112,962        X       X   28-5284   111712                1250
MIPS TECHNOLOGIES INC     COM             604567107          108         19        X           28-5284       19
MISSION RESOURCES CORP    COM             605109107        3,214        511        X       X   28-5284                 511
MITSUBISHI TOKYO FINL
   GROUP                  SPONSORED ADR   606816106        2,210        265        X           28-5284      265
MITSUI & CO LTD           ADR             606827202        1,177          7        X           28-5284        7
MOBILE MINI INC           COM             60740F105       12,921        521        X           28-1500      521
MODEM MEDIA INC           CL A            607533106          139         26        X           28-5284       26
MOHAWK INDS INC           COM             608190104        4,287         54        X           28-5284       54
                                                          63,512        800        X       X   28-5284      800
0           COLUMN TOTAL                              11,929,556
0
0
0




1                                                               FILE NO. 28-1235
PAGE 115 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
MOLEX INC                 COM             608554101      145,760      4,888        X           28-5284     4888
                                                          71,359      2,393        X       X   28-5284     2393
MOLEX INC                 CL A            608554200      138,259      5,253        X           28-5284     3853                1400
                                                          62,484      2,374        X       X   28-5284     2374
MONDAVI ROBERT CORP       CL A            609200100        5,876        150        X           28-5284      150
MONEYGRAM INTL INC        COM             60935Y109       60,361      3,534        X           28-5284     3424                 110
                                                             854         50        X       X   28-5284       50
                                                           3,416        200        X       X   28-4580      200
MONROE BANCORP            COM             610313108        8,075        475        X           28-1500      475
MONSANTO CO NEW           COM             61166W101    1,605,430     44,081        X           28-5284    42801        284      996
                                                       1,589,260     43,637        X       X   28-5284    32830       8616     2191
                                                             510         14        X       X   28-1500       14
                                                          12,419        341        X           28-4580      341
                                                          53,028      1,456        X       X   28-4580     1456
MONSTER WORLDWIDE INC     COM             611742107      665,354     27,003        X           28-5284    27003
MONTGOMERY STR INCOME
   SECS I                 COM             614115103       33,269      1,740        X           28-5284     1740
                                                          22,925      1,199        X       X   28-5284                1199
MOODYS CORP               COM             615369105   60,652,465    828,020        X           28-5284   779296       5845    42879
                                                      16,412,468    224,061        X       X   28-5284   131640      62196    30225
                                                         815,199     11,129        X           28-4580    10648                 481
                                                         752,424     10,272        X       X   28-4580     8942       1330
MORGAN STANLEY EASTN
   EUR FD                 COM             616988101       93,060      3,300        X       X   28-5284     3300
MORGAN STANLEY EMER
   MKTS FD                COM             61744G107       43,344      2,800        X           28-5284     2800
MORGAN STANLEY EMER
   MKTS DEB               COM             61744H105       49,006      5,350        X       X   28-5284                5350
MORGAN STANLEY HIGH
   YIELD FD               COM             61744M104       23,436      3,600        X       X   28-5284     3600
MORGAN STANLEY ASIA
   PAC FD I               COM             61744U106        5,939        527        X           28-5284      527
                                                          30,271      2,686        X       X   28-5284     2686
0           COLUMN TOTAL                              83,356,251
0
0
0




1                                                               FILE NO. 28-1235
PAGE 116 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
MORGAN STANLEY            COM NEW         617446448   86,175,562  1,747,983        X           28-5284  1606306      18164   123513
                                                      40,865,608    828,917        X       X   28-5284   489988     303659    35270
                                                         301,815      6,122        X           28-1500     1574       4548
                                                       1,881,584     38,166        X           28-4580    37625                 541
                                                         640,851     12,999        X       X   28-4580    10941       1892      166
                                                         637,650     13,000        X                      13000
MORGAN STANLEY INDIA
   INVS FD                COM             61745C105       30,083      1,320        X           28-5284     1320
MORGAN STANLEY            MUN PREM INCOM  61745P429       75,194      8,200        X       X   28-5284     6100       2100
MORGAN STANLEY            MUN INC OPP II  61745P445        7,750      1,000        X           28-5284     1000
MORGAN STANLEY            MUN INCM OPPTN  61745P452        3,567        486        X       X   28-5284      486
                                                           7,340      1,000        X       X   28-4580     1000
MORGAN STANLEY            QULTY MUN SECS  61745P585       21,165      1,500        X       X   28-4580     1500
MORGAN STANLEY            QUALT MUN INCM  61745P734      161,108     11,734        X           28-5284    11734
MORGAN STANLEY            INSD MUN INCM   61745P791      190,620     13,500        X           28-5284    13500
                                                         282,400     20,000        X       X   28-5284    20000
                                                          32,885      2,329        X       X   28-4580     2329
MORGAN STANLEY            INSD MUN TR     61745P866        6,995        500        X           28-5284      500
                                                           8,394        600        X       X   28-5284                 600
MORGAN STANLEY            INCOME SEC INC  61745P874        7,956        496        X           28-5284      496
MOTOROLA INC              COM             620076109   17,833,045    988,528        X           28-5284   901512      14415    72601
                                                      17,981,027    996,731        X       X   28-5284   757056     203288    36387
                                                         216,047     11,976        X       X   28-1500    11976
                                                         339,693     18,830        X           28-4580    18830
                                                         206,378     11,440        X       X   28-4580    11190        250
MOVIE GALLERY INC         COM             624581104        1,753        100        X       X   28-5284      100
MPOWER HOLDING CORP       COM NEW         62473L309           15         12        X           28-5284       12
MUELLER INDS INC          COM             624756102       71,641      1,668        X           28-5284     1668
                                                          14,431        336        X       X   28-5284      152        184
MULTI COLOR CORP          COM             625383104        3,002        200        X           28-5284                          200
0           COLUMN TOTAL                             168,005,559
0
0
0




1                                                               FILE NO. 28-1235
PAGE 117 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                  
MULTIMEDIA GAMES INC      COM             625453105        6,200        400        X           28-5284      400
MUNIHOLDINGS N Y INSD
   FD INC                 COM             625931100       39,847      2,820        X       X   28-5284     2820
MUNICIPAL HIGH INCOME
   FD INC                 COM             626214100       62,732      8,535        X           28-5284     8535
MUNICIPAL MTG & EQUITY
   L L C                  GROWTH SHS      62624B101        4,817        191        X       X   28-5284      191
MUNIHOLDINGS FLA INSD FD  COM             62624W105        6,820        455        X           28-5284      455
                                                         139,962      9,337        X       X   28-5284     9337
MUNIYIELD CALIF INS FD    COM             62629L104       30,542      2,259        X           28-5284     2259
MUNIVEST FD II INC        COM             62629P105       49,628      3,333        X       X   28-5284     3333
MUNIVEST FD INC           COM             626295109       18,520      2,000        X       X   28-5284     2000
                                                           4,630        500        X           28-4580                          500
MUNIYIELD FD INC          COM             626299101      160,829     11,817        X       X   28-5284    11817
MUNIYIELD INSD FD INC     COM             62630E107      127,545      8,766        X           28-5284     8766
                                                         110,391      7,587        X       X   28-5284     7587
                                                          19,541      1,343        X           28-4580     1343
MUNIYIELD N J FD INC      COM             62630L101      108,092      7,429        X       X   28-5284     7429
MUNIYIELD PA INSD FD      COM             62630V109      257,461     17,073        X       X   28-5284    16406                 667
                                                         422,572     28,022        X           28-4580    28022
                                                          32,166      2,133        X       X   28-4580     2133
MUNIYIELD QUALITY FD INC  COM             626302103       31,624      2,166        X       X   28-5284     1166       1000
MURPHY OIL CORP           COM             626717102      233,411      2,690        X           28-5284     2690
                                                          17,354        200        X       X   28-5284      200
MYERS INDS INC            COM             628464109      167,502     15,297        X           28-5284    15297
MYKROLIS CORP             COM             62852P103       31,177      3,096        X           28-5284     3096
                                                          25,427      2,525        X       X   28-5284      947       1578
0           COLUMN TOTAL                               2,108,790
0
0
0




1                                                               FILE NO. 28-1235
PAGE 118 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
MYLAN LABS INC            COM             628530107      424,800     23,600        X           28-5284    23450                 150
                                                         673,650     37,425        X       X   28-5284    19875       8875     8675
                                                          18,216      1,012        X       X   28-1500     1012
                                                          44,550      2,475        X       X   28-4580      450       2025
MYRIAD GENETICS INC       COM             62855J104       11,970        700        X       X   28-1500      700
MYOGEN INC                COM             62856E104       30,343      3,746        X           28-5284     3397                 349
NBC CAP CORP              COM             628729105      140,910      5,500        X           28-5284     2500                3000
                                                         256,200     10,000        X       X   28-5284    10000
NBT BANCORP INC           COM             628778102      427,246     18,235        X           28-5284    16647       1588
                                                         275,303     11,750        X       X   28-5284    11750
NBTY INC                  COM             628782104        8,624        400        X           28-5284      400
                                                          64,680      3,000        X       X   28-5284     3000
NCO GROUP INC             COM             628858102   12,787,937    474,506        X           28-5284     1000              473506
NCR CORP NEW              COM             62886E108      102,453      2,066        X           28-5284     1824                 242
                                                          57,524      1,160        X       X   28-5284      510        552       98
                                                          10,513        212        X           28-4580      212
NEC CORP                  ADR             629050204        6,727      1,123        X           28-5284     1123
                                                          11,980      2,000        X       X   28-5284                2000
NGAS RESOURCES INC        COM             62912T103      101,475     20,500        X           28-5284                        20500
NL INDS INC               COM NEW         629156407        1,831        100        X           28-5284      100
NSD BANCORP INC           COM             62938D108      220,239      9,215        X           28-5284     9215
NTL INC DEL               *W EXP 01/13/2  62940M138       10,593      1,995        X           28-5284     1995
NTT DOCOMO INC            SPONS ADR       62942M201        2,125        125        X           28-5284      125
NUI CORP                  COM             629431107       58,082      4,354        X           28-5284     4354
NVR INC                   COM             62944T105       12,673         23        X       X   28-5284       23
NYMAGIC INC               COM             629484106        2,080         95        X           28-5284       95
0           COLUMN TOTAL                              15,762,724
0
0
0




1                                                               FILE NO. 28-1235
PAGE 119 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
NACCO INDS INC            CL A            629579103       86,150      1,000        X           28-5284                         1000
NAM TAI ELECTRS INC       COM PAR $0.02   629865205      138,775      6,500        X       X   28-5284     6500
NANOGEN INC               COM             630075109        3,179        830        X       X   28-5284      830
NANOPHASE TECHNOLOGIES
   CORP                   COM             630079101          103         20        X           28-5284       20
NASDAQ 100 TR             UNIT SER 1      631100104    4,594,766    130,756        X           28-5284   127109                3647
                                                      12,409,410    353,142        X       X   28-5284   332423       9839    10880
                                                         118,316      3,367        X       X   28-1500     3367
                                                          84,863      2,415        X           28-4580     2415
NASTECH PHARMACEUTICAL
   INC                    COM PAR $0.006  631728409       42,870      3,000        X       X   28-1500     3000
NATIONAL AUSTRALIA BK
   LTD                    CAP UTS EXCHBL  632525309       71,232      2,100        X           28-5284     2100
                                                          67,840      2,000        X       X   28-5284     2000
NATIONAL AUSTRALIA BK
   LTD                    SPONSORED ADR   632525408        1,078         11        X           28-5284       11
NATIONAL BANKSHARES INC
   VA                     COM             634865109    4,361,260     99,800        X           28-1500    99800
NATIONAL CITY CORP        COM             635405103   78,545,202  2,033,796        X           28-5284  1577297      30470   426029
                                                      20,846,188    539,777        X       X   28-5284   395110      90151    54516
                                                      10,768,299    278,827        X           28-1500   275425       3402
                                                         106,746      2,764        X           28-4580     2764
                                                         243,924      6,316        X       X   28-4580     6316
NATIONAL COMMERCE FINL
   CORP                   COM             63545P104      898,320     26,259        X           28-5284    26259
                                                         220,655      6,450        X       X   28-5284     3600       2850
NATIONAL HEALTH REALTY
   INC                    COM             635905102        9,525        500        X       X   28-5284      500
NATIONAL FUEL GAS CO N J  COM             636180101      564,164     19,914        X           28-5284    17350                2564
                                                         231,258      8,163        X       X   28-5284     6781                1382
NATIONAL GRID TRANSCO
   PLC                    SPONSORED ADR   636274102          814         19        X       X   28-5284       19
NATIONAL HEALTH INVS INC  COM             63633D104       68,256      2,400        X       X   28-1500     2400
NATIONAL INSTRS CORP      COM             636518102       26,638        880        X           28-5284      880
NATIONAL MED HEALTH CARD
   SYS                    COM NEW         636918302      252,890     12,100        X       X   28-5284    12100
0           COLUMN TOTAL                             134,762,721
0
0
0




1                                                               FILE NO. 28-1235
PAGE 120 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
NATIONAL PENN BANCSHARES
   INC                    COM             637138108       54,669      1,710        X           28-5284      110                1600
                                                          31,970      1,000        X       X   28-5284                1000
NATIONAL PROCESSING INC   COM             637229105      145,860      5,500        X           28-5284     5500
NATIONAL SEMICONDUCTOR
   CORP                   COM             637640103       68,807      4,442        X           28-5284     4442
NATIONAL WESTMINSTER BK
   PLC                    ADR REP PREF B  638539700       30,804      1,200        X           28-5284     1200
                                                          56,474      2,200        X       X   28-5284     2200
NATIONWIDE FINL SVCS INC  CL A            638612101      244,857      6,974        X           28-5284     6672                 302
                                                           8,356        238        X       X   28-5284      162         76
                                                          17,906        510        X       X   28-1500      510
NATIONWIDE HEALTH PPTYS
   INC                    COM             638620104      749,656     36,128        X           28-5284    36128
                                                          10,375        500        X       X   28-5284                 500
NAUTILUS GROUP INC        COM             63910B102       10,166        450        X           28-5284      450
                                                           8,471        375        X       X   28-5284      375
NAVISTAR INTL CORP NEW    COM             63934E108       29,752        800        X           28-5284      800
NEIMAN MARCUS GROUP INC   CL A            640204202        5,175         90        X       X   28-1500       90
NEIMAN MARCUS GROUP INC   CL B            640204301       80,195      1,506        X       X   28-5284     1506
NEOGEN CORP               COM             640491106       12,206        625        X       X   28-5284      625
NEOSE TECHNOLOGIES INC    COM             640522108          750        100        X           28-5284      100
                                                          15,000      2,000        X       X   28-5284     2000
NETBANK INC               COM             640933107           40          4        X           28-1500        4
NET2PHONE                 COM             64108N106          129         40        X           28-1500       40
NETFLIX COM INC           COM             64110L106       35,065      2,274        X       X   28-5284     1874        400
NETWORK APPLIANCE INC     COM             64120L104      292,735     12,700        X           28-5284    12700
                                                         247,695     10,746        X       X   28-5284     7446                3300
                                                         130,624      5,667        X           28-1500     5667
NEW AMER HIGH INCOME FD
   INC                    COM             641876107        4,263      2,030        X           28-5284     2030
0           COLUMN TOTAL                               2,292,000
0
0
0




1                                                               FILE NO. 28-1235
PAGE 121 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
NEW CENTURY FINANCIAL
   CORP                   COM             64352D101        3,794         63        X           28-5284       63
                                                          60,220      1,000        X       X   28-5284     1000
NEW JERSEY RES            COM             646025106      112,235      2,711        X           28-5284     2486        225
                                                         298,453      7,209        X       X   28-5284     1450       4559     1200
NEW PLAN EXCEL RLTY TR
   INC                    COM             648053106      167,200      6,688        X           28-5284     6688
                                                         488,000     19,520        X       X   28-5284    12550       6970
NEW YORK CMNTY BANCORP
   INC                    COM             649445103   11,096,119    540,220        X           28-5284   489447      33136    17637
                                                       6,191,988    301,460        X       X   28-5284   173926     107069    20465
                                                          65,687      3,198        X           28-4580     3198
                                                           7,805        380        X       X   28-4580                 380
NEW YORK TIMES CO         CL A            650111107      530,392     13,565        X           28-5284    13565
                                                         321,402      8,220        X       X   28-5284     5220                3000
                                                          14,154        362        X       X   28-4580      362
NEWCASTLE INVT CORP       COM             65105M108        9,026        294        X       X   28-5284                 294
NEWELL RUBBERMAID INC     COM             651229106   11,324,764    565,108        X           28-5284   464986       8565    91557
                                                       9,750,282    486,541        X       X   28-5284   251473      65673   169395
                                                         133,026      6,638        X           28-1500                6638
                                                           5,812        290        X           28-4580      290
                                                          36,573      1,825        X       X   28-4580     1825
NEWFIELD EXPL CO          COM             651290108       30,620        500        X           28-5284                          500
                                                           1,592         26        X       X   28-5284       14         12
NEWMONT MINING CORP       COM             651639106    3,859,442     84,767        X           28-5284    70889       7698     6180
                                                       3,229,488     70,931        X       X   28-5284    61892       5978     3061
                                                          75,853      1,666        X           28-4580     1666
                                                         212,352      4,664        X       X   28-4580     4664
NEWPORT CORP              COM             651824104       17,618      1,536        X           28-5284     1536
                                                          13,764      1,200        X       X   28-5284     1200
NEWS CORP LTD             ADR NEW         652487703    1,303,986     39,671        X           28-5284    39512                 159
                                                          60,152      1,830        X       X   28-5284     1130        700
0           COLUMN TOTAL                              49,421,799
0
0
0




1                                                               FILE NO. 28-1235
PAGE 122 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
NEWS CORP LTD             SP ADR PFD      652487802      249,951      7,978        X           28-5284     7909         12       57
                                                         101,259      3,232        X       X   28-5284     1160       1782      290
                                                           3,916        125        X       X   28-1500      125
                                                             752         24        X       X   28-4580       24
NEXMED INC                COM             652903105          447        300        X           28-5284      300
NEXTEL COMMUNICATIONS
   INC                    CL A            65332V103    3,449,267    144,684        X           28-5284    91707               52977
                                                       1,928,537     80,895        X       X   28-5284     7440       3155    70300
                                                          10,776        452        X           28-1500      452
                                                           4,768        200        X           28-4580      200
                                                          28,608      1,200        X       X   28-4580     1200
NEXEN INC                 COM             65334H102           42          1        X           28-5284        1
                                                           4,179        100        X       X   28-5284      100
NICHOLAS-APPLEGATE CV &
   INC                    COM             65370F101      542,536     33,552        X           28-5284    33552
NICHOLAS APPLEGATE
   CV&INC FD              COM             65370G109        4,975        335        X           28-5284      335
NICOR INC                 COM             654086107      243,211      6,627        X           28-5284     6627
                                                          69,730      1,900        X       X   28-5284     1900
NIKE INC                  CL B            654106103    9,996,174    126,855        X           28-5284    93091               33764
                                                         401,880      5,100        X       X   28-5284     4700                 400
                                                       1,546,371     19,624        X           28-1500    19624
                                                         143,022      1,815        X       X   28-1500     1815
99 CENTS ONLY STORES      COM             65440K106       42,690      3,000        X           28-5284     3000
NIPPON TELEG & TEL CORP   SPONSORED ADR   654624105       17,083        855        X           28-5284      855
                                                           5,994        300        X       X   28-5284      300
NISOURCE INC              COM             65473P105      566,304     26,954        X           28-5284    21122       1632     4200
                                                       1,591,150     75,733        X       X   28-5284    67583       8150
                                                           3,698        176        X       X   28-4580      176
NISSAN MOTORS             SPONSORED ADR   654744408       17,956        829        X           28-5284      829
0           COLUMN TOTAL                              20,975,276
0
0
0




1                                                               FILE NO. 28-1235
PAGE 123 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
NOKIA CORP                SPONSORED ADR   654902204   17,342,944  1,264,063        X           28-5284  1134453      24355   105255
                                                       9,045,349    659,282        X       X   28-5284   487961     136363    34958
                                                          46,991      3,425        X           28-1500     3425
                                                         350,834     25,571        X       X   28-1500    25571
                                                          62,604      4,563        X           28-4580     4563
                                                         415,167     30,260        X       X   28-4580    14500      15760
                                                       1,262,240     92,000        X                      92000
NOBLE ENERGY INC          COM             655044105      120,091      2,062        X           28-5284     2062
                                                          47,757        820        X       X   28-5284      600        220
NOMURA HLDGS INC          SPONSORED ADR   65535H208        6,184        479        X           28-5284      479
NORAM ENERGY CORP         SDCV  6.000% 3  655419AC3    2,481,250     25,000        X           28-5284    25000
                                                       2,233,125     22,500        X       X   28-5284               22500
NORANDA INC               COM             655422103       69,800      4,000        X       X   28-5284     3000                1000
NORDSON CORP              COM             655663102    2,518,071     73,349        X           28-5284    73349
NORDSTROM INC             COM             655664100       10,707        280        X           28-5284      280
                                                         229,440      6,000        X       X   28-5284     6000
NORFOLK SOUTHERN CORP     COM             655844108   11,229,170    377,578        X           28-5284   312540      59257     5781
                                                      15,145,660    509,269        X       X   28-5284   171860     136897   200512
                                                          34,201      1,150        X           28-4580     1150
                                                          27,153        913        X       X   28-4580      913
NORSK HYDRO A S           SPONSORED ADR   656531605      478,477      6,533        X           28-5284     6478         55
                                                          29,296        400        X       X   28-5284                 400
NORTEL NETWORKS CORP NEW  COM             656568102      935,632    275,186        X           28-5284   273286       1500      400
                                                         373,592    109,880        X       X   28-5284   102550       6080     1250
                                                         179,520     52,800        X       X   28-1500    52800
                                                             680        200        X           28-4580      200
                                                           1,020        300        X       X   28-4580      300
NORTH AMERN PALLADIUM
   LTD                    COM             656912102           17          2        X           28-5284        2
NORTH EUROPEAN OIL RTY
   TR                     SH BEN INT      659310106    1,819,560     77,100        X           28-5284    24900               52200
                                                         233,640      9,900        X       X   28-5284     4700                5200
NORTH FORK
   BANCORPORATION NY      COM             659424105      154,775      3,482        X           28-5284     3262        220
                                                         361,823      8,140        X       X   28-5284     4100       3000     1040
0           COLUMN TOTAL                              67,246,770
0
0
0




1                                                               FILE NO. 28-1235
PAGE 124 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
NORTH PITTSBURGH SYS INC  COM             661562108       60,473      2,920        X       X   28-5284     2920
NORTH VALLEY BANCORP      COM             66304M105    2,322,900    130,500        X           28-1500   130500
NORTHEAST PA FINL CORP    COM             663905107       25,343      1,535        X           28-5284     1535
NORTHEAST UTILS           COM             664397106       86,887      4,481        X           28-5284     4481
                                                          86,576      4,465        X       X   28-5284     4465
NORTHERN BORDER PARTNERS
   L P                    UNIT LTD PARTN  664785102       35,456        775        X           28-5284      775
                                                          84,638      1,850        X       X   28-5284      500       1350
NORTHERN TR CORP          COM             665859104    1,339,505     32,831        X           28-5284    32831
                                                       2,389,860     58,575        X       X   28-5284    58575
                                                           3,998         98        X       X   28-1500       98
NORTHRIM BANCORP INC      COM             666762109    6,599,093    302,018        X           28-1500   302018
NORTHROP GRUMMAN CORP     COM             666807102    3,326,405     62,374        X           28-5284    57878       4496
                                                       4,846,790     90,883        X       X   28-5284    41724      43483     5676
                                                          17,066        320        X       X   28-1500      320
                                                         150,817      2,828        X           28-4580     2828
                                                          63,996      1,200        X       X   28-4580     1200
NORTHWEST AIRLS CORP      CL A            667280101       16,420      2,000        X       X   28-5284                         2000
NORTHWEST BANCORP INC PA  COM             667328108       45,340      2,000        X           28-5284     2000
                                                           2,358        104        X       X   28-5284      104
NORTHWEST NAT GAS CO      COM             667655104      128,507      4,050        X           28-5284     4050
                                                         117,401      3,700        X       X   28-5284     1000       2700
NORWOOD FINANCIAL CORP    COM             669549107      134,066      4,540        X           28-5284     4540
                                                           7,383        250        X       X   28-5284      250
NOVA CHEMICALS CORP       COM             66977W109       11,610        300        X           28-5284      300
NOVARTIS A G              SPONSORED ADR   66987V109      272,086      5,830        X           28-5284     4130                1700
                                                         114,342      2,450        X       X   28-5284     1550        600      300
                                                          51,150      1,096        X       X   28-1500     1096
NOVASTAR FINL INC         COM             669947400       95,920      2,200        X       X   28-1500     2200
0           COLUMN TOTAL                              22,436,386
0
0
0




1                                                               FILE NO. 28-1235
PAGE 125 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
NOVAMERICAN STL INC       COM             669959108       30,966      1,300        X       X   28-5284     1300
NOVELL INC                COM             670006105       25,511      4,043        X           28-5284     4043
                                                           6,310      1,000        X       X   28-5284                         1000
NOVELLUS SYS INC          COM             670008101       31,968      1,200        X           28-5284     1200
NOVO-NORDISK A S          ADR             670100205      550,439     10,050        X           28-5284    10050
                                                         513,195      9,370        X       X   28-5284      380       8990
NSTOR TECHNOLOGIES INC    COM             67018N108        4,960     16,000        X           28-5284    16000
NSTAR                     COM             67019E107       38,642        787        X           28-5284      787
                                                          14,976        305        X       X   28-5284      150        155
NUCOR CORP                COM             670346105      647,996      7,092        X           28-5284     5892                1200
                                                         575,631      6,300        X       X   28-5284     5900        400
NUVEEN PREM INCOME MUN
   FD 4                   COM             6706K4105       39,205      3,114        X           28-5284     3114
                                                          17,790      1,413        X       X   28-5284      666        747
NUVEEN CONN PREM INCOME
   MUN                    SH BEN INT      67060D107       15,980      1,000        X           28-5284     1000
NUTRACEUTICAL INTL CORP   COM             67060Y101        2,818        200        X       X   28-5284      200
                                                           4,974        353        X           28-1500      353
NUVEEN PA PREM INCOME
   MUN FD                 COM             67061F101      156,416     10,345        X           28-5284    10345
                                                         209,971     13,887        X       X   28-5284     7804       6083
                                                         970,039     64,156        X           28-4580    64156
NUVEEN MD PREM INCOME
   MUN FD                 COM             67061Q107       48,120      3,000        X       X   28-5284     3000
NUVEEN SELECT MAT MUN FD  SH BEN INT      67061T101        9,785      1,014        X           28-5284     1014
                                                          22,195      2,300        X       X   28-5284                2300
NUVEEN INVT QUALITY MUN
   FD I                   COM             67062E103       41,013      2,700        X           28-5284     2700
                                                          90,031      5,927        X       X   28-5284     2405       3522
NUVEEN SELECT TAX FREE
   INCM                   SH BEN INT      67062F100        1,377        100        X           28-5284      100
NUVEEN MUN ADVANTAGE FD
   INC                    COM             67062H106       57,227      3,704        X           28-5284     3704
                                                         128,235      8,300        X       X   28-5284     8300
0           COLUMN TOTAL                               4,255,770
0
0
0




1                                                               FILE NO. 28-1235
PAGE 126 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
NUVEEN MUN INCOME FD INC  COM             67062J102      182,595     18,500        X           28-5284    16000                2500
                                                         123,079     12,470        X       X   28-5284     7970       4500
NUVEEN INSD QUALITY MUN
   FD I                   COM             67062N103       12,488        800        X           28-4580      800
NUVEEN PERFORMANCE PLUS
   MUN                    COM             67062P108      232,160     15,729        X           28-5284    15729
                                                         212,544     14,400        X       X   28-5284      400      14000
NUVEEN PREM INCOME MUN
   FD                     COM             67062T100       37,683      2,650        X           28-5284     2650
                                                         206,190     14,500        X       X   28-5284      700      13800
NUVEEN MUN MKT
   OPPORTUNITY F          COM             67062W103      275,731     19,148        X           28-5284    19148
                                                          16,387      1,138        X       X   28-5284     1138
NUVEEN SELECT TAX FREE
   INCM                   SH BEN INT      67063C106       92,190      7,000        X       X   28-5284     7000
NUVEEN PREM INCOME MUN
   FD 2                   COM             67063W102       14,410      1,000        X           28-5284     1000
                                                          48,014      3,332        X       X   28-5284     3332
NVIDIA CORP               COM             67066G104      235,282     16,204        X           28-5284    16204
                                                          50,820      3,500        X       X   28-5284     3500
                                                          43,516      2,997        X           28-1500     2997
NUVEEN DIVID ADVANTAGE
   MUN F                  COM             67066V101       19,721      1,300        X           28-5284     1300
                                                          30,340      2,000        X       X   28-5284     2000
NUVEEN SR INCOME FD       COM             67067Y104       36,815      3,700        X           28-5284     3700
NUTRI SYS INC NEW         COM             67069D108        7,100      5,000        X           28-5284     5000
NUVEEN MASS DIVID
   ADVANTAG M             COM SH BEN INT  67069P101       50,617      3,140        X       X   28-5284                3140
NUVEEN PA DIV ADVANTAGE
   MUN                    COM             67070E103       49,755      3,210        X           28-5284     3210
NUVEEN DIV ADV MUNI FD 3  COM SH BEN INT  67070X101       14,410      1,000        X           28-5284     1000
NUVEEN INSD DIVID
   ADVANTAGE              COM             67071L106       10,870        733        X           28-5284      733
NUVEEN QUALITY PFD
   INCOME FD              COM             67071S101      360,313     24,679        X           28-5284    23879        800
                                                          49,684      3,403        X       X   28-5284     3403
NUVEEN NEW JERSEY DIVID   COM             67071T109       44,623      2,965        X           28-5284     2965
                                                          49,665      3,300        X       X   28-5284     3300
0           COLUMN TOTAL                               2,507,002
0
0
0




1                                                               FILE NO. 28-1235
PAGE 127 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
NUVEEN PA DIVID
   ADVANTAGE MU           COM             67071W102        7,350        500        X       X   28-5284      500
NYFIX INC                 COM             670712108       30,400      5,000        X           28-5284     5000
                                                         106,978     17,595        X           28-1500    17595
NUVEEN QUALITY PFD
   INCOME FD              COM             67072C105      498,750     33,250        X           28-5284    31450       1500      300
                                                          63,105      4,207        X       X   28-5284     3214        993
NUVEEN PFD & CONV INC FD  COM             67073B106       85,001      5,834        X           28-5284     5834
                                                          55,031      3,777        X       X   28-5284     3777
NUVEEN PFD & CONV INCOME
   FD                     COM SHS         67073D102        4,727        335        X           28-5284      335
                                                          10,230        725        X       X   28-5284                 725
O CHARLEYS INC            COM             670823103       16,300      1,000        X       X   28-1500     1000
OCA INC                   COM             67083Q101        1,422        300        X           28-5284      300
OGE ENERGY CORP           COM             670837103      169,091      6,702        X           28-5284     5702       1000
                                                         103,443      4,100        X       X   28-5284     4100
OM GROUP INC              COM             670872100       24,861        680        X           28-5284      680
NUVEEN MUN VALUE FD INC   COM             670928100    2,867,001    312,650        X           28-5284   306000                6650
                                                         424,470     46,289        X       X   28-5284    15883      18906    11500
                                                           5,961        650        X           28-4580      650
NUVEEN FLA INVT QUALITY
   MUN                    COM             670970102       50,589      3,300        X           28-5284     3300
NUVEEN NJ INVT QUALITY
   MUN F                  COM             670971100      102,037      6,583        X           28-5284     6583
                                                         176,328     11,376        X       X   28-5284    11376
NUVEEN PA INVT QUALITY
   MUN F                  COM             670972108      306,197     20,689        X           28-5284    20689
                                                         710,800     48,027        X       X   28-5284    14984      32154      889
NUVEEN SELECT QUALITY
   MUN FD                 COM             670973106      198,143     13,236        X           28-5284    13236
                                                         239,520     16,000        X       X   28-5284    16000
NUVEEN CA SELECT QUALITY
   MUN                    COM             670975101       89,040      6,000        X       X   28-5284                         6000
NUVEEN NY SELECT QUALITY
   MUN                    COM             670976109       61,333      4,078        X       X   28-5284     4078
0           COLUMN TOTAL                               6,408,108
0
0
0




1                                                               FILE NO. 28-1235
PAGE 128 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
NUVEEN QUALITY INCOME
   MUN FD                 COM             670977107      248,907     17,166        X           28-5284    17166
                                                          29,319      2,022        X       X   28-5284      816       1206
NUVEEN FLA QUALITY
   INCOME MU              COM             670978105       51,272      3,400        X           28-5284     3400
NUVEEN OHIO QUALITY
   INCOME M               COM             670980101       18,567      1,089        X       X   28-5284                1089
NUVEEN INSD MUN
   OPPORTUNITY            COM             670984103       72,075      4,650        X           28-5284     4650
                                                           3,100        200        X       X   28-5284      200
NUVEEN CALIF QUALITY
   INCM MU                COM             670985100       90,120      6,000        X       X   28-5284                         6000
NUVEEN PREMIER MUN
   INCOME FD              COM             670988104      190,344     13,200        X           28-5284    13200
NUVEEN NJ PREM INCOME
   MUN FD                 COM             67101N106      273,680     17,600        X           28-5284    17600
                                                          54,736      3,520        X       X   28-5284     3520
NUVEEN INSD NY PREM
   INCOME F               COM             67101R107       56,092      3,683        X       X   28-5284     3683
NUVEEN INSD FLA PREM
   INCOME                 COM             67101V108       69,459      4,374        X           28-5284     4374
                                                          33,618      2,117        X       X   28-5284      374                1743
OSI PHARMACEUTICALS INC   COM             671040103        3,749         61        X           28-5284       61
                                                             246          4        X       X   28-1500        4
OSI SYSTEMS INC           COM             671044105        4,830        300        X           28-5284      300
OYO GEOSPACE CORP         COM             671074102       24,585      1,500        X       X   28-5284                1500
OAK HILL FINL INC         COM             671337103       86,950      2,500        X           28-5284     2500
OAKLEY INC                COM             673662102       46,410      3,900        X           28-5284     3900
OCCIDENTAL PETE CORP DEL  COM             674599105      446,545      7,984        X           28-5284     7684                 300
                                                       1,836,909     32,843        X       X   28-5284     4782       8397    19664
                                                          83,615      1,495        X       X   28-1500     1495
                                                          10,906        195        X           28-4580      195
OCEANEERING INTL INC      COM             675232102       36,840      1,000        X           28-5284                         1000
OCEANFIRST FINL CORP      COM             675234108       18,195        750        X           28-5284      750
OCTEL CORP                COM             675727101          149          7        X           28-5284        7
0           COLUMN TOTAL                               3,791,218
0
0
0




1                                                               FILE NO. 28-1235
PAGE 129 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
OCULAR SCIENCES INC       COM             675744106        4,797        100        X       X   28-5284      100
OCWEN FINL CORP           COM             675746101       54,900      6,000        X       X   28-5284                6000
OFFICE DEPOT INC          COM             676220106       29,203      1,943        X           28-5284     1943
OFFSHORE LOGISTICS INC    COM             676255102        6,884        200        X       X   28-5284      200
OHIO CAS CORP             COM             677240103      173,719      8,300        X           28-5284     8300
                                                          22,395      1,070        X       X   28-5284      570                 500
                                                         892,665     42,650        X       X   28-1500    42650
OIL SVC HOLDRS TR         DEPOSTRY RCPT   678002106       20,997        257        X       X   28-4580       82                 175
OLD DOMINION FGHT LINES
   INC                    COM             679580100       10,804        375        X       X   28-1500      375
OLD NATL BANCORP IND      COM             680033107      613,374     24,693        X           28-5284    22043                2650
OLD REP INTL CORP         COM             680223104   14,299,013    571,275        X           28-5284   519996       9160    42119
                                                       7,249,564    289,635        X       X   28-5284   156666     123970     8999
                                                         488,661     19,523        X           28-4580    18853                 670
                                                          78,594      3,140        X       X   28-4580     2570        570
OLIN CORP                 COM PAR $1      680665205      109,660      5,483        X           28-5284     5483
                                                         240,480     12,024        X       X   28-5284     8215       3809
OLYMPIC STEEL INC         COM             68162K106       13,230        700        X       X   28-5284      700
OMNICARE INC              COM             681904108       91,574      3,229        X           28-5284     3229
                                                           7,374        260        X       X   28-5284       60                 200
                                                          14,180        500        X       X   28-4580      500
OMNICOM GROUP INC         COM             681919106   50,016,511    684,595        X           28-5284   552427       9986   122182
                                                      23,073,955    315,822        X       X   28-5284   175130     104437    36255
                                                       2,468,551     33,788        X           28-1500    33788
                                                         194,486      2,662        X       X   28-1500     2662
                                                          61,736        845        X           28-4580      845
                                                         131,435      1,799        X       X   28-4580      304       1495
OMEGA FINL CORP           COM             682092101      200,611      5,798        X       X   28-5284     3000                2798
OMNIVISION TECHNOLOGIES
   INC                    COM             682128103       11,320        800        X           28-5284      800
0           COLUMN TOTAL                             100,580,673
0
0
0




1                                                               FILE NO. 28-1235
PAGE 130 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ONEOK INC NEW             COM             682680103       28,388      1,091        X           28-5284     1091
                                                          26,020      1,000        X       X   28-5284                         1000
ON2 TECHNOLOGIES INC      COM             68338A107          132        200        X           28-5284      200
ONVIA INC                 COM NEW         68338T403      166,419     31,881        X           28-1500    31881
ONYX PHARMACEUTICALS INC  COM             683399109       21,505        500        X           28-5284      500
                                                           4,301        100        X       X   28-5284      100
OPEN JT STK CO-VIMPEL
   COMMUN                 SPONSORED ADR   68370R109      391,680      3,600        X       X   28-5284     3600
OPENWAVE SYS INC          COM NEW         683718308        4,410        500        X           28-5284      500
OPLINK COMMUNICATIONS
   INC                    COM             68375Q106        3,580      2,000        X       X   28-1500     2000
OPPENHEIMER HLDGS INC     CL A NON VTG    683797104       35,715      1,500        X           28-5284     1500
OPSWARE INC               COM             68383A101        2,805        500        X           28-5284      500
OPTICARE HEALTH SYS INC   COM             68386P105          540      2,000        X           28-5284     2000
OPTIMAL GROUP INC         CL A NEW        68388R208        1,836        200        X           28-5284      200
ORACLE CORP               COM             68389X105   15,379,107  1,363,396        X           28-5284  1301290      11737    50369
                                                      10,756,078    953,553        X       X   28-5284   635186     265033    53334
                                                          63,845      5,660        X           28-1500      932      4728
                                                          92,530      8,203        X           28-4580     8203
                                                         131,525     11,660        X       X   28-4580     2400       9260
OPPENHEIMER MULTI-SECTOR
   INC                    SH BEN INT      683933105      108,680     13,000        X           28-5284     1000      12000
                                                           4,180        500        X       X   28-5284      500
OPTION CARE INC           COM             683948103        2,197        142        X           28-5284      142
ORASURE TECHNOLOGIES INC  COM             68554V108        6,300      1,000        X           28-5284     1000
                                                           6,300      1,000        X       X   28-5284     1000
                                                             378         60        X           28-1500       60
ORBITAL SCIENCES CORP     COM             685564106        3,426        300        X           28-5284      300
O REILLY AUTOMOTIVE INC   COM             686091109       10,338        270        X           28-5284      270
                                                           3,829        100        X       X   28-1500      100
0           COLUMN TOTAL                              27,256,044
0
0
0




1                                                               FILE NO. 28-1235
PAGE 131 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                  
ORIENTAL FINL GROUP INC   COM             68618W100    1,063,458     39,300        X           28-1500    39300
ORIX CORP                 SPONSORED ADR   686330101        1,222         24        X           28-5284       24
ORTHOLOGIC CORP           COM             68750J107           21          3        X           28-1500        3
ORTHOVITA INC             COM             68750U102        3,468        775        X           28-5284      775
OSCIENT PHARMACEUTICALS
   CORP                   COM             68812R105        1,775        500        X       X   28-5284      500
OSHKOSH TRUCK CORP        COM             688239201      114,120      2,000        X           28-5284     2000
                                                         156,915      2,750        X       X   28-5284     2750
OUTBACK STEAKHOUSE INC    COM             689899102      107,936      2,599        X           28-5284     1849                 750
                                                          20,765        500        X       X   28-5284      500
OVERSEAS SHIPHOLDING
   GROUP I                COM             690368105      719,780     14,500        X       X   28-5284    14500
OWENS ILL INC             COM NEW         690768403       11,200        700        X           28-5284      700
OWENS ILL INC             PFD CONV $.01   690768502        6,970        200        X           28-5284      200
PAB BANKSHARES INC        COM             69313P101    7,046,400    550,500        X           28-1500   550500
PG&E CORP                 COM             69331C108       81,654      2,686        X           28-5284     2386        300
                                                          73,690      2,424        X       X   28-5284     2124        300
P F CHANGS CHINA BISTRO
   INC                    COM             69333Y108       29,094        600        X           28-5284      500                 100
                                                          38,792        800        X       X   28-5284      800
PICO HLDGS INC            COM NEW         693366205           19          1        X           28-5284        1
PLX TECHNOLOGY INC        COM             693417107        8,868      1,230        X       X   28-1500     1230
PMA CAP CORP              CL A            693419202      400,150     53,000        X           28-5284    53000
PMC-SIERRA INC            COM             69344F106        9,048      1,027        X           28-5284     1027
                                                           6,255        710        X       X   28-1500      710
PMI GROUP INC             COM             69344M101       28,406        700        X           28-5284      700
                                                           4,058        100        X       X   28-5284      100
                                                          40,580      1,000        X                       1000
0           COLUMN TOTAL                               9,974,644
0
0
0




1                                                               FILE NO. 28-1235
PAGE 132 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
PNC FINL SVCS GROUP INC   COM             693475105  109,618,610  2,026,222        X           28-5284  1948846      13215    64161
                                                     141,231,188  2,610,558        X       X   28-5284  1340164     461564   808830
                                                         992,086     18,338        X           28-1500               18338
                                                       2,541,348     46,975        X           28-4580    46075                 900
                                                       1,921,199     35,512        X       X   28-4580    33812                1700
PNC FINL SVCS GROUP INC   PFD A CV $1.80  693475204            0         27        X       X   28-5284                  27
PNC FINL SVCS GROUP INC   PFD CV D $1.80  693475501       56,915        635        X           28-5284      635
                                                           2,241         25        X       X   28-5284       25
POSCO                     SPONSORED ADR   693483109      170,325      4,500        X       X   28-5284     4500
PNM RES INC               COM             69349H107        3,377        150        X           28-5284      150
PPG INDS INC              COM             693506107   56,394,881    920,282        X           28-5284   889062      11800    19420
                                                      38,931,674    635,308        X       X   28-5284   413369     178046    43893
                                                         315,469      5,148        X           28-4580     5148
                                                       1,158,621     18,907        X       X   28-4580    18907
PPL CORP                  COM             69351T106   10,481,320    222,156        X           28-5284   192448      24898     4810
                                                      14,982,434    317,559        X       X   28-5284   183404     130571     3584
                                                         208,394      4,417        X           28-4580     4417
                                                           9,436        200        X       X   28-4580      200
PACCAR INC                COM             693718108    1,064,241     15,397        X           28-5284    15287        110
                                                         402,624      5,825        X       X   28-5284     4725                1100
PACHOLDER HIGH YIELD FD
   INC                    COM             693742108       16,151      1,665        X       X   28-5284     1665
PACIFIC CAP BANCORP NEW   COM             69404P101       44,370      1,500        X       X   28-5284                         1500
PACIFIC ENERGY PARTNERS
   L P                    COM UNIT        69422R105       57,120      2,000        X       X   28-5284                2000
PACIFIC SUNWEAR CALIF
   INC                    COM             694873100       36,838      1,750        X           28-5284     1750
                                                           2,105        100        X       X   28-5284                 100
PACIFICARE HEALTH SYS
   DEL                    COM             695112102        1,872         51        X           28-5284       51
                                                           5,578        152        X       X   28-5284      152
PACKAGING CORP AMER       COM             695156109       60,196      2,460        X           28-5284     2460
0           COLUMN TOTAL                             380,710,613
0
0
0




1                                                               FILE NO. 28-1235
PAGE 133 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
PACTIV CORP               COM             695257105       24,273      1,044        X           28-5284     1044
                                                         120,877      5,199        X       X   28-5284     3423       1776
PALL CORP                 COM             696429307      248,839     10,165        X           28-5284     8165                2000
                                                           4,896        200        X       X   28-5284      200
PALMONE INC               COM             69713P107        1,552         51        X           28-5284       51
                                                           1,309         43        X       X   28-5284       43
                                                           1,522         50        X       X   28-1500       50
PALMSOURCE INC            COM             697154102          290         14        X           28-5284       14
                                                             124          6        X       X   28-5284        6
                                                             311         15        X       X   28-1500       15
PAN AMERICAN SILVER CORP  COM             697900108        8,510        500        X           28-5284      500
                                                          17,020      1,000        X       X   28-5284     1000
PAN PACIFIC RETAIL PPTYS
   INC                    COM             69806L104       54,100      1,000        X       X   28-5284     1000
PANERA BREAD CO           CL A            69840W108        7,508        200        X           28-5284      200
                                                          11,637        310        X       X   28-5284      310
PAPA JOHNS INTL INC       COM             698813102       65,471      2,134        X           28-5284     2134
                                                          11,597        378        X       X   28-5284      378
                                                         348,034     11,344        X           28-1500    11344
PAR PHARMACEUTICAL COS
   INC                    COM             69888P106       29,930        833        X           28-5284      833
PARAGON REAL EST EQT &
   INVT                   COM             69912Y107       16,000    100,000        X           28-5284   100000
PARAMETRIC TECHNOLOGY
   CORP                   COM             699173100       49,907      9,452        X           28-5284     1452                8000
                                                          12,672      2,400        X       X   28-5284     1200                1200
PARK NATL CORP            COM             700658107      903,460      7,101        X           28-5284     7101
PARKE BK SEWELL NJ        COM             700886104      200,010     11,800        X       X   28-5284    11800
PARKER DRILLING CO        COM             701081101       18,350      5,000        X       X   28-5284     5000
PARKER HANNIFIN CORP      COM             701094104      157,156      2,670        X           28-5284     2670
                                                         339,328      5,765        X       X   28-5284     1180       3500     1085
PARKVALE FINL CORP        COM             701492100       25,704        952        X       X   28-5284                 952
0           COLUMN TOTAL                               2,680,387
0
0
0




1                                                               FILE NO. 28-1235
PAGE 134 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
PARKWAY PPTYS INC         COM             70159Q104      232,250      5,000        X           28-5284                         5000
PARTY CITY CORP           COM             702145103        2,275        154        X           28-5284      154
PATHMARK STORES INC NEW   COM             70322A101          485        100        X       X   28-5284      100
PATINA OIL & GAS CORP     COM             703224105       11,828        400        X           28-5284      400
                                                         582,529     19,700        X       X   28-5284    19700
PATRIOT TRANSN HLDG INC   COM             70337B102        3,286        100        X       X   28-5284      100
PATTERSON COMPANIES INC   COM             703395103      135,741      1,773        X           28-5284     1773
                                                          94,552      1,235        X       X   28-5284      735        500
                                                         113,309      1,480        X       X   28-1500     1480
PATTERSON UTI ENERGY INC  COM             703481101       69,606      3,650        X           28-5284     3650
                                                         219,305     11,500        X       X   28-5284    11500
PAYCHEX INC               COM             704326107   10,814,021    358,674        X           28-5284   336297       4475    17902
                                                      23,576,064    781,959        X       X   28-5284   708839      37350    35770
                                                          19,598        650        X           28-4580      650
                                                          19,296        640        X       X   28-4580      370        270
PAYLESS SHOESOURCE INC    COM             704379106       25,730      2,540        X           28-5284     2540
                                                          76,157      7,518        X       X   28-5284     7518
PCCW LTD                  SPONS ADR NEW   70454G207        1,105        170        X           28-5284      170
PEABODY ENERGY CORP       COM             704549104      321,300      5,400        X       X   28-5284     5400
PEAPACK-GLADSTONE FINL
   CORP                   COM             704699107       48,560      1,600        X           28-5284     1600
                                                         145,680      4,800        X       X   28-5284     4800
PEARSON PLC               SPONSORED ADR   705015105        6,498        600        X           28-5284                          600
PEDIATRIX MED GROUP       COM             705324101       16,455        300        X       X   28-5284      300
PEGASYSTEMS INC           COM             705573103       10,470      1,500        X       X   28-5284     1500
PELICAN FINL INC          COM             705808103       14,400      3,000        X           28-5284                         3000
PEGASUS COMMUNICATIONS
   CORP                   CL A NEW        705904605      366,000     48,800        X       X   28-5284               48800
0           COLUMN TOTAL                              36,926,500
0
0
0




1                                                               FILE NO. 28-1235
PAGE 135 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
PENGROWTH ENERGY TR       TRUST UNIT A    706902301      242,055     13,500        X       X   28-5284    13500
PENN ENGR & MFG CORP      CL A            707389102    8,472,687    548,394        X       X   28-5284   548394
PENN ENGR & MFG CORP      COM NON VTG     707389300   17,599,289    945,182        X       X   28-5284   945182
PENN NATL GAMING INC      COM             707569109      101,000      2,500        X           28-5284     2500
                                                         767,600     19,000        X       X   28-5284    19000
PENN TREATY AMERN CORP    COM             707874103       17,000     10,000        X           28-5284    10000
PENN VA CORP              COM             707882106      160,894      4,064        X           28-5284     2464       1600
                                                         134,606      3,400        X       X   28-5284      400                3000
PENN VA RESOURCES
   PARTNERS L             COM             707884102      252,000      6,300        X           28-5284      400                5900
                                                          48,000      1,200        X       X   28-5284                1200
PENNEY J C INC            COM             708160106      980,925     27,804        X           28-5284    27204                 600
                                                         231,860      6,572        X       X   28-5284     3772       2400      400
                                                          10,655        302        X           28-4580      302
                                                         103,194      2,925        X       X   28-4580     2925
PENNROCK FINL SVCS CORP   COM             708352109       77,617      2,796        X           28-5284     2796
PENNS WOODS BANCORP INC   COM             708430103    3,614,520     78,000        X           28-1500    78000
PENNSYLVANIA COMM
   BANCORP IN             COM             708677109      137,250      3,000        X           28-5284     3000
PENNSYLVANIA RL ESTATE
   INVT                   SH BEN INT      709102107    1,088,820     28,164        X           28-5284    28164
                                                       3,628,241     93,850        X       X   28-5284     7150      52700    34000
PENTAIR INC               COM             709631105       98,481      2,821        X           28-5284     2821
                                                         139,640      4,000        X       X   28-5284     4000
PEOPLES BANCORP INC       COM             709789101       32,637      1,240        X           28-5284     1240
PEOPLES BK BRIDGEPORT
   CONN                   COM             710198102      313,531      8,775        X           28-5284     8775
PEOPLES ENERGY CORP       COM             711030106      310,099      7,440        X           28-5284     5240                2200
                                                         118,413      2,841        X       X   28-5284     2641                 200
PEOPLES HLDG CO           COM             711148106      152,171      4,675        X       X   28-1500     4675
0           COLUMN TOTAL                              38,833,185
0
0
0




1                                                               FILE NO. 28-1235
PAGE 136 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
PEOPLESOFT INC            COM             712713106      547,999     27,607        X           28-5284    27607
                                                          74,934      3,775        X       X   28-5284     1775       2000
PEP BOYS MANNY MOE &
   JACK                   COM             713278109       15,400      1,100        X           28-5284     1100
PEPCO HOLDINGS INC        COM             713291102      489,480     24,597        X           28-5284    21388        439     2770
                                                       1,018,422     51,177        X       X   28-5284    33357      16609     1211
                                                          29,870      1,501        X           28-4580     1501
                                                           3,980        200        X       X   28-4580      200
PEPSI BOTTLING GROUP INC  COM             713409100       25,005        921        X           28-5284      921
                                                         196,973      7,255        X       X   28-5284     2055                5200
PEPSIAMERICAS INC         COM             71343P200       44,828      2,347        X           28-5284     2347
                                                          25,709      1,346        X       X   28-5284     1100        246
PEPSICO INC               COM             713448108  143,972,961  2,959,362        X           28-5284  2638563      25067   295732
                                                      77,061,746  1,584,003        X       X   28-5284   993287     442504   148212
                                                       3,879,643     79,746        X           28-1500    68709      11037
                                                       1,678,036     34,492        X           28-4580    34492
                                                         930,188     19,120        X       X   28-4580    14844       1276     3000
PERFORMANCE FOOD GROUP
   CO                     COM             713755106       28,440      1,200        X           28-5284                         1200
PERKINELMER INC           COM             714046109      329,487     19,134        X           28-5284    19134
                                                         244,524     14,200        X       X   28-5284    14200
                                                           1,722        100        X       X   28-1500      100
PERMIAN BASIN RTY TR      UNIT BEN INT    714236106       61,171      5,310        X           28-5284     5310
                                                           4,884        424        X       X   28-5284                 424
PERRIGO CO                COM             714290103       74,391      3,620        X           28-5284     3620
                                                          68,616      3,339        X           28-1500     3339
PERUSAHAAN PERS INDO
   SATELLI                SPONSORED ADR   715680104       24,000      1,000        X           28-5284     1000
PETCO ANIMAL SUPPLIES     COM NEW         716016209        8,165        250        X           28-5284      250
PETMED EXPRESS INC        COM             716382106        9,500      2,000        X           28-5284     2000
0           COLUMN TOTAL                             230,850,074
0
0
0




1                                                               FILE NO. 28-1235
PAGE 137 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
PETROCHINA CO LTD         SPONSORED  ADR  71646E100      129,024      2,400        X           28-5284     2400
                                                          64,512      1,200        X       X   28-5284      800        400
                                                         102,144      1,900        X       X   28-1500     1900
                                                          30,751        572        X       X   28-4580       70                 502
PETROFUND ENERGY TRUST    TR UNIT         71648W108       25,200      2,000        X           28-5284     2000
PETROKAZAKHSTAN INC       COM             71649P102      147,361      4,300        X       X   28-5284     4300
PETROLEO BRASILEIRO SA
   PETRO                  SPONSORED ADR   71654V101        4,628        145        X           28-5284      145
PETROLEO BRASILEIRO SA
   PETRO                  SPONSORED ADR   71654V408       17,625        500        X           28-5284                          500
                                                          17,625        500        X       X   28-1500      500
PETROLEUM & RES CORP      COM             716549100      134,202      5,095        X           28-5284     5095
                                                         215,066      8,165        X       X   28-5284     8165
PETROLEUM DEV CORP        COM             716578109        8,764        200        X       X   28-5284      200
PETROQUEST ENERGY INC     COM             716748108       15,305      2,949        X       X   28-1500     2949
PETSMART INC              COM             716768106    3,663,048    129,026        X           28-5284    81200        110    47716
                                                         824,446     29,040        X       X   28-5284    23390       5400      250
                                                           5,678        200        X       X   28-1500      200
PFIZER INC                COM             717081103  282,169,760  9,221,234        X           28-5284  8341591     126029   753614
                                                     212,623,641  6,948,485        X       X   28-5284  4342332    2140964   465189
                                                       1,838,785     60,091        X           28-1500     3603      56488
                                                       5,652,677    184,728        X           28-4580   184109                 619
                                                       5,936,706    194,010        X       X   28-4580   188799       5111      100
PFSWEB INC                COM             717098107          750        500        X           28-5284      500
PHARMACOPEIA DRUG
   DISCVRY IN             COM             7171EP101        1,225        250        X           28-5284      250
PHARMACEUTICAL HLDRS TR   DEPOSITRY RCPT  71712A206       42,708        600        X       X   28-5284      600
PHARMACEUTICAL PROD DEV
   INC                    COM             717124101        2,772         77        X           28-5284       77
                                                          16,848        468        X       X   28-5284      468
PHARMION CORP             COM             71715B409       37,066        717        X           28-5284      574                 143
0           COLUMN TOTAL                             513,728,317
0
0
0




1                                                               FILE NO. 28-1235
PAGE 138 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
PHELPS DODGE CORP         COM             717265102    4,077,297     44,304        X           28-5284    37048       4202     3054
                                                         694,090      7,542        X       X   28-5284     7262        280
                                                          46,015        500        X       X   28-1500      500
PHOENIX COS INC NEW       COM             71902E109      186,497     17,898        X           28-5284    14344                3554
                                                          38,856      3,729        X       X   28-5284     3201        412      116
PHOSPHATE RESOURCE
   PARTNERS               DEPOSITARY UNT  719217101          229         67        X           28-5284       67
                                                           7,589      2,219        X       X   28-5284     1714        504        1
PHOTRONICS INC            COM             719405102        3,324        200        X           28-5284      200
PIEDMONT NAT GAS INC      COM             720186105      425,779      9,690        X           28-5284     8760                 930
                                                         316,368      7,200        X       X   28-5284     7200
                                                          88,100      2,005        X       X   28-1500     2005
PIER 1 IMPORTS INC        COM             720279108       21,696      1,200        X           28-5284     1200
PIMCO CORPORATE INCOME
   FD                     COM             72200U100      741,936     49,200        X           28-5284    39300                9900
                                                         123,656      8,200        X       X   28-5284     8200
PIMCO MUN INCOME FD II    COM             72200W106       49,095      3,407        X       X   28-5284                         3407
PIMCO STRATEGIC GBL GOV
   FD I                   COM             72200X104       37,890      3,184        X           28-5284     3184
PIMCO MUN INCOME FD III   COM             72201A103      220,220     15,400        X           28-5284    15400
PIMCO FLOATING RATE
   INCOME F               COM             72201H108    1,077,408     51,600        X           28-5284    51600
PIMCO HIGH INCOME FD      COM SHS         722014107      519,200     35,200        X           28-5284    35200
                                                          24,588      1,667        X       X   28-5284                         1667
PINNACLE FINL PARTNERS
   INC                    COM             72346Q104      215,000     10,000        X       X   28-1500    10000
PINNACLE WEST CAP CORP    COM             723484101       41,500      1,000        X           28-5284     1000
                                                         276,847      6,671        X       X   28-5284     6071        300      300
PIONEER NAT RES CO        COM             723787107      523,613     15,186        X           28-5284    15186
                                                         265,979      7,714        X       X   28-5284      714       7000
0           COLUMN TOTAL                              10,022,772
0
0
0




1                                                               FILE NO. 28-1235
PAGE 139 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
PIPER JAFFRAY COS         COM             724078100      274,359      6,930        X           28-5284     6678         10      242
                                                          63,779      1,611        X       X   28-5284     1457        101       53
                                                           1,980         50        X           28-1500       50
                                                           1,980         50        X       X   28-1500       50
                                                              79          2        X           28-4580        2
PITNEY BOWES INC          COM             724479100   31,109,816    705,438        X           28-5284   673023       3805    28610
                                                      53,264,509  1,207,812        X       X   28-5284  1068121     120512    19179
                                                           4,586        104        X       X   28-1500      104
                                                         926,938     21,019        X           28-4580    21019
                                                         865,286     19,621        X       X   28-4580    16021       2000     1600
PIXELWORKS INC            COM             72581M107       16,016      1,600        X       X   28-5284     1600
PIXAR                     COM             725811103       96,653      1,225        X           28-5284     1225
                                                          94,680      1,200        X       X   28-5284     1200
PLACER DOME INC           COM             725906101      140,293      7,057        X           28-5284     6057       1000
PLAINS ALL AMERN
   PIPELINE L             UNIT LTD PARTN  726503105        7,196        200        X           28-5284      200
                                                          17,990        500        X       X   28-5284                 500
PLAINS EXPL& PRODTN CO    COM             726505100       88,998      3,730        X           28-5284     3730
PLANAR SYS INC            COM             726900103        1,637        146        X           28-5284      146
                                                           1,625        145        X       X   28-5284      145
PLANTRONICS INC NEW       COM             727493108       41,943        970        X           28-5284      970
                                                          15,134        350        X       X   28-5284      350
PLAYBOY ENTERPRISES INC   CL B            728117300          753         75        X       X   28-5284       75
PLAYTEX PRODS INC         COM             72813P100       12,600      2,000        X       X   28-5284     2000
PLEXUS CORP               COM             729132100      270,480     24,500        X           28-5284    24500
PLUG POWER INC            COM             72919P103        3,205        500        X           28-5284      500
                                                           1,218        190        X       X   28-5284      190
PLUM CREEK TIMBER CO INC  COM             729251108    1,146,812     32,738        X           28-5284    31190                1548
                                                       2,157,112     61,579        X       X   28-5284    35732      24347     1500
                                                         113,848      3,250        X       X   28-1500     3250
                                                          70,060      2,000        X       X   28-4580     2000
0           COLUMN TOTAL                              90,811,565
0
0
0




1                                                               FILE NO. 28-1235
PAGE 140 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
POGO PRODUCING CO         COM             730448107      166,312      3,505        X           28-5284     3505
POINTE FINANCIAL CORP     COM             73084P100      621,233     19,450        X           28-5284    19450
POLO RALPH LAUREN CORP    CL A            731572103       18,185        500        X           28-5284      500
                                                           3,637        100        X       X   28-5284      100
POLYCOM INC               COM             73172K104       49,550      2,500        X       X   28-5284     2500
POLYMEDICA CORP           COM             731738100        7,484        243        X       X   28-5284      243
                                                           6,160        200        X       X   28-1500      200
POMEROY IT SOLUTIONS INC  COM             731822102        7,596        600        X           28-5284      600
                                                             203         16        X           28-1500       16
POPULAR INC               COM             733174106      394,500     15,000        X           28-5284    15000
                                                          52,600      2,000        X       X   28-5284                2000
PORTUGAL TELECOM SGPS
   S A                    SPONSORED ADR   737273102        2,244        204        X           28-5284      204
POST PPTYS INC            COM             737464107       82,225      2,750        X       X   28-5284     2750
POTASH CORP SASK INC      COM             73755L107       60,705        946        X           28-5284      946
                                                          12,834        200        X       X   28-1500      200
POTLATCH CORP             COM             737628107       28,086        600        X           28-5284      600
POWER-ONE INC             COM             739308104        6,480      1,000        X           28-5284     1000
                                                           6,480      1,000        X       X   28-5284     1000
PRAECIS PHARMACEUTICALS
   INC                    COM             739421105        2,891      1,314        X           28-5284     1314
PRAXAIR INC               COM             74005P104    8,641,259    202,182        X           28-5284   194182                8000
                                                         711,578     16,649        X       X   28-5284     9575       7074
                                                          86,420      2,022        X       X   28-1500     2022
PRE PAID LEGAL SVCS INC   COM             740065107       38,520      1,500        X           28-5284     1500
                                                          32,819      1,278        X           28-1500                1278
PRECISION CASTPARTS CORP  COM             740189105      127,366      2,121        X           28-5284     1121                1000
                                                         110,732      1,844        X       X   28-5284                1844
PRECISION DRILLING CORP   COM             74022D100       57,500      1,000        X       X   28-5284     1000
0           COLUMN TOTAL                              11,335,599
0
0
0




1                                                               FILE NO. 28-1235
PAGE 141 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
PREFERRED INCOME
   STRATEGIES             COM             74038E100        9,148        400        X           28-5284      400
                                                          45,740      2,000        X       X   28-5284     2000
PREMCOR INC               COM             74045Q104       66,220      1,720        X           28-5284     1540        180
                                                          41,195      1,070        X       X   28-5284      250                 820
PRESIDENTIAL LIFE CORP    COM             740884101       25,770      1,500        X           28-5284                         1500
PRESIDENTIAL RLTY CORP
   NEW                    CL B            741004204          790        100        X       X   28-5284      100
PRICE T ROWE GROUP INC    COM             74144T108    1,265,859     24,850        X           28-5284    23150                1700
                                                          50,940      1,000        X       X   28-5284     1000
                                                          80,536      1,581        X           28-4580     1581
PRICELINE COM INC         COM NEW         741503403        3,680        166        X       X   28-5284      166
PRIDE INTL INC DEL        COM             74153Q102       19,790      1,000        X           28-5284     1000
PRIMEWEST ENERGY TR       TR UNIT NEW     741930309       29,624      1,400        X           28-5284     1400
                                                          88,872      4,200        X       X   28-5284     4200
PRINCETON NATL BANCORP
   INC                    COM             742282106      381,940     13,000        X           28-1500    13000
PRINCIPAL FINANCIAL
   GROUP IN               COM             74251V102      318,982      8,868        X           28-5284     8247                 621
                                                          53,667      1,492        X       X   28-5284     1492
PROCTER & GAMBLE CO       COM             742718109  522,840,494  9,660,763        X           28-5284  8962734      74158   623871
                                                     240,015,327  4,434,873        X       X   28-5284  3424237     779543   231093
                                                      13,054,015    241,205        X           28-1500      872     240333
                                                       5,897,943    108,979        X           28-4580   108311                 668
                                                       5,834,298    107,803        X       X   28-4580    95739       2600     9464
PROGENICS
   PHARMACEUTICALS IN     COM             743187106        2,198        150        X           28-5284      150
                                                          43,950      3,000        X       X   28-5284     3000
PROGRESS ENERGY INC       COM             743263105    1,211,220     28,607        X           28-5284    27056                1551
                                                         883,001     20,855        X       X   28-5284    15460       5395
                                                           8,468        200        X       X   28-1500      200
PROGRESSIVE CORP OHIO     COM             743315103    1,829,329     21,585        X           28-5284    13585                8000
                                                          63,563        750        X       X   28-5284      150        300      300
PROLOGIS                  SH BEN INT      743410102      183,953      5,220        X           28-5284     5220
0           COLUMN TOTAL                             794,350,512
0
0
0




1                                                               FILE NO. 28-1235
PAGE 142 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
PROSPECT STREET INCOME
   SHS I                  COM             743590101        3,606        600        X           28-5284      600
PROTECTIVE LIFE CORP      COM             743674103       10,850        276        X           28-5284      276
                                                         137,899      3,508        X       X   28-5284     3508
PROTEIN DESIGN LABS INC   COM             74369L103       41,314      2,110        X           28-5284     2110
                                                             959         49        X           28-1500       49
PROVALIS PLC              SPONS ADR NEW   74372Q206           64         16        X           28-5284       16
PROVIDENCE & WORCESTER
   RR CO                  COM             743737108        7,714        700        X           28-5284      700
PROVIDENT BANKSHARES
   CORP                   COM             743859100       94,276      2,810        X           28-5284     2810
PROVIDENT ENERGY TR       TR UNIT         74386K104       84,227      9,485        X           28-5284     9485
                                                          22,200      2,500        X       X   28-5284     1500                1000
PROVIDENT FINL SVCS INC   COM             74386T105      132,549      7,684        X           28-5284     7684
                                                         107,916      6,256        X       X   28-5284     6256
PROVIDIAN FINL CORP       COM             74406A102    4,219,623    271,533        X           28-5284   196391               75142
                                                       1,672,648    107,635        X       X   28-5284   100500       3500     3635
                                                          23,310      1,500        X           28-1500                1500
                                                           6,216        400        X       X   28-4580      400
                                                         140,637      9,050        X                       9050
PROXIM CORP               CL A            744283102        1,209      1,511        X       X   28-1500     1511
PRUDENTIAL FINL INC       COM             744320102    1,320,648     28,075        X           28-5284    25024                3051
                                                         236,329      5,024        X       X   28-5284     4474        550
                                                           3,669         78        X           28-4580       78
PUBLIC SVC ENTERPRISE
   GROUP                  COM             744573106    7,281,362    170,924        X           28-5284   146072      13817    11035
                                                       9,761,151    229,135        X       X   28-5284   141870      77823     9442
                                                         128,652      3,020        X           28-4580     3020
                                                       1,181,383     27,732        X       X   28-4580    27732
PUBLIC STORAGE INC        COM             74460D109      244,381      4,932        X           28-5284     4932
PUBLIC STORAGE INC        COM A DP1/1000  74460D729       17,061        605        X           28-5284      605
                                                             479         17        X       X   28-5284       17
PUGET ENERGY INC NEW      COM             745310102       38,590      1,700        X           28-5284      500                1200
                                                          79,813      3,516        X       X   28-5284     3016        500
0           COLUMN TOTAL                              27,000,735
0
0
0




1                                                               FILE NO. 28-1235
PAGE 143 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
PULTE HOMES INC           COM             745867101       76,713      1,250        X           28-5284     1250
PURADYN FILTER
   TECHNOLOGIES           COM             746091107        3,450      3,000        X       X   28-5284                3000
PURECYCLE CORP            COM NEW         746228303          167         20        X       X   28-1500       20
PUTNAM HIGH YIELD MUN TR  SH BEN INT      746781103       13,340      2,000        X       X   28-5284     2000
PUTNAM INVT GRADE MUN TR  COM             746805100       12,451      1,250        X       X   28-5284                1250
PUTNAM MANAGED MUN INCOM
   TR                     COM             746823103       18,236      2,505        X           28-5284     2505
                                                          14,560      2,000        X       X   28-5284     1000       1000
PUTNAM MASTER INCOME TR   SH BEN INT      74683K104      102,720     16,000        X           28-5284               16000
                                                          19,260      3,000        X       X   28-5284     2000       1000
PUTNAM MUN BD FD INC      SH BEN INT      74683V100       12,238        969        X           28-5284      969
                                                           3,789        300        X       X   28-5284      300
PUTNAM PREMIER INCOME TR  SH BEN INT      746853100       22,598      3,450        X       X   28-5284     3450
                                                          16,899      2,580        X       X   28-1500     2580
PUTNAM MASTER INTER
   INCOME T               SH BEN INT      746909100       19,477      2,894        X           28-5284     2894
PUTNAM MUN OPPORTUNITIES
   TR                     SH BEN INT      746922103        9,518        750        X       X   28-5284      750
QLT INC                   COM             746927102        8,325        500        X           28-5284      500
QRS CORP                  COM             74726X105       20,760      3,000        X           28-5284     3000
QLOGIC CORP               COM             747277101    1,305,755     43,950        X           28-5284    43950
                                                           7,130        240        X       X   28-5284      240
                                                          14,855        500        X       X   28-4580      500
QUAKER CHEM CORP          COM             747316107       96,600      4,000        X           28-5284     4000
                                                          36,225      1,500        X       X   28-5284     1500
QUALCOMM INC              COM             747525103    8,182,159    209,584        X           28-5284   182664       3000    23920
                                                       5,639,640    144,458        X       X   28-5284    90190      52348     1920
                                                           8,276        212        X           28-1500      212
                                                          52,548      1,346        X       X   28-1500     1346
                                                         119,072      3,050        X           28-4580     3050
                                                         117,120      3,000        X       X   28-4580     3000
0           COLUMN TOTAL                              15,953,881
0
0
0




1                                                               FILE NO. 28-1235
PAGE 144 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
QUANTA SVCS INC           COM             74762E102        1,815        300        X           28-5284      300
QUANTUM FUEL SYS TECH
   WORLDW                 COM             74765E109        5,440      1,000        X       X   28-1500     1000
QUANTUM CORP              COM DSSG        747906204       13,329      5,770        X           28-5284     5770
                                                           1,305        565        X       X   28-1500      565
QUEBECOR WORLD INC        COM NON-VTG     748203106        2,798        125        X       X   28-5284      125
QUEST DIAGNOSTICS INC     COM             74834L100      892,786     10,120        X           28-5284    10120
                                                         739,901      8,387        X       X   28-5284     5783       1654      950
                                                         273,482      3,100        X       X   28-1500     3100
QUEST SOFTWARE INC        COM             74834T103        1,112        100        X           28-5284      100
                                                          11,120      1,000        X       X   28-5284     1000
QUESTAR CORP              COM             748356102      274,783      5,997        X           28-5284     5997
                                                       1,679,303     36,650        X       X   28-5284               36650
QUIKSILVER INC            COM             74838C106       12,710        500        X           28-5284      500
                                                         571,950     22,500        X       X   28-5284    22500
QWEST COMMUNICATIONS
   INTL IN                COM             749121109       52,324     15,713        X           28-5284    13605                2108
                                                          97,692     29,337        X       X   28-5284    11403      17864       70
                                                             333        100        X       X   28-1500      100
QUOVADX INC               COM             74913K106        1,704        892        X       X   28-5284      892
R & G FINANCIAL CORP      CL B            749136107        3,981        103        X           28-5284      103
                                                           7,923        205        X       X   28-5284      205
RAIT INVT TR              COM             749227104       24,615        900        X       X   28-5284      500        400
R H DONNELLEY CORP        COM NEW         74955W307       44,918        910        X           28-5284      910
                                                          33,071        670        X       X   28-5284      162        508
                                                          10,514        213        X       X   28-4580      213
RPM INTL INC              COM             749685103      270,045     15,300        X           28-5284    15300
                                                          30,888      1,750        X       X   28-5284     1750
                                                          14,755        836        X       X   28-1500      836
0           COLUMN TOTAL                               5,074,597
0
0
0




1                                                               FILE NO. 28-1235
PAGE 145 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
RSA SEC INC               COM             749719100       25,090      1,300        X           28-5284     1300
                                                          10,885        564        X           28-1500       24        540
RF MICRODEVICES INC       COM             749941100        5,072        800        X           28-5284      800
                                                             507         80        X       X   28-5284       80
                                                         232,203     36,625        X           28-1500    36625
                                                           4,311        680        X           28-4580      680
RADIAN GROUP INC          COM             750236101        2,635         57        X           28-5284       57
                                                          47,524      1,028        X       X   28-5284      148                 880
RADIO ONE INC             CL A            75040P108       65,734      4,600        X           28-5284                         4600
RADIO ONE INC             CL D NON VTG    75040P405       64,035      4,500        X       X   28-5284     4500
RADIOSHACK CORP           COM             750438103       33,394      1,166        X           28-5284     1166
                                                         126,016      4,400        X       X   28-5284                4400
RAILAMERICA INC           COM             750753105       16,575      1,500        X           28-5284     1000                 500
RAINDANCE COMM            COM             75086X106        3,140      2,000        X           28-5284     2000
RAMBUS INC DEL            COM             750917106       33,184      2,115        X           28-5284     2115
RALCORP HLDGS INC NEW     COM             751028101       53,175      1,473        X       X   28-5284     1333        140
RAMCO-GERSHENSON PPTYS
   TR                     COM SH BEN INT  751452202        3,547        131        X           28-5284      131
RANGE RES CORP            COM             75281A109       17,490      1,000        X       X   28-5284     1000
RANK GROUP PLC            SPONSORED ADR   753037100        2,553        250        X           28-5284      250
RAYMOND JAMES FINANCIAL
   INC                    COM             754730109       18,090        750        X           28-5284      750
RAYONIER INC              COM             754907103      138,253      3,056        X           28-5284     1847                1209
                                                          63,472      1,403        X       X   28-5284     1124        200       79
                                                          13,572        300        X       X   28-1500      300
RAYOVAC CORP              COM             755081106       16,074        610        X       X   28-5284       60        250      300
0           COLUMN TOTAL                                 996,531
0
0
0




1                                                               FILE NO. 28-1235
PAGE 146 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
RAYTHEON CO               COM NEW         755111507    8,810,031    231,965        X           28-5284   222148       2200     7617
                                                      18,786,047    494,630        X       X   28-5284   170093     320058     4479
                                                         337,984      8,899        X           28-1500                8899
                                                          22,370        589        X           28-4580      589
                                                         169,163      4,454        X       X   28-4580     3254       1200
READERS DIGEST ASSN INC   COM             755267101       34,462      2,362        X           28-5284     2362
REALNETWORKS INC          COM             75605L104       17,009      3,650        X           28-5284     3650
                                                          10,438      2,240        X       X   28-5284     2040                 200
RECKSON ASSOCS RLTY CORP  COM             75621K106      179,343      6,238        X       X   28-5284      238       6000
RECKSON ASSOCS RLTY CORP  PFD CV SER A%   75621K205       19,030        728        X       X   28-5284      728
RED HAT INC               COM             756577102      122,606     10,025        X           28-5284    10025
                                                          10,090        825        X       X   28-5284      125        700
                                                       1,544,710    126,305        X                     126305
REDBACK NETWORKS INC      COM NEW         757209507           73         14        X           28-5284       14
                                                              73         14        X       X   28-5284       14
REDWOOD TR INC            COM             758075402       18,726        300        X           28-5284      300
                                                         124,840      2,000        X       X   28-5284                2000
REED ELSEVIER N V         SPONSORED ADR   758204101        7,770        300        X       X   28-5284                 300
REGENERATION TECH INC
   DEL                    COM             75886N100        5,815        725        X       X   28-1500      725
REGIS CORP MINN           COM             758932107       36,198        900        X           28-5284      900
REGIONS FINANCIAL CORP
   NEW                    COM             7591EP100    6,054,542    183,138        X           28-5284   170088               13050
                                                       1,007,900     30,487        X       X   28-5284    29987        500
                                                       7,332,708    221,800        X           28-1500   221800
                                                         226,031      6,837        X       X   28-1500     6837
REHABCARE GROUP INC       COM             759148109       11,515        500        X           28-5284      500
REINSURANCE GROUP AMER
   INC                    COM             759351109       82,400      2,000        X       X   28-5284     2000
RELIANT ENERGY INC        COM             75952B105       32,627      3,497        X           28-5284     3497
                                                         258,805     27,739        X       X   28-5284     3674        728    23337
0           COLUMN TOTAL                              45,263,306
0
0
0




1                                                               FILE NO. 28-1235
PAGE 147 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
RENAL CARE GROUP INC      COM             759930100       50,279      1,560        X           28-5284     1560
                                                         503,433     15,620        X       X   28-5284    15620
RENT A CTR INC NEW        COM             76009N100       48,617      1,880        X           28-5284     1880
RENT WAY INC              COM             76009U104          685        100        X       X   28-5284      100
REPSOL YPF S A            SPONSORED ADR   76026T205       28,606      1,305        X           28-5284     1305
REPUBLIC BANCORP KY       CL A            760281204      427,506     18,427        X           28-5284    14227                4200
                                                          97,881      4,219        X           28-1500       19       4200
REPUBLIC FIRST BANCORP
   INC                    COM             760416107       35,970      2,750        X           28-5284     2750
                                                          78,480      6,000        X       X   28-5284                6000
REPUBLIC SVCS INC         COM             760759100       29,462        990        X           28-5284      990
                                                           5,952        200        X       X   28-5284      200
RES-CARE INC              COM             760943100      823,160     69,465        X           28-5284    69465
                                                           8,888        750        X       X   28-5284      750
                                                          11,329        956        X           28-1500      956
RESEARCH IN MOTION LTD    COM             760975102       30,536        400        X           28-5284      400
                                                           7,634        100        X       X   28-5284      100
                                                         404,602      5,300        X       X   28-1500     5300
RESMED INC                COM             761152107       11,284        237        X           28-5284      237
RESOURCE AMERICA INC      CL A            761195205       70,345      2,982        X       X   28-5284     2982
RESPIRONICS INC           COM             761230101      502,336      9,400        X           28-5284     9400
                                                         625,248     11,700        X       X   28-5284    11300                 400
REUNION INDS INC          COM             761312107        1,485      4,500        X           28-5284     4500
REUTERS GROUP PLC         SPONSORED ADR   76132M102      110,859      3,251        X           28-5284     2038                1213
                                                          45,353      1,330        X       X   28-5284      830        500
REYNOLDS & REYNOLDS CO    CL A            761695105      959,293     38,885        X           28-5284    38885
REYNOLDS AMERICAN INC     COM             761713106      372,519      5,475        X           28-5284     5475
                                                         263,655      3,875        X       X   28-5284     3666        209
                                                           6,192         91        X           28-4580       91
0           COLUMN TOTAL                               5,561,589
0
0
0




1                                                               FILE NO. 28-1235
PAGE 148 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
RICHARDSON ELECTRS LTD    SDCV 7.250%12   763165AB3    3,860,000     38,600        X           28-5284    38600
RICHARDSON ELECTRS LTD    SDCV 8.250% 6   763165AC1   19,140,000    191,400        X           28-5284   191400
                                                       3,300,000     33,000        X       X   28-5284               33000
RIO NARCEA GOLD MINES
   INC                    COM             766909105       13,657      5,529        X           28-5284     5529
RIO TINTO PLC             SPONSORED ADR   767204100       15,537        143        X           28-5284      143
                                                         222,733      2,050        X       X   28-5284     2050
RITE AID CORP             COM             767754104      114,400     32,500        X           28-5284    31000                1500
                                                          90,992     25,850        X       X   28-5284    12850               13000
RIVIERA HLDGS CORP        COM             769627100        3,667        190        X       X   28-4580       20                 170
ROANOKE ELEC STL CORP     COM             769841107       90,932      6,350        X       X   28-5284     6350
ROBERT HALF INTL INC      COM             770323103        4,974        193        X           28-5284      193
ROCKFORD CORP             COM             77316P101        2,268        600        X           28-5284      600
ROCKWELL AUTOMATION INC   COM             773903109    1,048,654     27,097        X           28-5284    27097
                                                       1,223,655     31,619        X       X   28-5284    14139      10175     7305
ROCKWELL COLLINS INC      COM             774341101      899,939     24,231        X           28-5284    24231
                                                       1,000,663     26,943        X       X   28-5284     9463      10175     7305
ROCKY SHOES & BOOTS INC   COM             774830103       14,000        800        X       X   28-1500      800
ROFIN SINAR TECHNOLOGIES
   INC                    COM             775043102        8,814        300        X           28-5284      300
ROHM & HAAS CO            COM             775371107    1,258,634     29,291        X           28-5284    29291
                                                       4,268,726     99,342        X       X   28-5284    19787      79555
                                                         139,266      3,241        X       X   28-4580     3241
ROLLINS INC               COM             775711104       25,747      1,060        X           28-5284     1060
                                                          54,653      2,250        X       X   28-5284                2250
ROPER INDS INC NEW        COM             776696106    3,632,621     63,220        X           28-5284    63220
ROSS STORES INC           COM             778296103      123,998      5,290        X           28-5284     5290
                                                           4,688        200        X       X   28-5284      100        100
0           COLUMN TOTAL                              40,563,218
0
0
0




1                                                               FILE NO. 28-1235
PAGE 149 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ROUSE CO                  COM             779273101       87,680      1,311        X       X   28-5284     1311
                                                          23,943        358        X       X   28-4580       30                 328
ROWAN COS INC             COM             779382100       44,352      1,680        X           28-5284     1680
ROXIO INC                 COM             780008108      138,806     27,005        X           28-1500    27005
ROYAL & SUN ALLIANCE INS  SPON ADR NEW    78004V202          793        120        X           28-5284      120
ROYAL BANCSHARES PA INC   CL A            780081105       13,834        570        X       X   28-5284      228        342
ROYAL BK CDA MONTREAL
   QUE                    COM             780087102       56,736      1,200        X           28-5284                         1200
                                                          43,734        925        X       X   28-5284      325        600
                                                          21,040        445        X       X   28-1500      445
ROYAL BK SCOTLAND GROUP
   PLC                    SPON ADR F      780097804       76,860      2,800        X           28-5284     2800
                                                          52,430      1,910        X       X   28-5284      910       1000
ROYAL BK SCOTLAND GROUP
   PLC                    SP ADR PFD K    780097820       24,102        900        X           28-5284      900
                                                          93,730      3,500        X       X   28-5284                3500
ROYAL BK SCOTLAND GROUP
   PLC                    SP ADR PREF J   780097853       25,530      1,000        X       X   28-5284                1000
ROYAL BK SCOTLAND GROUP
   PLC                    SP ADR I PRF I  780097861       34,155      1,350        X           28-5284     1350
                                                         194,810      7,700        X       X   28-5284     2000       5700
ROYAL BK SCOTLAND GROUP
   PLC                    SPON ADR SER H  780097879        8,841        350        X           28-5284      350
                                                         245,022      9,700        X       X   28-5284                9700
ROYAL BK SCOTLAND GROUP
   PLC                    SPON ADR PRF G  780097887       10,144        400        X       X   28-5284      400
ROYAL DUTCH PETE CO       NY REG EUR .56  780257804   34,173,803    662,283        X           28-5284   615575      18831    27877
                                                      65,579,162  1,270,914        X       X   28-5284   975148     256017    39749
                                                          79,980      1,550        X           28-1500                1550
                                                         679,211     13,163        X           28-4580    13013                 150
                                                         698,664     13,540        X       X   28-4580     9780       3400      360
ROYAL GOLD INC            COM             780287108       17,080      1,000        X           28-5284     1000
                                                          10,607        621        X       X   28-5284      621
                                                          34,160      2,000        X       X   28-1500     2000
0           COLUMN TOTAL                             102,469,209
0
0
0




1                                                               FILE NO. 28-1235
PAGE 150 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ROYCE VALUE TR INC        COM             780910105      176,016      9,795        X           28-5284     9795
                                                           7,799        434        X       X   28-5284                 434
                                                          31,412      1,748        X       X   28-1500     1748
RUBY TUESDAY INC          COM             781182100       48,773      1,750        X           28-5284     1750
                                                         260,640      9,352        X       X   28-5284                9352
RYDER SYS INC             COM             783549108      159,748      3,396        X           28-5284     3396
RYDEX ETF TRUST           S&P 500 EQ TRD  78355W106      225,860      1,620        X           28-5284     1620
                                                         125,617        901        X       X   28-5284       76        825
RYERSON TULL INC NEW      COM             78375P107       34,340      2,000        X       X   28-5284     2000
RYLAND GROUP INC          COM             783764103       64,862        700        X       X   28-5284      500        200
S & T BANCORP INC         COM             783859101      138,162      3,869        X           28-5284     2734                1135
                                                       2,513,984     70,400        X       X   28-5284    70200                 200
SBC COMMUNICATIONS INC    COM             78387G103   30,073,585  1,158,905        X           28-5284  1055112      35086    68707
                                                      29,431,763  1,134,172        X       X   28-5284   714369     372088    47715
                                                         364,831     14,059        X           28-1500       20      14039
                                                         898,078     34,608        X           28-4580    33163                1445
                                                       1,941,735     74,826        X       X   28-4580    70011       2515     2300
SCP POOL CORP             COM             784028102       20,724        775        X           28-5284      775
SEI INVESTMENTS CO        COM             784117103    5,488,324    162,955        X           28-5284   114160               48795
                                                       3,145,712     93,400        X       X   28-5284    90700                2700
                                                          40,888      1,214        X           28-1500     1214
SEMCO ENERGY INC          COM             78412D109        1,098        200        X       X   28-5284      200
SFBC INTL INC             COM             784121105      631,440     24,000        X       X   28-5284    24000
SK TELECOM LTD            SPONSORED ADR   78440P108        1,459         75        X           28-5284       75
SL GREEN RLTY CORP        COM             78440X101       31,086        600        X       X   28-5284      600
SLM CORP                  COM             78442P106      752,714     16,877        X           28-5284     9877                7000
                                                       1,060,320     23,774        X       X   28-5284     5874       5100    12800
                                                      37,281,140    835,900        X                     835900
0           COLUMN TOTAL                             114,952,110
0
0
0




1                                                               FILE NO. 28-1235
PAGE 151 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
SPDR TR                   UNIT SER 1      78462F103  345,584,160  3,092,199        X           28-5284  2821952      40534   229713
                                                     109,957,535    983,872        X       X   28-5284   649027     299909    34936
                                                          54,762        490        X       X   28-1500      490
                                                       9,747,484     87,218        X           28-4580    86218                1000
                                                       1,368,613     12,246        X       X   28-4580     9746       2500
SPSS INC                  COM             78462K102        1,506        113        X           28-5284      113
                                                           2,439        183        X       X   28-5284      183
S1 CORPORATION            COM             78463B101        2,171        272        X           28-1500      272
SPX CORP                  COM             784635104      184,292      5,206        X           28-5284     1806       2000     1400
                                                         158,026      4,464        X       X   28-5284     1674       2790
SVB FINL SVCS INC         COM             784869109       62,993      3,529        X       X   28-5284     3529
S Y BANCORP INC           COM             785060104      154,559      6,848        X           28-5284     5448                1400
                                                         228,950     10,144        X       X   28-5284    10144
                                                          22,570      1,000        X           28-1500                1000
SABRE HLDGS CORP          CL A            785905100        1,030         42        X           28-5284       42
                                                           2,649        108        X       X   28-5284      108
SAFECO CORP               COM             786429100   33,962,231    743,970        X           28-5284   706440       4210    33320
                                                       7,081,821    155,133        X       X   28-5284   103892      42396     8845
                                                         967,917     21,203        X           28-4580    20152                1051
                                                         155,621      3,409        X       X   28-4580     2919        490
SAFEGUARD SCIENTIFICS
   INC                    COM             786449108      120,148     64,250        X           28-5284    64050                 200
                                                           5,610      3,000        X       X   28-5284      200                2800
                                                           1,122        600        X       X   28-1500      600
SAFENET INC               COM             78645R107        2,031         77        X           28-5284       77
                                                           8,864        336        X       X   28-5284      336
SAFEWAY INC               COM NEW         786514208      539,328     27,930        X           28-5284    27915         15
                                                         331,553     17,170        X       X   28-5284    12195       4975
                                                           7,724        400        X       X   28-1500      400
                                                           2,510        130        X           28-4580      130
                                                           5,793        300        X       X   28-4580      100        200
SAGA COMMUNICATIONS       CL A            786598102       32,205      1,900        X           28-5284     1900
0           COLUMN TOTAL                             510,758,217
0
0
0




1                                                               FILE NO. 28-1235
PAGE 152 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
ST JOE CO                 COM             790148100      119,425      2,500        X           28-5284     2500
ST JUDE MED INC           COM             790849103      167,099      2,220        X           28-5284     2175                  45
                                                          26,345        350        X       X   28-5284                          350
ST PAUL TRAVELERS INC     COM             792860108   20,701,081    626,167        X           28-5284   608703       2908    14556
                                                       7,342,328    222,091        X       X   28-5284   160984      42164    18943
                                                         202,096      6,113        X           28-1500                6113
                                                         278,266      8,417        X           28-4580     8417
                                                          33,920      1,026        X       X   28-4580      554        472
ST PAUL TRAVELERS INC     EQUITY UNIT     792860306      122,740      2,000        X           28-5284     2000
SAKS INC                  COM             79377W108        2,410        200        X           28-5284      200
SALEM COMMUNICATIONS
   CORP DE                CL A            794093104       10,128        400        X       X   28-5284      400
SALOMON BROS HIGH INCOME
   FD                     COM             794907105       23,163      1,927        X       X   28-5284     1927
SALOMON BR GLBL PRTNRS
   INC F                  COM             794914101        8,364        600        X           28-5284      600
                                                           4,182        300        X       X   28-5284      300
SALISBURY BANCORP INC     COM             795226109        8,610        200        X           28-5284      200
SALOMON BROTHERS FD INC   COM             795477108      101,211      8,498        X           28-5284     4400                4098
                                                         211,534     17,761        X       X   28-5284    14761                3000
SALOMON BROS WORLDWIDE
   INCOM                  COM             79548T109       38,136      2,400        X           28-5284     2400
SALTON INC                COM             795757103          630        100        X           28-5284      100
SAMARITAN
   PHARMACEUTICALS        COM             79586Q108       55,575     47,500        X           28-5284    47500
SAN JUAN BASIN RTY TR     UNIT BEN INT    798241105      165,059      5,410        X           28-5284     5410
                                                         147,180      4,824        X       X   28-5284     2400        424     2000
SAN PAOLO-IMI S P A       SPONSORED ADR   799175104        2,938        130        X           28-5284      130
SANDERSON FARMS INC       COM             800013104        2,040         61        X           28-5284       61
                                                          11,708        350        X       X   28-5284                 350
SANDISK CORP              COM             80004C101      256,256      8,800        X           28-5284     8800
                                                          11,648        400        X       X   28-5284      400
0           COLUMN TOTAL                              30,054,072
0
0
0




1                                                               FILE NO. 28-1235
PAGE 153 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
SANDY SPRING BANCORP INC  COM             800363103       49,606      1,517        X           28-5284     1517
SANMINA SCI CORP          COM             800907107       42,053      5,965        X           28-5284     3245                2720
                                                          14,805      2,100        X       X   28-5284     1100                1000
                                                           5,753        816        X       X   28-1500      816
SANOFI AVENTIS            SPONSORED ADR   80105N105       15,230        416        X           28-5284      416
                                                          95,955      2,621        X       X   28-5284      301                2320
SANTA FE ENERGY TR        RCPT DEP UNITS  802013102       17,760        600        X           28-5284      600
                                                           5,920        200        X       X   28-5284      200
SANYO ELEC LTD            ADR 5 COM       803038306        3,308        200        X       X   28-5284      200
SAP AKTIENGESELLSCHAFT    SPONSORED ADR   803054204      414,818     10,650        X           28-5284    10650
                                                          85,690      2,200        X       X   28-5284     2200
SAPIENT CORP              COM             803062108       16,023      2,100        X       X   28-1500     2100
SARA LEE CORP             COM             803111103   33,850,768  1,480,786        X           28-5284  1380963      33404    66419
                                                      27,950,419  1,222,678        X       X   28-5284   980652     215996    26030
                                                          17,054        746        X           28-1500      746
                                                         131,422      5,749        X       X   28-1500     5749
                                                         150,625      6,589        X           28-4580     6589
                                                         816,102     35,700        X       X   28-4580    35700
SATYAM COMPUTER SERVICES
   LTD                    ADR             804098101       92,480      4,000        X       X   28-5284     4000
SCANA CORP NEW            COM             80589M102      409,022     10,954        X           28-5284    10734        220
                                                         112,954      3,025        X       X   28-5284     2625                 400
SCANSOURCE INC            COM             806037107      618,860      9,700        X       X   28-5284     9700
SCHEIN HENRY INC          COM             806407102       62,310      1,000        X           28-5284     1000
                                                          85,676      1,375        X       X   28-1500     1375
SCHERING A G              SPONSORED ADR   806585204        3,451         55        X           28-5284       55
SCHERING PLOUGH CORP      COM             806605101   17,721,550    929,777        X           28-5284   803314      26135   100328
                                                      13,309,617    698,301        X       X   28-5284   464343     167509    66449
                                                         187,036      9,813        X       X   28-1500     9813
                                                         295,430     15,500        X           28-4580    15500
                                                       1,188,200     62,340        X       X   28-4580    62340
0           COLUMN TOTAL                              97,769,897
0
0
0




1                                                               FILE NO. 28-1235
PAGE 154 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
SCHLUMBERGER LTD          COM             806857108   26,381,145    391,935        X           28-5284   377296       1089    13550
                                                      20,713,710    307,736        X       X   28-5284   192247      89023    26466
                                                          85,753      1,274        X           28-1500     1274
                                                          50,483        750        X       X   28-1500      750
                                                         434,486      6,455        X           28-4580     6455
                                                         123,918      1,841        X       X   28-4580     1700        141
SCHOLASTIC CORP           COM             807066105       30,890      1,000        X           28-5284     1000
SCHWAB CHARLES CORP NEW   COM             808513105      545,068     59,311        X           28-5284    56836                2475
                                                         494,992     53,862        X       X   28-5284    53562        300
                                                          60,406      6,573        X       X   28-1500     6573
SCHWEITZER-MAUDUIT INTL
   INC                    COM             808541106       32,400      1,000        X           28-4580     1000
SCIENTIFIC ATLANTA INC    COM             808655104       55,728      2,150        X           28-5284     2150
                                                         251,424      9,700        X       X   28-5284     9300        400
SCIENTIFIC GAMES CORP     CL A            80874P109       38,200      2,000        X       X   28-5284     2000
SCIENTIFIC LEARNING CORP  COM             808760102       38,640      7,000        X           28-5284     7000
SCOTTISH PWR PLC          SPON ADR FINAL  81013T705       39,352      1,276        X           28-5284     1276
                                                         140,322      4,550        X       X   28-5284     1032       2420     1098
SCOTTS CO                 CL A            810186106       49,652        774        X           28-5284      774
                                                           4,555         71        X       X   28-5284       71
SCRIPPS E W CO OHIO       CL A            811054204       52,558      1,100        X           28-5284      900                 200
                                                         131,873      2,760        X       X   28-5284     2760
SCS TRANSN INC            COM             81111T102        8,997        475        X           28-5284      475
                                                           1,421         75        X       X   28-5284       75
SCUDDER HIGH INCOME TR    SH BEN INT      811153105       89,817     12,492        X           28-5284    12492
SCUDDER MULTI-MARKET
   INCOME                 SH BEN INT      81118Q101        9,936      1,150        X       X   28-5284                1150
SCUDDER MUN INCOME TR     COM SH BEN INT  81118R604       10,200        834        X           28-5284      834
                                                          64,807      5,299        X       X   28-5284     5299
SCUDDER NEW ASIA FD INC   COM             811183102        6,575        500        X           28-5284      500
0           COLUMN TOTAL                              49,947,308
0
0
0




1                                                               FILE NO. 28-1235
PAGE 155 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
SCUDDER STRATEGIC MUN
   INCOME                 COM SH BEN INT  811234103        6,255        500        X           28-5284      500
                                                           1,877        150        X       X   28-5284      150
SEA CONTAINERS LTD        CL A            811371707        1,173         77        X           28-5284       77
SEACOAST BKG CORP FLA     COM             811707306       65,148      3,050        X           28-5284     3050
                                                         253,757     11,880        X       X   28-5284    11880
                                                          35,244      1,650        X       X   28-1500     1650
SEALED AIR CORP NEW       COM             81211K100       48,621      1,049        X           28-5284     1049
                                                         490,059     10,573        X       X   28-5284               10373      200
SEARS ROEBUCK & CO        COM             812387108    1,918,100     48,133        X           28-5284    44686       2124     1323
                                                       4,448,774    111,638        X       X   28-5284    28946      80467     2225
                                                         167,370      4,200        X           28-4580     4200
                                                          67,745      1,700        X       X   28-4580     1700
                                                         410,654     10,305        X                      10305
SELECT SECTOR SPDR TR     SBI MATERIALS   81369Y100      127,722      4,636        X           28-5284     4636
                                                           5,262        191        X       X   28-5284      191
                                                          24,244        880        X           28-4580      880
SELECT SECTOR SPDR TR     SBI HEALTHCARE  81369Y209      110,582      3,841        X           28-5284     3841
                                                          33,252      1,155        X       X   28-5284      700        455
SELECT SECTOR SPDR TR     SBI CONS STPLS  81369Y308       35,024      1,617        X           28-5284     1617
                                                          57,139      2,638        X       X   28-5284     2638
                                                          29,241      1,350        X       X   28-1500     1350
                                                          17,328        800        X       X   28-4580      800
SELECT SECTOR SPDR TR     SBI CONS DISCR  81369Y407      234,905      7,529        X           28-5284     7529
                                                         584,376     18,730        X       X   28-5284    12034       6696
                                                         237,120      7,600        X           28-4580     7600
SELECT SECTOR SPDR TR     SBI INT-ENERGY  81369Y506    5,792,547    165,833        X           28-5284   150596      14812      425
                                                       1,205,749     34,519        X       X   28-5284    28318       6201
                                                          69,860      2,000        X           28-4580     2000
                                                          48,902      1,400        X       X   28-4580     1400
SELECT SECTOR SPDR TR     SBI INT-FINL    81369Y605      424,965     14,932        X           28-5284    13932       1000
                                                          19,922        700        X       X   28-5284      700
                                                          11,526        405        X       X   28-1500      405
                                                         322,594     11,335        X           28-4580    11335
0           COLUMN TOTAL                              17,307,037
0
0
0




1                                                               FILE NO. 28-1235
PAGE 156 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
SELECT SECTOR SPDR TR     SBI INT-INDS    81369Y704      113,946      4,015        X           28-5284     4015
                                                         512,656     18,064        X       X   28-5284     2368       6296     9400
                                                         221,364      7,800        X           28-4580     6800                1000
                                                         735,042     25,900        X       X   28-4580     8400      17500
SELECT SECTOR SPDR TR     SBI INT-TECH    81369Y803    3,570,278    186,730        X           28-5284   145257       4761    36712
                                                       3,446,036    180,232        X       X   28-5284   120989      56243     3000
                                                         370,832     19,395        X           28-4580    19395
                                                         138,199      7,228        X       X   28-4580     6228       1000
SELECT SECTOR SPDR TR     SBI INT-UTILS   81369Y886      885,017     35,330        X           28-5284    34130       1200
                                                         560,243     22,365        X       X   28-5284     9925      12440
                                                          10,646        425        X       X   28-1500      425
                                                          37,575      1,500        X       X   28-4580     1500
SECURE COMPUTING CORP     COM             813705100       68,310      9,000        X           28-5284     9000
SELAS CORP AMER           COM             816119101       44,312     23,200        X           28-5284    23200
                                                             275        144        X       X   28-5284      144
SELECT COMFORT CORP       COM             81616X103       13,650        750        X       X   28-5284      750
SELECT MEDICAL CORP       COM             816196109       13,430      1,000        X           28-5284                         1000
                                                          13,430      1,000        X       X   28-5284     1000
SELECTIVE INS GROUP INC   COM             816300107      178,560      4,800        X           28-5284     4800
                                                         808,877     21,744        X       X   28-5284    21744
                                                       1,413,600     38,000        X       X   28-4580    38000
SELIGMAN QUALITY MUN FD
   INC                    COM             816343107       18,660      1,500        X           28-5284     1500
SELIGMAN SELECT MUN FD
   INC                    COM             816344105       10,760      1,000        X       X   28-5284     1000
SEMICONDUCTOR HLDRS TR    DEP RCPT        816636203       30,240      1,000        X           28-5284     1000
SEMTECH CORP              COM             816850101        5,751        300        X           28-5284      300
SEMPRA ENERGY             COM             816851109      119,065      3,290        X           28-5284     3290
                                                         247,214      6,831        X       X   28-5284     5629        300      902
                                                           9,084        251        X       X   28-4580      251
SEMITOOL INC              COM             816909105        2,277        300        X       X   28-5284      300
0           COLUMN TOTAL                              13,599,329
0
0
0




1                                                               FILE NO. 28-1235
PAGE 157 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
SENIOR HIGH INCOME
   PORTFOLIO              COM             81721E107       26,713      4,467        X           28-5284     4467
SENIOR HSG PPTYS TR       SH BEN INT      81721M109       22,097      1,240        X           28-5284     1240
                                                          13,365        750        X       X   28-5284      750
SENSIENT TECHNOLOGIES
   CORP                   COM             81725T100       29,214      1,350        X           28-5284     1350
SEPRACOR INC              COM             817315104      125,852      2,580        X           28-5284     2130                 450
SERENA SOFTWARE INC       COM             817492101        1,640         98        X           28-1500       98
SERONO S A                SPONSORED ADR   81752M101      781,907     51,005        X           28-5284    51005
                                                          41,391      2,700        X       X   28-5284      500                2200
SERVICE CORP INTL         COM             817565104       72,657     11,700        X           28-5284    10200                1500
                                                          37,806      6,088        X       X   28-5284     5888        200
                                                         130,410     21,000        X       X   28-1500    21000
SERVICEMASTER CO          COM             81760N109       91,563      7,120        X           28-5284     7120
                                                          81,610      6,346        X       X   28-5284     6096        250
7-ELEVEN INC              COM NEW         817826209       39,960      2,000        X           28-5284     2000
                                                           4,795        240        X       X   28-5284      240
SHAW GROUP INC            COM             820280105      148,560     12,380        X           28-5284    12380
SHELL TRANS & TRADING
   PLC                    ADR NY SHS NEW  822703609      746,833     16,779        X           28-5284    14880         71     1828
                                                       1,920,517     43,148        X       X   28-5284    39848       3300
                                                           6,677        150        X       X   28-1500      150
                                                         295,546      6,640        X           28-4580     6640
SHERWIN WILLIAMS CO       COM             824348106   11,690,503    265,935        X           28-5284   148935              117000
                                                       8,287,559    188,525        X       X   28-5284   176775       8350     3400
                                                          73,633      1,675        X       X   28-1500     1675
                                                         272,552      6,200        X       X   28-4580     6200
SHIRE PHARMACEUTICALS
   GRP PL                 SPONSORED ADR   82481R106       29,911      1,044        X           28-5284       44                1000
SHORE BANCSHARES INC      COM             825107105    2,567,393     88,348        X       X   28-5284    88348
SHUFFLE MASTER INC        COM             825549108        7,867        210        X           28-5284                          210
0           COLUMN TOTAL                              27,548,531
0
0
0




1                                                               FILE NO. 28-1235
PAGE 158 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
SIEBEL SYS INC            COM             826170102      290,328     38,505        X           28-5284    38505
                                                         335,530     44,500        X       X   28-5284    16100       6400    22000
SIEMENS A G               SPONSORED ADR   826197501      120,131      1,630        X           28-5284     1055                 575
                                                          11,055        150        X       X   28-5284      150
SIERRA HEALTH SVCS INC    COM             826322109        3,020         63        X           28-5284       63
SIERRA PAC RES            COM             826425100            0        500        X           28-5284      500
SIGMA ALDRICH CORP        COM             826552101      483,024      8,328        X           28-5284     8178        150
                                                       1,096,200     18,900        X       X   28-5284    17200       1700
SILICON LABORATORIES INC  COM             826919102       45,995      1,390        X           28-5284     1390
                                                          16,545        500        X       X   28-5284                          500
SILICON GRAPHICS INC      COM             827056102          202        140        X           28-5284      140
                                                              63         44        X       X   28-5284       44
SILICON STORAGE
   TECHNOLOGY I           COM             827057100        6,370      1,000        X       X   28-5284                         1000
SILICON VY BANCSHARES     COM             827064106       30,479        820        X           28-5284      820
SIMON PPTY GROUP INC NEW  COM             828806109      620,070     11,562        X           28-5284    11087                 475
                                                         803,914     14,990        X       X   28-5284    13100       1890
                                                          19,414        362        X       X   28-4580       42                 320
SIRENZA MICRODEVICES INC  COM             82966T106          649        153        X           28-5284      153
SIRIUS SATELLITE RADIO
   INC                    COM             82966U103       48,048     15,015        X           28-5284    15015
                                                          39,568     12,365        X       X   28-5284    11365                1000
                                                         135,245     42,264        X           28-1500    23514      18750
                                                          16,000      5,000        X           28-4580     5000
                                                          35,200     11,000        X                      11000
SIZELER PPTY INVS INC     COM             830137105        4,650        500        X       X   28-5284                 500
SKY FINL GROUP INC        COM             83080P103      360,050     14,402        X           28-5284    14402
                                                       1,094,050     43,762        X       X   28-5284    37362       6000      400
SKYWORKS SOLUTIONS INC    COM             83088M102       15,377      1,622        X           28-5284     1384                 238
                                                          35,370      3,731        X       X   28-5284     2814        469      448
                                                          96,905     10,222        X           28-1500    10222
0           COLUMN TOTAL                               5,763,452
0
0
0




1                                                               FILE NO. 28-1235
PAGE 159 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
SLADES FERRY BANCORP      COM             830896106       13,307        700        X           28-5284      700
SMITH & NEPHEW PLC        SPDN ADR NEW    83175M205       23,175        500        X           28-5284                          500
                                                         101,970      2,200        X       X   28-5284                2200
SMITH A O                 COM             831865209       68,545      2,815        X           28-5284     2815
                                                          14,610        600        X       X   28-5284                          600
SMITH INTL INC            COM             832110100    5,451,671     89,769        X           28-5284    67139       1600    21030
                                                         944,716     15,556        X       X   28-5284    12345       2561      650
                                                         113,869      1,875        X           28-4580     1762                 113
                                                           8,441        139        X       X   28-4580      139
SMITHFIELD FOODS INC      COM             832248108       15,625        625        X           28-5284      625
SMUCKER J M CO            COM NEW         832696405    5,668,892    127,649        X           28-5284   114600         96    12953
                                                       1,658,403     37,343        X       X   28-5284    24264      12096      983
                                                          22,027        496        X       X   28-1500      496
                                                             178          4        X           28-4580        4
                                                          15,588        351        X       X   28-4580      202                 149
SMURFIT-STONE CONTAINER
   CORP                   COM             832727101      179,308      9,257        X           28-5284     9257
                                                         125,905      6,500        X       X   28-5284     6500
SNAP ON INC               COM             833034101       44,096      1,600        X           28-5284      600                1000
                                                          23,150        840        X       X   28-5284      390        450
SOCKET COMMUNICATIONS
   INC                    COM             833672108       80,920     34,000        X           28-5284    34000
SOHU COM INC              COM             83408W103        1,663        100        X       X   28-1500      100
SOLECTRON CORP            COM             834182107      643,277    129,955        X           28-5284    56455               73500
                                                           9,653      1,950        X       X   28-5284     1950
                                                           1,599        323        X       X   28-1500      323
SONIC CORP                COM             835451105       37,471      1,462        X           28-5284                         1462
                                                           3,845        150        X       X   28-5284      150
SONOCO PRODS CO           COM             835495102    1,813,044     68,572        X           28-5284    66572       2000
                                                         433,801     16,407        X       X   28-5284    11441        577     4389
SONY CORP                 ADR NEW         835699307      121,741      3,540        X           28-5284     2985                 555
                                                         227,318      6,610        X       X   28-5284     6610
0           COLUMN TOTAL                              17,867,808
0
0
0




1                                                               FILE NO. 28-1235
PAGE 160 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
SOTHEBYS HLDGS INC        CL A            835898107       85,831      5,460        X           28-5284     5460
SONUS NETWORKS INC        COM             835916107        5,630      1,000        X       X   28-5284     1000
SOURCE CAP INC            COM             836144105      449,369      6,708        X           28-5284     6708
SOUTH FINL GROUP INC      COM             837841105    6,325,260    224,300        X           28-1500   224300
SOUTH JERSEY INDS INC     COM             838518108      474,635      9,940        X           28-5284     9940
                                                       1,207,120     25,280        X       X   28-5284    25280
SOUTHERN CO               COM             842587107    7,677,368    256,083        X           28-5284   231308       1200    23575
                                                      11,335,618    378,106        X       X   28-5284   257550      56005    64551
                                                         391,599     13,062        X           28-1500               13062
                                                         294,943      9,838        X           28-4580     8038                1800
                                                         306,575     10,226        X       X   28-4580     6726                3500
SOUTHERN CMNTY FINL CORP
   VA                     COM             84263N105      382,400     32,000        X       X   28-5284    32000
SOUTHERN CMNTY FINL CORP
   VA                     *W EXP 99/99/9  84263N113       23,400     12,000        X       X   28-5284    12000
SOUTHERN UN CO NEW        COM             844030106      257,193     12,546        X           28-5284    12546
                                                          69,229      3,377        X       X   28-5284     2242         85     1050
SOUTHSIDE BANCSHARES INC  COM             84470P109      123,748      6,078        X       X   28-5284     6078
SOUTHTRUST CORP           COM             844730101   13,998,885    336,027        X           28-5284   336027
                                                         261,417      6,275        X       X   28-5284     1275       5000
SOUTHWEST AIRLS CO        COM             844741108      357,035     26,214        X           28-5284    23571                2643
                                                         294,192     21,600        X       X   28-5284    10488       5700     5412
                                                           5,108        375        X       X   28-1500      375
                                                          95,844      7,037        X       X   28-4580     4000       3037
SOUTHWEST BANCORPORATION
   TEX                    COM             84476R109        4,028        200        X       X   28-5284      200
SOUTHWEST WTR CO          COM             845331107       70,866      5,785        X           28-5284                5785
                                                          65,819      5,373        X       X   28-5284     5373
                                                           6,125        500        X       X   28-1500      500
SOUTHWESTERN ENERGY CO    COM             845467109        4,661        111        X           28-5284      111
                                                          19,315        460        X       X   28-5284      160                 300
                                                         125,970      3,000        X       X   28-4580     3000
0           COLUMN TOTAL                              44,719,183
0
0
0




1                                                               FILE NO. 28-1235
PAGE 161 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
SOVEREIGN BANCORP INC     COM             845905108      775,570     35,544        X           28-5284    35544
                                                       1,021,591     46,819        X       X   28-5284    14534      29944     2341
                                                          10,910        500        X       X   28-4580      500
                                                       1,490,306     68,300        X                      68300
SPECTRASITE INC           COM             84761M104        4,650        100        X       X   28-5284      100
SPECTRUM CTL INC          COM             847615101          711        100        X           28-5284      100
SPINNAKER EXPL CO         COM             84855W109        3,504        100        X       X   28-5284      100
SPRINT CORP               COM FON         852061100    4,341,840    215,690        X           28-5284   168249       7455    39986
                                                       6,708,846    333,276        X       X   28-5284   154485     167761    11030
                                                          13,809        686        X           28-4580      686
                                                          18,600        924        X       X   28-4580      924
SS&C TECHNOLOGIES INC     COM             85227Q100        9,765        500        X       X   28-5284                          500
STAAR SURGICAL CO         COM PAR $0.01   852312305          149         45        X           28-1500       45
STANCORP FINL GROUP INC   COM             852891100        3,702         52        X           28-5284       52
STANDARD MICROSYSTEMS
   CORP                   COM             853626109        1,663         95        X           28-5284       95
STANLEY FURNITURE INC     COM NEW         854305208        2,772         63        X           28-5284       63
STANLEY WKS               COM             854616109      157,361      3,700        X           28-5284     3100        600
                                                         129,929      3,055        X       X   28-5284     2105        150      800
STAPLES INC               COM             855030102    3,463,861    116,159        X           28-5284    58809               57350
                                                       2,417,537     81,071        X       X   28-5284    75145       2836     3090
                                                          12,942        434        X           28-1500      434
                                                         179,099      6,006        X       X   28-1500     6006
STAR GAS PARTNERS L P     UNIT LTD PARTN  85512C105       26,292      1,200        X           28-5284     1200
                                                          26,292      1,200        X       X   28-5284     1200
                                                          36,152      1,650        X       X   28-1500     1650
STARBUCKS CORP            COM             855244109      356,088      7,833        X           28-5284     6033                1800
                                                         222,754      4,900        X       X   28-5284     3400       1000      500
                                                         129,288      2,844        X       X   28-1500     2844
                                                          23,912        526        X       X   28-4580      100                 426
STARTEK INC               COM             85569C107        3,136        100        X       X   28-1500      100
0           COLUMN TOTAL                              21,593,031
0
0
0




1                                                               FILE NO. 28-1235
PAGE 162 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
STATE AUTO FINL CORP      COM             855707105        2,895        100        X           28-5284      100
STARWOOD HOTELS&RESORTS
   WRLD                   PAIRED CTF      85590A203      740,028     15,942        X           28-5284    15942
                                                         107,973      2,326        X       X   28-5284     1648         78      600
STATE STR CORP            COM             857477103    4,433,469    103,804        X           28-5284    99204       4600
                                                      12,563,061    294,148        X       X   28-5284   271675      20663     1810
                                                          44,119      1,033        X           28-4580     1033
                                                         358,764      8,400        X       X   28-4580     2400       6000
STATION CASINOS INC       COM             857689103        1,716         35        X       X   28-4580        3                  32
STATOIL ASA               SPONSORED ADR   85771P102        1,401         97        X           28-5284       97
STEAK N SHAKE CO          COM             857873103       40,992      2,400        X           28-5284     2400
                                                           1,708        100        X       X   28-5284                 100
STEEL DYNAMICS INC        COM             858119100       30,896        800        X           28-5284      800
                                                         521,370     13,500        X       X   28-5284    13500
STEEL TECHNOLOGIES INC    COM             858147101          845         33        X           28-1500       33
STEELCLOUD INC            COM             85815M107          450        200        X       X   28-1500      200
STEELCASE INC             CL A            858155203       42,000      3,000        X           28-5284                         3000
STERLING BANCSHARES INC   COM             858907108       10,088        750        X           28-5284      750
STERICYCLE INC            COM             858912108       82,620      1,800        X           28-5284     1800
STERIS CORP               COM             859152100       73,170      3,335        X           28-5284     3335
                                                           6,582        300        X       X   28-5284      100                 200
STERLING FINL CORP        COM             859317109       67,100      2,500        X           28-5284     2500
STEWART ENTERPRISES INC   CL A            860370105        8,340      1,200        X           28-5284     1200
STEWART INFORMATION SVCS
   COR                    COM             860372101        4,649        118        X       X   28-5284      118
STIFEL FINL CORP          COM             860630102        2,391        122        X           28-5284      122
STORA ENSO CORP           SPON ADR REP R  86210M106      205,764     15,208        X           28-5284    15208
0           COLUMN TOTAL                              19,352,391
0
0
0




1                                                               FILE NO. 28-1235
PAGE 163 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
STORAGE TECHNOLOGY CORP   COM PAR $0.10   862111200       95,357      3,775        X           28-5284     3555        220
                                                          27,786      1,100        X       X   28-5284      100                1000
STRATEGIC DIAGNOSTICS
   INC                    COM             862700101        8,520      4,000        X           28-5284     4000
                                                             724        340        X       X   28-5284      340
STRATEX NETWORKS INC      COM             86279T109       36,960     16,500        X       X   28-5284    16500
STRATTEC SEC CORP         COM             863111100      263,982      4,240        X       X   28-5284     4240
STRATUS PPTYS INC         COM NEW         863167201        1,060         80        X       X   28-5284                           80
STRAYER ED INC            COM             863236105          575          5        X           28-5284        5
STREETTRACKS SER TR       WILSHIRE REIT   86330E604      619,780      3,764        X           28-5284     2829                 935
                                                         919,626      5,585        X       X   28-5284     3842                1743
STRYKER CORP              COM             863667101   69,192,313  1,439,108        X           28-5284  1342696      27527    68885
                                                      32,038,829    666,365        X       X   28-5284   450817     170318    45230
                                                          49,619      1,032        X           28-1500      232        800
                                                       1,151,949     23,959        X           28-4580    23111                 848
                                                         332,521      6,916        X       X   28-4580     5332       1260      324
STURGIS BANCORP INC       COM             864087101        6,853        472        X           28-1500      472
STURM RUGER & CO INC      COM             864159108        3,604        400        X           28-5284      400
SUBURBAN PROPANE
   PARTNERS L             UNIT LTD PARTN  864482104       31,050        900        X           28-5284      900
SUMMIT PPTYS INC          COM             866239106       64,920      2,400        X       X   28-5284      800       1600
SUN BANCORP INC           COM             86663B102       35,834      1,634        X       X   28-5284     1634
                                                      11,031,689    503,041        X           28-1500   503041
SUN INC                   SDCV  6.750% 6  866762AG2    1,700,000     10,000        X       X   28-5284    10000
SUN LIFE FINL INC         COM             866796105    1,610,685     53,618        X           28-5284    40543               13075
                                                         103,758      3,454        X       X   28-5284     2802        652
0           COLUMN TOTAL                             119,327,994
0
0
0




1                                                               FILE NO. 28-1235
PAGE 164 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
SUN MICROSYSTEMS INC      COM             866810104    1,025,037    253,722        X           28-5284   243007       4500     6215
                                                         607,143    150,283        X       X   28-5284    83252      50585    16446
                                                           9,389      2,324        X           28-1500                2324
                                                             323         80        X           28-4580       80
                                                           6,868      1,700        X       X   28-4580     1700
SUNCOR ENERGY INC         COM             867229106      325,414     10,166        X           28-5284     8166                2000
                                                         128,040      4,000        X       X   28-5284     4000
                                                          16,005        500        X           28-1500                 500
                                                           9,603        300        X       X   28-4580      300
SUNGARD DATA SYS INC      COM             867363103   30,900,976  1,299,999        X           28-5284  1219639      12705    67655
                                                      12,646,757    532,047        X       X   28-5284   320810     191492    19745
                                                         507,703     21,359        X           28-4580    20403                 956
                                                         215,095      9,049        X       X   28-4580     6879       2170
SUNOCO LOGISTICS PRTNRS
   L P                    COM UNITS       86764L108      118,020      3,000        X           28-5284                         3000
                                                         397,334     10,100        X       X   28-5284               10100
SUNOCO INC                COM             86764P109      422,204      5,707        X           28-5284     5707
                                                       2,457,320     33,216        X       X   28-5284    25265       7951
SUNTRUST BKS INC          COM             867914103    3,335,885     47,378        X           28-5284    45558                1820
                                                       4,642,272     65,932        X       X   28-5284    45542      18700     1690
                                                           3,521         50        X           28-4580       50
SUPERIOR INDS INTL INC    COM             868168105        2,995        100        X           28-5284      100
                                                          35,940      1,200        X       X   28-5284      200                1000
                                                          29,950      1,000        X           28-4580     1000
SUPERVALU INC             COM             868536103       84,220      3,057        X           28-5284                         3057
SUSQUEHANNA BANCSHARES
   INC P                  COM             869099101       23,370        950        X           28-5284      950
                                                         378,250     15,376        X       X   28-5284     6045       8200     1131
SWIFT ENERGY CO           COM             870738101       14,376        600        X       X   28-5284      600
SWISS HELVETIA FD INC     COM             870875101      142,462     10,925        X       X   28-5284               10925
SWISSCOM AG               SPONSORED ADR   871013108        3,298         95        X           28-5284       95
SYBASE INC                COM             871130100        2,841        206        X           28-5284      206
0           COLUMN TOTAL                              58,492,611
0
0
0




1                                                               FILE NO. 28-1235
PAGE 165 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
SYBRON DENTAL
   SPECIALTIES IN         COM             871142105          119          4        X           28-5284        4
                                                          19,774        666        X       X   28-5284                          666
SYCAMORE NETWORKS INC     COM             871206108          113         30        X           28-5284       30
SYMANTEC CORP             COM             871503108    1,287,759     23,465        X           28-5284    23465
                                                         381,965      6,960        X       X   28-5284     3200       2900      860
                                                         120,791      2,201        X           28-1500     2201
SYMBOL TECHNOLOGIES INC   COM             871508107          796         63        X           28-5284       63
                                                          73,249      5,795        X       X   28-5284     5795
                                                          19,188      1,518        X       X   28-1500     1518
SYMS CORP                 COM             871551107        2,152        200        X           28-5284      200
SYNGENTA AG               SPONSORED ADR   87160A100        9,010        472        X           28-5284      472
SYNOPSYS INC              COM             871607107       45,231      2,870        X           28-5284     2870
SYNOVUS FINL CORP         COM             87161C105   43,070,907  1,647,071        X           28-5284  1277324       1000   368747
                                                       5,311,719    203,125        X       X   28-5284   193625                9500
                                                       3,225,707    123,354        X           28-1500   108103      15251
SYNERGY FINANCIAL GROUP
   INC                    COM             87162V102        5,280        500        X           28-5284      500
SYPRIS SOLUTIONS INC      COM             871655106      221,034     16,193        X           28-1500    12597       3596
SYSCO CORP                COM             871829107   51,206,285  1,711,440        X           28-5284  1649066      12930    49444
                                                      14,306,487    478,158        X       X   28-5284   278588     123218    76352
                                                          54,006      1,805        X       X   28-1500     1805
                                                         330,945     11,061        X           28-4580    11061
                                                         522,194     17,453        X       X   28-4580    11006       6310      137
TCF FINL CORP             COM             872275102      675,406     22,298        X           28-5284    22298
                                                          72,696      2,400        X       X   28-5284     1000                1400
TC PIPELINES LP           UT COM LTD PRT  87233Q108       25,851        700        X           28-5284      700
                                                         147,720      4,000        X       X   28-5284     4000
TCW CONV SECS FD INC      COM             872340104        6,636      1,371        X       X   28-5284     1371
TDK CORP                  AMERN DEP SH    872351408        3,353         50        X           28-5284       50
0           COLUMN TOTAL                             121,146,373
0
0
0




1                                                               FILE NO. 28-1235
PAGE 166 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
TECO ENERGY INC           COM             872375100      344,541     25,465        X           28-5284    21265       4200
                                                         906,131     66,972        X       X   28-5284    22836      37136     7000
                                                          12,177        900        X           28-1500                 900
                                                           3,017        223        X       X   28-4580      223
TEL OFFSHORE TR           UNIT BEN INT    872382106          645        100        X       X   28-5284                 100
TEPPCO PARTNERS L P       UT LTD PARTNER  872384102      451,360     10,850        X           28-5284     9250                1600
                                                         262,080      6,300        X       X   28-5284                6300
                                                          12,480        300        X       X   28-1500      300
THQ INC                   COM NEW         872443403       49,292      2,533        X           28-1500       61       2472
TIB FINL CORP             COM             872449103      205,361      9,305        X       X   28-5284     9305
TJX COS INC NEW           COM             872540109   59,732,676  2,710,194        X           28-5284  2544159      11850   154185
                                                       9,698,393    440,036        X       X   28-5284   297891     120470    21675
                                                       2,181,850     98,995        X           28-1500    98995
                                                       1,306,289     59,269        X           28-4580    57091                2178
                                                         205,765      9,336        X       X   28-4580     8366        970
TVI CORP NEW              COM             872916101        8,130      1,500        X           28-5284     1500
TXU CORP                  COM             873168108      563,923     11,768        X           28-5284    10168                1600
                                                         879,428     18,352        X       X   28-5284     8076      10276
                                                          57,504      1,200        X       X   28-1500     1200
                                                           3,163         66        X       X   28-4580       66
TAIWAN SEMICONDUCTOR MFG
   LTD                    SPONSORED ADR   874039100       10,189      1,427        X           28-5284     1427
                                                           4,755        666        X       X   28-5284      666
                                                         273,462     38,300        X       X   28-1500    38300
TAKE-TWO INTERACTIVE
   SOFTWAR                COM             874054109       14,783        450        X           28-5284      450
                                                           6,603        201        X       X   28-5284      201
TALBOTS INC               COM             874161102          669         27        X           28-5284       27
                                                           2,479        100        X       X   28-5284      100
TALX CORP                 COM             874918105        4,618        200        X       X   28-1500      200
TANGER FACTORY OUTLET
   CTRS I                 COM             875465106        8,956        200        X           28-5284      200
                                                         676,178     15,100        X       X   28-5284    14000       1100
0           COLUMN TOTAL                              77,886,897
0
0
0




1                                                               FILE NO. 28-1235
PAGE 167 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
TARGET CORP               COM             87612E106  166,948,472  3,689,469        X           28-5284  2831643       3544   854282
                                                      10,080,207    222,767        X       X   28-5284   167320      46922     8525
                                                         297,157      6,567        X           28-1500                6567
                                                         224,893      4,970        X           28-4580     4970
                                                       1,276,186     28,203        X       X   28-4580    28203
TASER INTL INC            COM             87651B104       29,101        775        X           28-5284      775
                                                       1,532,040     40,800        X                      40800
TASTY BAKING CO           COM             876553306       27,000      3,375        X           28-5284     3375
                                                           6,000        750        X       X   28-5284      750
TECH DATA CORP            COM             878237106        3,778         98        X           28-5284       98
TECHNITROL INC            COM             878555101       16,575        850        X       X   28-5284      850
TECHNOLOGY SOLUTIONS CO   COM             87872T108        1,720      2,000        X       X   28-5284     2000
TECUMSEH PRODS CO         CL B            878895101       83,763      2,050        X           28-5284     2050
TECUMSEH PRODS CO         CL A            878895200      180,041      4,300        X           28-5284     4300
TEGAL CORP                COM             879008100        1,920      1,500        X           28-5284     1500
TEKELEC                   COM             879101103       16,680      1,000        X       X   28-1500     1000
TEKTRONIX INC             COM             879131100       19,950        600        X           28-5284      600
TELE CENTRO OESTE
   CELULAR S              SPON ADR PFD    87923P105           61          6        X           28-5284        6
TELE NORTE LESTE PART S
   A                      SPON ADR PFD    879246106           26          2        X       X   28-1500        2
TELECOM ITALIA S P A NEW  SPON ADR ORD    87927Y102        3,660        119        X           28-5284      119
TELECOM ARGENTINA S A     SPON ADR REP B  879273209        6,017        551        X           28-5284      551
TELECOM CORP NEW ZEALAND
   LTD                    SPONSORED ADR   879278208        1,909         60        X           28-5284       60
                                                          92,249      2,900        X       X   28-5284     1900                1000
TELECOMUNICACOES
   BRASILEIRAS            SPONSORED ADR   879287308          550         20        X           28-5284       20
TELEDYNE TECHNOLOGIES
   INC                    COM             879360105          701         28        X       X   28-5284                           28
0           COLUMN TOTAL                             180,850,656
0
0
0




1                                                               FILE NO. 28-1235
PAGE 168 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
TELEFLEX INC              COM             879369106    4,084,888     96,115        X           28-5284    54498               41617
                                                       2,384,250     56,100        X       X   28-5284    48800       4500     2800
                                                         246,500      5,800        X       X   28-1500     5800
TELEFONICA S A            SPONSORED ADR   879382208      325,413      7,233        X           28-5284     6233                1000
                                                         469,966     10,446        X       X   28-5284    10446
                                                          69,869      1,553        X       X   28-4580     1553
TELEFONOS DE MEXICO S A   SPON ADR A SHS  879403707       56,735      1,768        X           28-5284     1768
TELEFONOS DE MEXICO S A   SPON ADR ORD L  879403780      134,630      4,172        X           28-5284     4172
                                                          45,178      1,400        X       X   28-5284     1400
TELEKOM AUSTRIA AG        SPONSORED ADR   87943Q109        2,251         80        X           28-5284       80
TELEPHONE & DATA SYS INC  COM             879433100       50,502        600        X           28-5284      600
                                                           8,417        100        X       X   28-5284      100
TELKONET INC              COM             879604106       15,250      5,000        X           28-5284     5000
TELLABS INC               COM             879664100       20,705      2,253        X           28-5284     1653                 600
                                                          12,039      1,310        X       X   28-5284      750                 560
                                                           6,139        668        X       X   28-1500      668
TELULAR CORP              COM NEW         87970T208       21,020      2,000        X           28-5284     2000
TEMPLE INLAND INC         COM             879868107       29,546        440        X           28-5284      440
                                                          57,749        860        X       X   28-5284      860
TEMPLETON DRAGON FD INC   COM             88018T101       12,736        800        X           28-5284      800
                                                         347,056     21,800        X       X   28-5284    21800
TEMPLETON EMERGING MKTS
   FD I                   COM             880191101       62,264      4,300        X       X   28-5284     4300
TEMPLETON EMERG MKTS
   INCOME                 COM             880192109       86,649      6,717        X           28-5284     6717
                                                         148,918     11,544        X       X   28-5284    10544       1000
TEMPLETON GLOBAL INCOME
   FD                     COM             880198106       68,121      7,821        X           28-5284     7821
                                                          21,775      2,500        X       X   28-5284     2500
TEMPUR PEDIC INTL INC     COM             88023U101      509,660     34,000        X       X   28-5284    34000
0           COLUMN TOTAL                               9,298,226
0
0
0




1                                                               FILE NO. 28-1235
PAGE 169 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
TENET HEALTHCARE CORP     COM             88033G100       20,933      1,940        X           28-5284     1940
                                                          31,831      2,950        X       X   28-5284     2950
TENNANT CO                COM             880345103       16,212        400        X       X   28-1500      400
TENNECO AUTOMOTIVE INC    COM             880349105          406         31        X           28-5284       31
                                                           6,773        517        X       X   28-5284       47        470
TERADYNE INC              COM             880770102      181,356     13,534        X           28-5284    12334       1200
                                                          46,980      3,506        X       X   28-5284     2200       1306
                                                          85,760      6,400        X       X   28-4580     6400
TEREX CORP NEW            COM             880779103       95,480      2,200        X           28-5284     2200
TETRA TECH INC NEW        COM             88162G103        3,510        277        X           28-5284      277
TEVA PHARMACEUTICAL INDS
   LTD                    ADR             881624209   21,693,188    835,961        X           28-5284   784512      14646    36803
                                                       7,673,078    295,687        X       X   28-5284   176008     105229    14450
                                                          62,929      2,425        X       X   28-1500     2425
                                                         429,005     16,532        X           28-4580    15659                 873
                                                         106,862      4,118        X       X   28-4580     3758        360
TESSERA TECHNOLOGIES INC  COM             88164L100        5,525        250        X           28-5284      250
TEXAS GENCO HLDGS INC     COM             882443104        5,831        125        X           28-5284      125
                                                          26,404        566        X       X   28-5284      421        145
                                                          18,007        386        X       X   28-4580      386
TEXAS INDS INC            COM             882491103      668,720     13,000        X       X   28-5284    13000
TEXAS INSTRS INC          COM             882508104   21,157,300    994,234        X           28-5284   868239      60075    65920
                                                      20,253,155    951,746        X       X   28-5284   746032     106074    99640
                                                           7,959        374        X           28-1500      374
                                                          43,752      2,056        X       X   28-1500     2056
                                                          93,100      4,375        X           28-4580     4375
                                                         678,087     31,865        X       X   28-4580     1025        840    30000
TEXAS PAC LD TR           SUB CTF PROP I  882610108       14,994        150        X       X   28-5284      150
TEXAS UTD BANCSHARES INC  COM             882838105      176,000     10,000        X       X   28-5284    10000
TEXTRON INC               COM             883203101      416,791      6,485        X           28-5284     6485
                                                         575,602      8,956        X       X   28-5284     3524       5432
0           COLUMN TOTAL                              74,595,530
0
0
0




1                                                               FILE NO. 28-1235
PAGE 170 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
TEXTRON INC               PFD CONV $2.08  883203200       56,000        200        X           28-5284      200
THERMO ELECTRON CORP      COM             883556102       48,096      1,780        X           28-5284      380                1400
                                                           3,378        125        X       X   28-5284      125
                                                          11,943        442        X       X   28-4580      442
THERMOVIEW INDS INC       COM NEW         883671505        1,560      4,000        X       X   28-5284     4000
THOMAS & BETTS CORP       COM             884315102    1,351,165     50,379        X           28-5284    50379
                                                         102,426      3,819        X       X   28-5284     1049                2770
THOMAS INDS INC           COM             884425109      356,955     11,368        X           28-5284    11368
                                                       1,406,155     44,782        X       X   28-5284    44782
THOR INDS INC             COM             885160101       66,969      2,530        X           28-5284     2530
THORATEC CORP             COM NEW         885175307        2,886        300        X           28-5284      300
THORNBURG MTG INC         COM             885218107      174,060      6,000        X           28-5284     6000
                                                         275,595      9,500        X       X   28-5284     8400       1100
                                                           6,527        225        X       X   28-1500      225
                                                          10,560        364        X       X   28-4580      364
3COM CORP                 COM             885535104        6,203      1,470        X           28-5284     1470
                                                           5,275      1,250        X       X   28-5284      650                 600
                                                          81,391     19,287        X           28-1500    19287
3M CO                     COM             88579Y101  125,395,119  1,568,027        X           28-5284  1445283      31737    91007
                                                     108,580,627  1,357,767        X       X   28-5284   781420     506257    70090
                                                         667,829      8,351        X           28-1500     1856       6495
                                                       4,540,777     56,781        X           28-4580    56781
                                                       6,496,123     81,232        X       X   28-4580    75276       1200     4756
TIBCO SOFTWARE INC        COM             88632Q103       26,900      3,161        X           28-5284     3161
                                                          42,550      5,000        X       X   28-1500     5000
TIDEWATER INC             COM             886423102      139,965      4,300        X           28-5284     4300
TIERONE CORP              COM             88650R108       18,448        800        X           28-5284      800
TIFFANY & CO NEW          COM             886547108       55,332      1,800        X           28-5284     1500                 300
                                                         588,671     19,150        X       X   28-5284    17100        150     1900
                                                           7,931        258        X       X   28-1500      258
0           COLUMN TOTAL                             250,527,416
0
0
0




1                                                               FILE NO. 28-1235
PAGE 171 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
TIMBERLAND CO             CL A            887100105       46,008        810        X           28-5284      810
TIME WARNER INC           COM             887317105    7,656,735    474,395        X           28-5284   454886       3150    16359
                                                       4,241,624    262,802        X       X   28-5284   157585      76332    28885
                                                         276,995     17,162        X           28-1500               17162
                                                          51,002      3,160        X           28-4580     3160
                                                          17,754      1,100        X       X   28-4580     1100
TIMKEN CO                 COM             887389104        4,924        200        X           28-5284      200
                                                         102,862      4,178        X       X   28-5284     4000        178
TITAN CORP                COM             888266103       27,242      1,950        X           28-5284     1950
TITAN PHARMACEUTICALS
   INC DE                 COM             888314101        1,128        474        X       X   28-5284      474
TITANIUM METALS CORP      COM NEW         888339207       23,460      1,000        X           28-5284     1000
TIVO INC                  COM             888706108       17,675      2,670        X           28-5284     2670
TOLL BROTHERS INC         COM             889478103       27,798        600        X           28-5284      600
                                                          18,532        400        X       X   28-5284      400
TOLLGRADE COMMUNICATIONS
   INC                    COM             889542106       70,760      8,050        X           28-5284     8050
                                                          10,988      1,250        X       X   28-5284     1050                 200
TOMKINS PLC               SPONSORED ADR   890030208          639         33        X           28-5284       33
TOMPKINSTRUSTCO INC       COM             890110109       10,184        220        X           28-5284                          220
TOO INC                   COM             890333107          759         42        X           28-5284       42
TOOTSIE ROLL INDS INC     COM             890516107    2,155,413     73,765        X           28-5284    45605               28160
                                                         102,387      3,504        X       X   28-5284     2243                1261
TOPPS INC                 COM             890786106        9,780      1,000        X           28-5284     1000
TORCHMARK CORP            COM             891027104      385,555      7,250        X           28-5284     7250
TORO CO                   COM             891092108       17,075        250        X           28-5284      250
                                                         648,850      9,500        X       X   28-5284     9500
0           COLUMN TOTAL                              15,926,129
0
0
0




1                                                               FILE NO. 28-1235
PAGE 172 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
TOTAL S A                 SPONSORED ADR   89151E109      521,884      5,108        X           28-5284     3708                1400
                                                         688,728      6,741        X       X   28-5284     6741
                                                           2,656         26        X           28-1500                  26
                                                          52,107        510        X           28-4580      510
                                                          17,369        170        X       X   28-4580       14                 156
TOWN & CTRY TR            SH BEN INT      892081100       84,825      3,333        X           28-5284     3333
TOYOTA MOTOR CORP         SP ADR REP2COM  892331307      425,895      5,576        X           28-5284     5376                 200
                                                          79,817      1,045        X       X   28-5284      700        345
TOYS R US INC             COM             892335100       10,910        615        X           28-5284      615
                                                          11,531        650        X       X   28-5284      650
                                                          53,220      3,000        X       X   28-1500     3000
TPG N V                   SPONSORED ADR   892339102        2,622        107        X           28-5284      107
TRACTOR SUPPLY CO         COM             892356106        9,432        300        X           28-5284      300
                                                           1,572         50        X       X   28-5284       50
                                                          74,198      2,360        X       X   28-1500     2360
TRANSAMERICA INCOME SHS
   INC                    COM             893506105        8,968        400        X       X   28-5284      400
TRANSATLANTIC HLDGS INC   COM             893521104      125,657      2,312        X           28-5284     2312
TRANSCANADA CORP          COM             89353D107      116,898      5,350        X           28-5284     5350
TREDEGAR CORP             COM             894650100       24,570      1,350        X           28-5284     1350
                                                          21,840      1,200        X       X   28-4580                1200
TREX INC                  COM             89531P105       66,420      1,500        X       X   28-5284     1500
TRI CONTL CORP            COM             895436103       53,434      3,217        X           28-5284      121                3096
                                                         303,265     18,258        X       X   28-5284    10379       5845     2034
TRIAD HOSPITALS INC       COM             89579K109       53,761      1,561        X           28-5284     1530                  31
                                                           2,480         72        X       X   28-5284       72
TRIDENT MICROSYSTEMS INC  COM             895919108        7,452        740        X           28-5284      740
TRIAD GTY INC             COM             895925105       14,369        259        X       X   28-5284                 259
0           COLUMN TOTAL                               2,835,880
0
0
0




1                                                               FILE NO. 28-1235
PAGE 173 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
TRIBUNE CO NEW            COM             896047107      803,783     19,533        X           28-5284    19183                 350
                                                         551,040     13,391        X       X   28-5284    12691        700
TRINITY INDS INC          COM             896522109      155,850      5,000        X           28-5284     5000
                                                          12,063        387        X       X   28-5284      387
TRITON PCS HLDGS INC      CL A            89677M106       12,800      5,000        X           28-5284     5000
TRIUMPH GROUP INC NEW     COM             896818101       20,298        600        X           28-5284      600
TRIZEC PROPERTIES INC     COM             89687P107       12,776        800        X           28-5284      800
TRIPATH IMAGING INC       COM             896942109        8,180      1,000        X           28-5284                         1000
TRUSTCO BK CORP N Y       COM             898349105       47,049      3,670        X       X   28-5284     3670
TRUSTMARK CORP            COM             898402102       62,160      2,000        X           28-5284     2000
                                                          92,525      2,977        X       X   28-1500     2977
TUESDAY MORNING CORP      COM NEW         899035505        9,276        300        X           28-5284      300
TUPPERWARE CORP           COM             899896104      134,482      7,920        X           28-5284     7920
                                                          48,172      2,837        X       X   28-5284      638       2199
TURKISH INVT FD INC       COM             900145103      430,800     40,000        X           28-5284    40000
TUTOGEN MEDICAL INC       COM             901107102       31,012     10,372        X           28-5284    10372
II VI INC                 COM             902104108       94,527      2,700        X           28-5284     2700
                                                         702,581     20,068        X       X   28-5284    20068
TYCO INTL LTD NEW         COM             902124106    6,978,339    227,604        X           28-5284   176060       1900    49644
                                                       4,680,372    152,654        X       X   28-5284    71843      58916    21895
                                                         552,125     18,008        X       X   28-1500    18008
                                                         142,232      4,639        X           28-4580     4639
                                                       1,501,206     48,963        X       X   28-4580     3313               45650
TYSON FOODS INC           CL A            902494103       14,835        926        X           28-5284      926
                                                          15,219        950        X       X   28-5284      750        200
                                                           4,806        300        X       X   28-4580      300
UCBH HOLDINGS INC         COM             90262T308        7,814        200        X       X   28-5284      200
0           COLUMN TOTAL                              17,126,322
0
0
0




1                                                               FILE NO. 28-1235
PAGE 174 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
UGI CORP NEW              COM             902681105      266,819      7,161        X           28-5284     7161
                                                         504,128     13,530        X       X   28-5284     8238       5292
                                                          89,424      2,400        X           28-4580     2400
UIL HLDG CORP             COM             902748102       39,352        800        X           28-5284      800
                                                          22,136        450        X       X   28-5284      450
UST INC                   COM             902911106      381,222      9,469        X           28-5284     9469
                                                       2,990,956     74,291        X       X   28-5284    71791       2500
                                                          52,338      1,300        X           28-4580     1300
USA TRUCK INC             COM             902925106       38,796      3,180        X       X   28-1500     3180
U S RESTAURANT PPTYS INC  COM             902971100        2,534        150        X       X   28-5284                 150
US BANCORP DEL            COM NEW         902973304   96,217,724  3,329,333        X           28-5284  3014763       7268   307302
                                                      18,546,142    641,735        X       X   28-5284   487923      54989    98823
                                                       7,953,916    275,222        X           28-1500   182767      92455
                                                          64,534      2,233        X           28-4580     2233
U S G CORP                COM NEW         903293405       78,517      4,307        X           28-5284     4307
                                                          49,896      2,737        X       X   28-5284     2737
USEC INC                  COM             90333E108       62,220      6,000        X           28-5284     6000
                                                          10,370      1,000        X       X   28-5284     1000
U S CONCRETE INC          COM             90333L102        1,978        320        X           28-5284      320
                                                           5,408        875        X       X   28-5284      875
U S PHYSICAL THERAPY INC  COM             90337L108        3,553        263        X       X   28-5284      263
                                                           2,702        200        X       X   28-1500      200
ULTRALIFE BATTERIES INC   COM             903899102       81,360      8,000        X       X   28-5284     8000
ULTRA PETROLEUM CORP      COM             903914109      147,150      3,000        X       X   28-5284     3000
                                                          37,523        765        X       X   28-1500      765
UMPQUA HLDGS CORP         COM             904214103    1,170,864     51,900        X           28-1500    51900
UNIFIRST CORP MASS        COM             904708104      143,000      5,000        X           28-5284     5000
0           COLUMN TOTAL                             128,964,562
0
0
0




1                                                               FILE NO. 28-1235
PAGE 175 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
UNILEVER PLC              SPON ADR NEW    904767704       36,322      1,100        X           28-5284     1100
                                                         157,770      4,778        X       X   28-5284      300       3964      514
                                                          23,576        714        X       X   28-4580      714
UNILEVER N V              N Y SHS NEW     904784709   14,705,245    254,416        X           28-5284   246049       3860     4507
                                                      24,226,350    419,141        X       X   28-5284   343154      71833     4154
                                                          62,829      1,087        X           28-4580      987                 100
                                                          29,362        508        X       X   28-4580      508
UNION BANKSHARES CORP     COM             905399101    2,271,564     72,900        X           28-1500    72900
UNION BANKSHARES INC      COM             905400107       93,600      4,000        X       X   28-5284     4000
UNION PAC CORP            COM             907818108   28,565,332    487,463        X           28-5284   461565       6165    19733
                                                      13,167,068    224,694        X       X   28-5284   140284      74565     9845
                                                           1,465         25        X           28-1500       25
                                                         288,019      4,915        X           28-4580     4915
                                                         232,818      3,973        X       X   28-4580     2890       1000       83
UNIONBANCAL CORP          COM             908906100      894,071     15,100        X           28-1500    15100
UNISYS CORP               COM             909214108       54,180      5,250        X           28-5284     5250
                                                          46,781      4,533        X       X   28-5284     4533
UNIT CORP                 COM             909218109      140,320      4,000        X       X   28-5284     4000
UNITED BANKSHARES INC
   WEST V                 COM             909907107    1,420,615     40,999        X           28-5284    40999
                                                         108,108      3,120        X       X   28-5284     3120
UNITED BANCORP INC OHIO   COM             909911109       49,310      3,396        X           28-5284     3396
UNITED DEFENSE INDS INC   COM             91018B104        3,079         77        X           28-5284       77
UNITED DOMINION REALTY
   TR IN                  COM             910197102      124,215      6,264        X           28-5284     6264
                                                         343,654     17,330        X       X   28-5284     3130      14200
UNITED FIRE & CAS CO      COM             910331107        1,548         27        X           28-5284       27
UNITED INDL CORP          COM             910671106        9,867        300        X       X   28-5284      300
UNITED NATL GROUP LTD     CL A            91103X102   36,119,502  2,487,569        X       X   28-5284             2487569
UNITED NAT FOODS INC      COM             911163103      154,280      5,800        X       X   28-5284     5800
0           COLUMN TOTAL                             123,330,850
0
0
0




1                                                               FILE NO. 28-1235
PAGE 176 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
UNITED ONLINE INC         COM             911268100       48,956      5,089        X           28-1500     5089
UNITED PARCEL SERVICE
   INC                    CL B            911312106   96,655,346  1,273,121        X           28-5284  1208248       1275    63598
                                                      56,013,093    737,791        X       X   28-5284   580185      16465   141141
                                                         119,194      1,570        X           28-1500                1570
                                                          41,756        550        X           28-4580      550
                                                          36,442        480        X       X   28-4580      480
UNITED SEC BANCSHARES
   INC                    SHS             911459105    4,804,800    171,600        X           28-1500   171600
UNITED STATES STL CORP
   NEW                    COM             912909108       94,539      2,513        X           28-5284     2513
                                                         352,424      9,368        X       X   28-5284     6773       2297      298
UNITED TECHNOLOGIES CORP  COM             913017109   96,631,772  1,034,823        X           28-5284   966972      13257    54594
                                                      71,779,525    768,682        X       X   28-5284   563888     123344    81450
                                                          70,409        754        X           28-1500                 754
                                                       2,282,954     24,448        X           28-4580    23999                 449
                                                       1,349,061     14,447        X       X   28-4580    12986       1390       71
UNITEDHEALTH GROUP INC    COM             91324P102   16,177,819    219,390        X           28-5284   177600       5116    36674
                                                       5,415,539     73,441        X       X   28-5284    29122       8070    36249
                                                          45,866        622        X       X   28-1500      622
                                                       1,209,336     16,400        X           28-4580    16400
                                                           3,687         50        X       X   28-4580                  50
UNITEDGLOBALCOM           CL A            913247508       47,845      6,405        X           28-5284     6405
UNITRIN INC               COM             913275103      300,260      7,223        X           28-5284     6423                 800
UNIVERSAL AMERN FINL
   CORP                   COM             913377107        6,465        500        X           28-5284      500
                                                           3,879        300        X       X   28-5284      300
UNIVERSAL CORP VA         COM             913456109       19,686        441        X           28-5284      441
                                                          44,640      1,000        X       X   28-5284      400        600
UNIVERSAL DISPLAY CORP    COM             91347P105        4,210        500        X       X   28-5284                          500
UNIVERSAL ELECTRS INC     COM             913483103       16,780      1,000        X           28-5284                         1000
UNIVERSAL HEALTH RLTY
   INCM T                 SH BEN INT      91359E105       96,960      3,200        X       X   28-5284     3200
UNIVERSAL HLTH SVCS INC   CL B            913903100       40,455        930        X           28-5284      930
                                                           4,350        100        X       X   28-1500      100
0           COLUMN TOTAL                             353,718,048
0
0
0




1                                                               FILE NO. 28-1235
PAGE 177 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                 ITEM 6:
                                                                               INVESTMENT                         ITEM 8:
                                                                  ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                       ITEM 3:      ITEM 4:      SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
       ITEM 1:            ITEM 2:       CUSIP     FAIR MARKET    PRINCIPAL  ---------------  MANAGERS  ---------------------------
   NAME OF ISSUER     TITLE OF CLASS    NUMBER       VALUE        AMOUNT    (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
--------------------  --------------  ---------  -------------  ----------  -------  ------  --------  -------  ---------  -------
                                                                                                
UNIVISION
   COMMUNICATIONS
   INC                CL A            914906102        103,681       3,280        X           28-5284     3280
                                                        32,400-      1,025-       X       X   28-5284     1025-
UNIVEST CORP PA       COM             915271100        152,813       3,750        X       X   28-5284                3750
UNOCAL CORP           COM             915289102        508,260      11,820        X           28-5284    11820
                                                       513,291      11,937        X       X   28-5284     7913       4024
                                                        11,180         260        X           28-4580      260
UNOVA INC             COM             91529B106          7,025         500        X           28-5284      500
                                                        16,860       1,200        X       X   28-5284     1200
UNUMPROVIDENT CORP    COM             91529Y106        340,473      21,700        X           28-5284    18100                3600
                                                       184,954      11,788        X       X   28-5284     5300       6488
UPM KYMMENE CORP      SPONSORED ADR   915436109          2,608         136        X           28-5284      136
URBAN OUTFITTERS INC  COM             917047102         82,560       2,400        X           28-5284     2400
                                                       509,120      14,800        X       X   28-5284    14800
URECOATS INDUSTRIES
   INC                COM NEW         91724E400            159         300        X           28-5284      300
URSTADT BIDDLE PPTYS
   INS                COM             917286106          7,275         500        X           28-5284      500
                                                         2,910         200        X       X   28-5284      200
URSTADT BIDDLE PPTYS
   INS                CL A            917286205         21,336       1,400        X           28-5284     1400
                                                        25,908       1,700        X       X   28-5284     1700
UTSTARCOM INC         COM             918076100         30,609       1,900        X           28-5284     1900
                                                         1,933         120        X       X   28-5284      120
                                                       161,100      10,000        X       X   28-1500    10000
VA SOFTWARE CORP      COM             91819B105            588         300        X       X   28-1500      300
VCA ANTECH INC        COM             918194101         90,772       4,400        X           28-5284     4400
                                                       453,860      22,000        X       X   28-5284    22000
V F CORP              COM             918204108        767,415      15,519        X           28-5284    15519
                                                    61,801,427  21,472,223        X       X   28-5284    38400   21433823
                                                    24,018,112     485,705        X       X   28-4580              485705
VAIL RESORTS INC      COM             91879Q109            181          10        X           28-5284       10
0       COLUMN TOTAL                             1,089,784,010
0
0
0




1                                                               FILE NO. 28-1235
PAGE 178 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
VALASSIS COMMUNICATIONS
   INC                    COM             918866104       48,718      1,647        X           28-5284     1647
VALHI INC NEW             COM             918905100       25,085      1,669        X           28-5284     1669
                                                              90          6        X       X   28-5284                   6
VALEANT PHARMACEUTICALS
   INTL                   COM             91911X104       46,310      1,920        X           28-5284     1920
VALERO L P                COM UT LTD PRT  91913W104       72,423      1,300        X           28-5284     1300
                                                         193,592      3,475        X       X   28-5284     2475       1000
VALERO ENERGY CORP NEW    COM             91913Y100    1,015,298     12,658        X           28-5284    12658
                                                         481,260      6,000        X       X   28-5284     6000
                                                          81,012      1,010        X       X   28-1500     1010
VALLEY NATL BANCORP       COM             919794107       85,865      3,362        X           28-5284     3362
                                                         146,217      5,725        X       X   28-5284     5725
VALSPAR CORP              COM             920355104      135,559      2,904        X           28-5284     1204                1700
VALUECLICK INC            COM             92046N102        9,440      1,000        X       X   28-5284     1000
VAN KAMPEN MUN INCOME TR  COM             920909108      134,578     14,226        X           28-5284    14226
VAN KAMPEN MUN TR         SH BEN INT      920919107       98,427      6,646        X           28-5284     6646
                                                           4,443        300        X       X   28-5284      300
VAN KAMPEN OHIO QUALITY
   MUN                    COM             920923109       39,225      2,500        X           28-5284     2500
VAN KAMPEN PA QUALITY
   MUN TR                 COM             920924107      488,035     31,085        X           28-5284    31085
                                                         500,783     31,897        X       X   28-5284     6200      25697
VAN KAMPEN TR INSD MUNS   COM             920928108       71,280      4,500        X           28-5284     4500
VAN KAMPEN TR INVT GRADE
   MUN                    COM             920929106        7,680        500        X       X   28-5284      500
VAN KAMPEN TR INVT GRADE
   N J                    COM             920933108       27,411      1,603        X           28-5284     1603
                                                          21,033      1,230        X       X   28-5284     1230
VAN KAMPEN TR INVT GRADE
   PA                     COM             920934106      330,275     21,050        X           28-5284    21050
                                                         263,874     16,818        X       X   28-5284    15818       1000
                                                          69,726      4,444        X           28-4580     4444
VAN KAMPEN MUN
   OPPORTUNITY T          COM             920935103       16,676      1,100        X       X   28-5284     1100
0           COLUMN TOTAL                               4,414,315
0
0
0




1                                                               FILE NO. 28-1235
PAGE 179 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
VAN KAMPEN ADVANTAGE PA
   MUN                    SH BEN INT      920937109       18,864      1,200        X           28-5284     1200
VAN KAMPEN STRATEGIC
   SECTOR                 COM             920943107       13,236      1,005        X           28-5284     1005
VAN KAMPEN MUN
   OPPORTUNITY I          COM             920944105       76,734      5,400        X           28-5284     5400
VAN KAMPEN BD FD          COM             920955101       23,625      1,331        X           28-5284     1331
                                                          14,200        800        X       X   28-5284      800
VAN KAMPEN SENIOR INCOME
   TR                     COM             920961109        8,710      1,000        X           28-5284     1000
VAN KAMPEN SELECT SECTOR
   MUN                    COM             92112M103       50,760      4,000        X           28-5284     4000
VAN KAMPEN MASS VALUE
   MUN IN                 COM SH BEN INT  92112R102       16,800      1,000        X       X   28-5284                1000
VAN KAMPEN PA VALUE MUN
   INCO                   COM             92112T108       58,117      3,735        X           28-5284     3735
VAN KAMPEN ADVANTAGE MUN
   INC                    SH BEN INT      921124103       90,379      5,946        X           28-5284     5946
VAN KAMPEN VALUE MUN
   INCOME                 COM             921132106       89,612      6,142        X           28-5284     6142
                                                          18,967      1,300        X       X   28-5284                1300
                                                          64,196      4,400        X       X   28-1500     4400
VANGUARD SECTOR INDEX
   FDS                    HTH CARE VIPER  92204A504       18,956        400        X       X   28-4580      400
VANGUARD SECTOR INDEX
   FDS                    UTILS VIPERS    92204A876       26,815        500        X       X   28-4580      500
VARCO INTL INC DEL        COM             922122106       38,219      1,425        X           28-5284                         1425
VARIAN MED SYS INC        COM             92220P105   28,758,679    831,897        X           28-5284   803632       3260    25005
                                                       6,703,330    193,906        X       X   28-5284   141746      41430    10730
                                                          36,990      1,070        X       X   28-1500     1070
                                                         242,197      7,006        X           28-4580     7006
                                                          55,312      1,600        X       X   28-4580     1200        400
VARIAN INC                COM             922206107       33,326        880        X           28-5284      880
                                                           7,574        200        X       X   28-5284                 200
VARIAN SEMICONDUCTOR
   EQUIPMN                COM             922207105        6,180        200        X       X   28-5284                 200
VASCULAR SOLUTIONS INC    COM             92231M109       12,945      1,500        X       X   28-5284                         1500
VASOGEN INC               COM             92232F103       64,120     14,000        X           28-5284    14000
0           COLUMN TOTAL                              36,548,843
0
0
0




1                                                               FILE NO. 28-1235
PAGE 180 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
VASOMEDICAL INC           COM             922321104        1,060      1,000        X           28-5284     1000
                                                             530        500        X       X   28-5284      500
VECTREN CORP              COM             92240G101      433,449     17,214        X           28-5284    14414        400     2400
                                                         270,484     10,742        X       X   28-5284     6935       2476     1331
                                                         118,346      4,700        X       X   28-1500     4700
VECTOR GROUP LTD          COM             92240M108        3,938        262        X           28-5284      262
VEECO INSTRS INC DEL      COM             922417100        4,194        200        X           28-5284      200
                                                         115,335      5,500        X       X   28-5284     5500
VELCRO INDS N V           COM             922571104          403         35        X           28-5284       35
VENTAS INC                COM             92276F100      553,962     21,372        X           28-5284    17021                4351
                                                         186,339      7,189        X       X   28-5284     7189
VANGUARD INDEX TR         EXT MKT VIPERS  922908652       58,600        800        X       X   28-5284      800
VANGUARD INDEX TR         GROWTH VIPERS   922908736       23,665        500        X       X   28-4580      500
VANGUARD INDEX TR         STK MRK VIPERS  922908769    9,817,906     91,109        X           28-5284    87139       3622      348
                                                       1,649,698     15,309        X       X   28-5284     1694      13615
VENTURI PARTNERS INC      COM             92330P102        1,710        200        X           28-5284      200
VERITY INC                COM             92343C106       12,880      1,000        X       X   28-5284     1000
VERISIGN INC              COM             92343E102        7,952        400        X           28-5284      400
                                                          96,915      4,875        X       X   28-5284     2075       2800
VERITAS DGC INC           COM             92343P107        5,126        225        X       X   28-5284      225
VERIZON COMMUNICATIONS    COM             92343V104   94,052,475  2,388,331        X           28-5284  2241926      75425    70980
                                                     132,425,922  3,362,771        X       X   28-5284  1792756    1148100   421915
                                                         296,295      7,524        X           28-1500      133       7391
                                                       1,643,957     41,746        X           28-4580    41102                 644
                                                       2,155,031     54,724        X       X   28-4580    48513       4052     2159
VERITAS SOFTWARE CO       COM             923436109    5,722,469    321,487        X           28-5284   303784       4240    13463
                                                       2,263,911    127,186        X       X   28-5284    62899      57192     7095
                                                         104,682      5,881        X           28-4580     5881
                                                          50,160      2,818        X       X   28-4580     2178        640
0           COLUMN TOTAL                             252,077,394
0
0
0




1                                                               FILE NO. 28-1235
PAGE 181 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
VERMONT TEDDY BEAR INC    COM             92427X109        4,910      1,000        X           28-5284     1000
VERTEX PHARMACEUTICALS
   INC                    COM             92532F100       19,551      1,862        X           28-5284     1862
                                                             326         31        X       X   28-5284       31
VESTAUR SECURITIES FUND   COM             925464109        3,861        300        X       X   28-5284                 300
VIAD CORP                 COM NEW         92552R406       20,503        864        X           28-5284      837                  27
                                                             285         12        X       X   28-5284       12
                                                           1,187         50        X       X   28-4580       50
VIASAT INC                COM             92552V100       28,361      1,411        X           28-1500     1411
VIACOM INC                CL A            925524100    1,620,304     47,656        X           28-5284    43455       2000     2201
                                                         368,900     10,850        X       X   28-5284     8925        800     1125
                                                         102,000      3,000        X       X   28-1500     3000
VIACOM INC                CL B            925524308   48,399,057  1,442,165        X           28-5284  1304411      16549   121205
                                                      18,126,931    540,135        X       X   28-5284   364401     147481    28253
                                                          93,297      2,780        X           28-1500     2780
                                                         259,318      7,727        X       X   28-1500     7727
                                                       1,020,425     30,406        X           28-4580    30162                 244
                                                         696,169     20,744        X       X   28-4580    17212       3227      305
                                                         161,088      4,800        X                       4800
VIASYS HEALTHCARE INC     COM NEW         92553Q209        3,413        204        X           28-5284                          204
VICAL INC                 COM             925602104       14,883      3,100        X       X   28-1500     3100
VICOR CORP                COM             925815102       14,154      1,400        X           28-5284     1400
VIGNETTE CORP             COM             926734104        1,339      1,007        X           28-5284     1007
VIISAGE TECHNOLOGY INC    COM             92675K106       28,750      5,000        X           28-5284     5000
VINA CONCHA Y TORO S A    SPONSORED ADR   927191106       14,000        250        X       X   28-5284      250
VINTAGE PETE INC          COM             927460105       90,315      4,500        X       X   28-5284     4500
VION PHARMACEUTICALS INC  COM             927624106        4,210      1,000        X           28-5284     1000
VIRAGEN INC               COM NEW         927638403          162        150        X           28-5284      150
VIROPHARMA INC            COM             928241108          627        325        X           28-5284      325
0           COLUMN TOTAL                              71,098,326
0
0
0




1                                                               FILE NO. 28-1235
PAGE 182 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
VISHAY INTERTECHNOLOGY
   INC                    COM             928298108      243,423     18,870        X           28-5284    18870
                                                         127,091      9,852        X       X   28-5284     4750       3102     2000
VISTEON CORP              COM             92839U107       31,824      3,983        X           28-5284     3760                 223
                                                          12,225      1,530        X       X   28-5284      988        493       49
                                                           1,374        172        X           28-4580      172
VISUAL DATA CORP          COM PAR $.0001  928428309        4,440      2,980        X           28-5284     2980
VISX INC DEL              COM             92844S105       23,690      1,150        X           28-5284     1150
                                                           6,180        300        X       X   28-5284      300
VISUAL NETWORKS INC       COM             928444108        3,644      1,396        X       X   28-5284     1396
VITESSE SEMICONDUCTOR
   CORP                   COM             928497106       26,044      9,540        X           28-5284     9540
                                                         126,126     46,200        X       X   28-5284     3200               43000
                                                           1,229        450        X       X   28-1500      450
                                                         147,420     54,000        X       X   28-4580    54000
VIVENDI UNIVERSAL         SPON ADR NEW    92851S204       26,142      1,016        X           28-5284     1016
                                                           5,403        210        X       X   28-1500      210
VODAFONE GROUP PLC NEW    SPONSORED ADR   92857W100    4,091,009    169,681        X           28-5284   152599       9535     7547
                                                       4,696,459    194,793        X       X   28-5284   116880      57430    20483
                                                          63,168      2,620        X           28-1500                2620
                                                          81,612      3,385        X           28-4580     3385
                                                          83,445      3,461        X       X   28-4580     3271        190
VOLVO AKTIEBOLAGET        ADR B           928856400        4,405        125        X           28-5284      125
VORNADO RLTY TR           SH BEN INT      929042109      153,566      2,450        X           28-5284     2450
                                                         265,011      4,228        X       X   28-5284     3078       1000      150
                                                          12,536        200        X       X   28-1500      200
VORNADO RLTY TR           PFD CONV SER A  929042208       43,350        500        X           28-5284      500
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    2,842,144     55,783        X           28-5284     9230               46553
                                                         125,847      2,470        X       X   28-5284     2470
0           COLUMN TOTAL                              16,267,246
0
0
0




1                                                               FILE NO. 28-1235
PAGE 183 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
WFS FINL INC              COM             92923B106       93,100      2,000        X       X   28-5284                2000
WCI CMNTYS INC            COM             92923C104        4,660        200        X           28-5284      200
WD-40 CO                  COM             929236107       16,445        575        X           28-5284      575
                                                          14,414        504        X       X   28-1500      504
WGL HLDGS INC             COM             92924F106      122,083      4,320        X           28-5284     4320
                                                          58,555      2,072        X       X   28-5284     2072
W HLDG CO INC             COM             929251106       19,000      1,000        X       X   28-1500     1000
WMS INDS INC              COM             929297109      244,055      9,500        X       X   28-1500     9500
W P CAREY & CO LLC        COM             92930Y107    1,148,117     38,450        X           28-5284    28450      10000
                                                         757,309     25,362        X       X   28-5284    10762      14600
WPP GROUP PLC             SPON ADR NEW    929309300        6,992        150        X       X   28-5284                 150
WPS RESOURCES CORP        COM             92931B106      357,041      7,936        X           28-5284     7936
                                                         556,751     12,375        X       X   28-5284     1675        700    10000
                                                          89,980      2,000        X       X   28-4580     2000
WSFS FINL CORP            COM             929328102       37,950        759        X           28-4580      759
WVS FINL CORP             COM             929358109       35,600      2,000        X           28-5284     2000
WABTEC CORP               COM             929740108    2,965,169    158,650        X           28-5284    84381               74269
                                                       3,202,438    171,345        X       X   28-5284     1200              170145
                                                       6,904,123    369,402        X       X   28-4580   369402
WACHOVIA CORP 2ND NEW     COM             929903102   34,199,366    728,421        X           28-5284   681320      17036    30065
                                                      44,972,560    957,882        X       X   28-5284   459637     415112    83133
                                                      10,354,869    220,551        X           28-1500   218177       2374
                                                       1,363,804     29,048        X           28-4580    29048
                                                       1,560,618     33,240        X       X   28-4580    33240
WADDELL & REED FINL INC   CL A            930059100       81,180      3,690        X           28-5284     3690
0           COLUMN TOTAL                             109,166,179
0
0
0




1                                                               FILE NO. 28-1235
PAGE 184 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
WAL MART STORES INC       COM             931142103  146,882,859  2,760,956        X           28-5284  2575925      49470   135561
                                                     142,254,459  2,673,956        X       X   28-5284  2161606     367422   144928
                                                         912,699     17,156        X           28-1500               17156
                                                       2,774,540     52,153        X           28-4580    51311                 842
                                                       1,326,914     24,942        X       X   28-4580    20972       2670     1300
WALGREEN CO               COM             931422109   62,740,946  1,751,073        X           28-5284  1165267       2670   583136
                                                      40,034,041  1,117,333        X       X   28-5284  1048874      52084    16375
                                                       1,562,869     43,619        X           28-1500     5781      37838
                                                         128,988      3,600        X           28-4580     3600
                                                         537,450     15,000        X       X   28-4580    15000
WARNACO GROUP INC         COM NEW         934390402       24,342      1,095        X           28-5284     1095
WASHINGTON BKG CO OAK
   HBR WA                 COM             937303105      972,000     64,800        X           28-1500    64800
WASHINGTON MUT INC        COM             939322103   68,417,122  1,750,694        X           28-5284  1541546      17747   191401
                                                      16,396,991    419,575        X       X   28-5284   256108     110727    52740
                                                       3,216,987     82,318        X           28-1500    69551      12767
                                                          34,195        875        X           28-4580      875
                                                         222,365      5,690        X       X   28-4580     5400        290
WASHINGTON POST CO        CL B            939640108      454,480        494        X           28-5284      494
                                                         598,000        650        X       X   28-5284      650
                                                          17,480         19        X       X   28-4580        2                  17
WASHINGTON REAL ESTATE
   INVT                   SH BEN INT      939653101       43,178      1,425        X           28-5284      600                 825
                                                          71,508      2,360        X       X   28-5284      360       2000
                                                          75,750      2,500        X       X   28-4580     2500
WASHINGTON SVGBK FSB
   WALDRF                 COM             939696100       31,975      2,500        X       X   28-5284     2500
WASHINGTON TR BANCORP     COM             940610108      107,084      4,095        X       X   28-5284     4095
WASHTENAW GROUP INC       COM             941022105        8,280      3,000        X           28-5284                         3000
WASTE MGMT INC DEL        COM             94106L109      834,964     30,540        X           28-5284    30540
                                                         607,850     22,233        X       X   28-5284    12325       5208     4700
                                                          20,450        748        X       X   28-1500      748
WASTE SERVICES INC DEL    COM             941075103        7,025      2,500        X           28-5284     2500
WATER PIK TECHNOLOGIES
   INC                    COM             94113U100        5,960        400        X           28-5284      400
0           COLUMN TOTAL                             491,323,751
0
0
0




1                                                               FILE NO. 28-1235
PAGE 185 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                               
WATERS CORP               COM             941848103   37,745,587    855,909        X           28-5284   676195        534   179180
                                                       6,264,405    142,050        X       X   28-5284   140050                2000
                                                       3,613,510     81,939        X           28-1500    81939
                                                         442,103     10,025        X       X   28-1500    10025
WATSON PHARMACEUTICALS
   INC                    COM             942683103      995,748     33,800        X           28-5284    33800
                                                         106,056      3,600        X       X   28-5284     3000        600
WATTS WATER TECHNOLOGIES
   INC                    CL A            942749102       59,070      2,200        X           28-5284     2200
                                                          26,850      1,000        X       X   28-5284     1000
WAVE SYSTEMS CORP         CL A            943526103        6,825      7,500        X           28-5284     7500
WAYPOINT FINL CORP        COM             946756103       29,086      1,055        X           28-5284     1055
                                                          27,956      1,014        X       X   28-5284      402                 612
WEBMD CORP                COM             94769M105       12,723      1,828        X           28-5284     1828
WEBSTER FINL CORP CONN    COM             947890109       14,866        301        X           28-5284      231                  70
                                                           3,210         65        X       X   28-5284       65
WEIGHT WATCHERS INTL INC
   NEW                    COM             948626106        3,882        100        X           28-5284      100
WEINGARTEN RLTY INVS      SH BEN INT      948741103      165,314      5,008        X           28-5284     5008
                                                         482,144     14,606        X       X   28-5284     5925       6800     1881
                                                          29,709        900        X       X   28-1500      900
WEIS MKTS INC             COM             948849104       22,022        650        X           28-5284      400        250
WELLPOINT HEALTH NETWORK
   NEW                    COM             94973H108       66,522        633        X           28-5284      633
                                                         241,707      2,300        X       X   28-5284      100        400     1800
WELLS FARGO & CO NEW      COM             949746101  120,243,060  2,016,486        X           28-5284  1966316      18785    31385
                                                     220,728,257  3,701,631        X       X   28-5284  3364427     248516    88688
                                                         230,470      3,865        X           28-1500                3865
                                                       1,391,108     23,329        X           28-4580    23329
                                                         931,898     15,628        X       X   28-4580    13268       2360
WENDYS INTL INC           COM             950590109      100,632      2,995        X           28-5284     1795                1200
                                                          25,200        750        X       X   28-5284      750
WERNER ENTERPRISES INC    COM             950755108       48,275      2,500        X           28-5284     2500
0           COLUMN TOTAL                             394,058,195
0
0
0




1                                                               FILE NO. 28-1235
PAGE 186 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
WESBANCO INC              COM             950810101    2,702,492     92,933        X           28-5284    92933
                                                         599,630     20,620        X       X   28-5284    20620
WESCO INTL INC            COM             95082P105        9,700        400        X           28-5284      400
WESTAR ENERGY INC         COM             95709T100       37,047      1,834        X           28-5284     1834
                                                          32,057      1,587        X       X   28-5284     1587
WESTAMERICA
   BANCORPORATION         COM             957090103       39,521        720        X           28-5284      720
WESTERN ASSET CLAYMORE
   US TR                  COM SH BEN INT  95766Q106       12,740        950        X           28-5284      950
WSTRN ASSET/CLYMRE US TR
   INF                    COM             95766R104       54,335      4,170        X           28-5284     4170
WESTERN DIGITAL CORP      COM             958102105        2,198        250        X           28-5284      250
                                                           2,751        313        X       X   28-5284      313
WESTERN GAS RES INC       COM             958259103      166,623      5,828        X           28-5284     5828
WESTERN WIRELESS CORP     CL A            95988E204        6,428        250        X           28-5284      250
                                                         110,553      4,300        X       X   28-5284                4300
                                                          72,939      2,837        X           28-1500     2837
WESTPAC BKG CORP          SPONSORED ADR   961214301       20,258        315        X           28-5284      315
WESTWOOD ONE INC          COM             961815107       45,076      2,280        X           28-5284     2280
WEYERHAEUSER CO           COM             962166104    1,871,213     28,147        X           28-5284    27797        350
                                                       2,777,003     41,772        X       X   28-5284    33485       4057     4230
WHIRLPOOL CORP            COM             963320106      126,249      2,101        X           28-5284     2101
                                                         102,153      1,700        X       X   28-5284     1700
WHITING PETE CORP NEW     COM             966387102       97,280      3,200        X       X   28-5284     3200
WHITNEY HLDG CORP         COM             966612103       12,600        300        X           28-5284      300
WHOLE FOODS MKT INC       COM             966837106      273,670      3,190        X           28-5284     3190
                                                         155,709      1,815        X       X   28-5284     1540                 275
                                                           8,579        100        X       X   28-1500      100
                                                          51,474        600        X           28-4580      600
WILD OATS MARKETS INC     COM             96808B107       43,200      5,000        X       X   28-5284     5000
0           COLUMN TOTAL                               9,433,478
0
0
0




1                                                               FILE NO. 28-1235
PAGE 187 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
WILEY JOHN & SONS INC     CL A            968223206       19,170        600        X           28-5284      600
WILLBROS GROUP INC        COM             969199108       17,788      1,193        X       X   28-1500     1193
WILLIAMS COAL SEAM GAS
   RTY T                  TR UNIT         969450105        3,996        240        X       X   28-5284                 240
WILLIAMS COS INC DEL      COM             969457100      226,923     18,754        X           28-5284    17754                1000
                                                         199,711     16,505        X       X   28-5284     1505      15000
WILLIAMS SONOMA INC       COM             969904101      151,139      4,025        X           28-5284     4025
                                                          11,265        300        X       X   28-5284      300
WILMINGTON TRUST CORP     COM             971807102    2,945,285     81,339        X           28-5284    80839        300      200
                                                       1,097,163     30,300        X       X   28-5284    21100       7600     1600
                                                       1,991,188     54,990        X           28-4580    54990
                                                       4,039,877    111,568        X       X   28-4580   103468       5700     2400
WIND RIVER SYSTEMS INC    COM             973149107        8,540        700        X           28-5284      700
WINDROSE MED PPTYS TR     COM             973491103       12,886        992        X       X   28-1500      992
WINN DIXIE STORES INC     COM             974280109       34,596     11,196        X           28-5284    11196
WINNEBAGO INDS INC        COM             974637100          173          5        X           28-5284        5
WINTON FINL CORP          COM             976446104        4,224        200        X           28-5284      200
WIPRO LTD                 SPON ADR 1 SH   97651M109      264,460     14,000        X       X   28-5284    14000
WIRELESS FACILITIES INC   COM             97653A103        3,485        500        X           28-5284      500
                                                         166,151     23,838        X           28-1500    23838
WISCONSIN ENERGY CORP     COM             976657106      297,850      9,337        X           28-5284     9337
                                                         247,959      7,773        X       X   28-5284     4978       2795
                                                          14,355        450        X       X   28-1500      450
WOLVERINE TUBE INC        COM             978093102       23,100      2,000        X           28-5284                         2000
WOLVERINE WORLD WIDE INC  COM             978097103       12,600        500        X           28-5284      500
WORLD ACCEP CORP DEL      COM             981419104        3,278        141        X           28-5284      141
                                                           6,882        296        X       X   28-5284      296
0           COLUMN TOTAL                              11,804,044
0
0
0




1                                                               FILE NO. 28-1235
PAGE 188 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                              
WORLD WRESTLING ENTMT
   INC                    CL A            98156Q108          978         80        X       X   28-5284       80
WORTHINGTON INDS INC      COM             981811102      435,540     20,400        X           28-5284    20400
                                                         132,370      6,200        X       X   28-5284      600       3600     2000
WRIGLEY WM JR CO          COM             982526105    7,078,311    111,804        X           28-5284    83582       7005    21217
                                                       2,131,648     33,670        X       X   28-5284    23800       7945     1925
                                                          61,157        966        X       X   28-1500      966
                                                         114,401      1,807        X           28-4580     1807
                                                         417,846      6,600        X       X   28-4580     6600
WYETH                     COM             983024100  100,768,802  2,694,353        X           28-5284  2384706      76299   233348
                                                      94,242,801  2,519,861        X       X   28-5284  1516803     690223   312835
                                                       2,069,005     55,321        X           28-1500    51420       3901
                                                       2,991,589     79,989        X           28-4580    79889                 100
                                                       4,769,510    127,527        X       X   28-4580    90867      12000    24660
WYNDHAM INTL INC          CL A            983101106    1,318,689  1,608,157        X           28-5284     4000             1604157
WYNN RESORTS LTD          COM             983134107        2,119         41        X       X   28-4580        4                  37
XM SATELLITE RADIO HLDGS
   INC                    CL A            983759101      266,617      8,595        X           28-5284     8355                 240
                                                          12,408        400        X       X   28-5284      400
                                                         169,835      5,475        X           28-1500     1975       3500
                                                          62,040      2,000        X           28-4580     2000
XTO ENERGY INC            COM             98385X106      215,375      6,631        X           28-5284     6631
                                                       1,197,700     36,875        X       X   28-5284    36875
XCEL ENERGY INC           COM             98389B100      352,323     20,342        X           28-5284    17774       1900      668
                                                         651,613     37,622        X       X   28-5284    11044      24578     2000
                                                          90,133      5,204        X       X   28-4580     5204
XILINX INC                COM             983919101      613,710     22,730        X           28-5284     3280               19450
                                                         150,120      5,560        X       X   28-5284     2510                3050
                                                           5,400        200        X       X   28-1500      200
XEROX CORP                COM             984121103      255,749     18,164        X           28-5284    16486                1678
                                                         183,026     12,999        X       X   28-5284     4444       2700     5855
                                                           5,843        415        X           28-4580      415
                                                          56,348      4,002        X       X   28-4580     4002
XYBERNAUT CORP            COM             984149104       44,800     40,000        X           28-5284    40000
0           COLUMN TOTAL                             220,867,806
0
0
0




1                                                               FILE NO. 28-1235
PAGE 189 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                           ITEM 3:     ITEM 4:    SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
         ITEM 1:              ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL  ---------------  MANAGERS  ---------------------------
     NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE       AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
------------------------  --------------  ---------  -----------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                
YPF SOCIEDAD ANONIMA      SPON ADR CL D   984245100        2,075         50        X       X   28-1500       50
YADKIN VY BK&TR CO ELKIN
   N C                    COM             984308106      230,794     16,700        X           28-5284    16700
YAHOO INC                 COM             984332106      820,385     24,193        X           28-5284    21383                2810
                                                         683,287     20,150        X       X   28-5284     9650      10500
                                                          50,865      1,500        X       X   28-1500     1500
                                                           2,713         80        X       X   28-4580       80
YANKEE CANDLE INC         COM             984757104      608,160     21,000        X       X   28-5284    21000
                                                           5,792        200        X       X   28-1500      200
YELLOW ROADWAY CORP       COM             985577105      116,428      2,483        X           28-5284     2483
                                                         257,895      5,500        X       X   28-5284     5500
YORK WTR CO               COM             987184108        8,670        500        X           28-5284      500
YUM BRANDS INC            COM             988498101    4,702,207    115,647        X           28-5284   112043        200     3404
                                                       2,390,767     58,799        X       X   28-5284    28353      12616    17830
                                                          45,539      1,120        X           28-4580     1120
                                                          12,361        304        X       X   28-4580      304
ZEBRA TECHNOLOGIES CORP   CL A            989207105       98,836      1,620        X           28-5284     1620
                                                          13,727        225        X       X   28-5284      225
                                                          37,033        607        X       X   28-1500      607
ZENITH NATL INS CORP      COM             989390109      211,550      5,000        X       X   28-5284     5000
ZIMMER HLDGS INC          COM             98956P102   49,675,929    628,491        X           28-5284   574037       5289    49165
                                                      20,834,707    263,597        X       X   28-5284   151563      69753    42281
                                                         112,711      1,426        X           28-1500                1426
                                                         449,421      5,686        X           28-4580     5686
                                                       1,278,946     16,181        X       X   28-4580    11080       5101
ZIONS BANCORPORATION      COM             989701107       15,260        250        X           28-5284      250
                                                         182,510      2,990        X       X   28-5284                2990
ZORAN CORP                COM             98975F101      126,955      8,076        X           28-1500     8076
ZOOM TECHNOLOGIES INC
   DEL                    COM             98976E103        1,648        400        X       X   28-5284      400
ZWEIG FD                  COM             989834106        8,619      1,614        X           28-5284     1614
0           COLUMN TOTAL                              82,985,790
0
0
0




1                                                               FILE NO. 28-1235
PAGE 190 OF 190                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.



                                                                                  ITEM 6:
                                                                                INVESTMENT                         ITEM 8:
                                                                   ITEM 5:      DISCRETION                    VOTING AUTHORITY
                                        ITEM 3:       ITEM 4:     SHARES OR     (B)SHARED      ITEM 7:            (SHARES)
        ITEM 1:            ITEM 2:       CUSIP      FAIR MARKET   PRINCIPAL  ---------------  MANAGERS  ---------------------------
    NAME OF ISSUER     TITLE OF CLASS    NUMBER        VALUE        AMOUNT   (A)SOLE  (C)OTH  INSTR V   (A)SOLE  (B)SHARED  (C)NONE
---------------------  --------------  ---------  --------------  ---------  -------  ------  --------  -------  ---------  -------
                                                                                                 
ZWEIG TOTAL RETURN FD
   INC                 COM             989837109           4,802        906        X           28-5284      906
ZYGO CORP              COM             989855101          15,195      1,500        X       X   28-5284                         1500
ZOLL MED CORP          COM             989922109          56,763      1,700        X           28-5284     1700
0        COLUMN TOTAL                                     76,760
0          GRANDTOTAL                             23,628,427,362
0
0




1   PAGE 1 OF 1                                                   AS OF 09/30/04

     FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.

0  ENTITY TOTALS       FAIR MARKET     ENTITY      UNITS
------------------   --------------   -------   -----------
0
                     22,290,736,042   28-5284   538,726,661
                        344,994,956   28-1500    11,572,102
                        557,466,956   28-4580    13,332,133
                        435,229,408               6,966,118
0     GRAND TOTALS   23,628,427,362             570,597,014
0 NUMBER OF ISSUES            2,765